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Promsvyaz - Bonds (AMC Promsvyaz, Ltd.)

Period

Performance and NAV dynamics, USD



15.10.2019against prev date1 month3 month6 month9 month1 year3 year5 year
Share55.05 USD-0.23%2.58%1.86%7.55%14.22%14.32%27.65%-11.96%
NAV12 156 044.21 USD0.20%7.43%9.63%8.32%11.20%23.51%530.38%5 013.98%

Share, USD

NAV, USD

Share and NAV, USD

DateShareNav
15.10.201955.0512 156 044.21
14.10.201955.1812 131 434.57
11.10.201954.6411 989 503.57
10.10.201954.2711 901 095.79
09.10.201954.3911 874 174.67
08.10.201954.4011 888 171.19
07.10.201954.1711 809 353.61
04.10.201954.0311 806 308.32
03.10.201953.7211 709 317.45
02.10.201954.0111 799 220.28
01.10.201954.3811 659 617.03
30.09.201954.5611 661 699.27
27.09.201954.5911 646 059.77
26.09.201954.6811 639 995.24
25.09.201955.0711 666 050.58
24.09.201954.8511 594 558.88
23.09.201954.9511 586 690.64
20.09.201954.6011 482 684.77
19.09.201954.3811 448 521.56
18.09.201954.6211 499 461.47
17.09.201954.9011 579 373.71
16.09.201954.3211 441 343.30
13.09.201953.6611 315 749.93
12.09.201953.4211 345 609.42
11.09.201953.3811 331 077.88
10.09.201953.2911 342 223.50
09.09.201952.8611 205 315.19
06.09.201952.7411 151 943.42
05.09.201952.3611 061 414.79
04.09.201951.9710 942 739.82
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