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Promsvyaz - Bonds (AMC Promsvyaz, Ltd.)

Period

Performance and NAV dynamics, USD



14.06.2019against prev date1 month3 month6 month9 month1 year3 year5 year
Share52.26 USD-0.16%2.82%4.68%8.37%14.26%3.67%27.32%-
NAV10 741 200.29 USD-0.38%1.21%-4.35%0.82%24.69%104.44%604.55%-

Share, USD

NAV, USD

Share and NAV, USD

DateShareNav
14.06.201952.2610 741 200.29
13.06.201952.3510 781 943.48
11.06.201952.0910 728 199.87
10.06.201951.8310 712 127.00
07.06.201951.6610 711 354.34
06.06.201951.6710 750 507.39
05.06.201951.5610 728 036.54
04.06.201951.1910 657 120.61
03.06.201951.3510 642 211.25
31.05.201951.5310 698 393.93
30.05.201951.6210 679 803.11
29.05.201951.9410 780 331.57
28.05.201951.9610 801 612.89
27.05.201951.8610 794 115.32
24.05.201951.9510 806 544.14
23.05.201951.9510 782 515.07
22.05.201951.8410 813 532.91
21.05.201951.8010 818 342.33
20.05.201951.6610 781 419.74
17.05.201951.7010 776 856.16
16.05.201951.4210 709 727.51
15.05.201950.9710 619 157.51
14.05.201950.8310 612 477.32
13.05.201950.9610 726 722.91
08.05.201950.9810 730 850.94
07.05.201950.8310 732 744.76
06.05.201951.3510 883 241.93
30.04.201951.2710 865 395.05
29.04.201951.2010 873 532.04
26.04.201951.1410 881 137.21
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