EPI Indexes
| Index |
Date |
Value |
Change |
| EPI |
21.05.2013 |
156,9737 |
0,03505% |
| EPI-00 |
21.05.2013 |
139,8549 |
-0,02002% |
| EPI-25 |
21.05.2013 |
141,8624 |
0,01692% |
| EPI-50 |
21.05.2013 |
164,9165 |
0,03640% |
| EPI-75 |
21.05.2013 |
125,3423 |
0,15902% |
N.B.
Prices and volumes of pension funds values in euros prior to January 1st 2011 have been estimated on the basis of the official euro exchange rate of 15.6466.
Funded pension daily statistics
| Conservative |
| Fund |
Date |
NAV (EUR) |
Chg |
Rate of return % |
Active invest. |
Fund net assets (EUR) |
Vol. |
| 3m |
6m |
1y |
3y |
5y |
10y |
|
21.05.13 |
0,93370 |
-0,02 |
1,49 |
1,58 |
4,36 |
2,97 |
4,27 |
3,50 |
3 754 |
8,514 |
1,82 |
|
21.05.13 |
0,83418 |
-0,09 |
2,19 |
1,43 |
4,64 |
3,63 |
0,00 |
0,00 |
1 172 |
2,089 |
2,65 |
|
21.05.13 |
0,89055 |
-0,05 |
2,00 |
1,56 |
6,08 |
3,24 |
3,68 |
2,89 |
1 476 |
3,476 |
2,38 |
|
21.05.13 |
1,19368 |
-0,01 |
1,28 |
2,04 |
5,59 |
4,18 |
7,59 |
5,73 |
12 805 |
38,662 |
2,72 |
|
21.05.13 |
1,10539 |
-0,01 |
1,28 |
1,93 |
6,30 |
4,55 |
7,46 |
5,05 |
3 187 |
8,861 |
2,51 |
|
21.05.13 |
0,91727 |
0,02 |
1,13 |
1,00 |
3,64 |
2,78 |
4,30 |
3,16 |
17 080 |
55,747 |
2,91 |
|
21.05.13 |
0,81451 |
-0,07 |
1,70 |
1,49 |
4,51 |
3,36 |
1,21 |
1,76 |
11 326 |
43,822 |
2,89 |
| Balanced |
| Fund |
Date |
NAV (EUR) |
Chg |
Rate of return % |
Active invest. |
Fund net assets (EUR) |
Vol. |
| 3m |
6m |
1y |
3y |
5y |
10y |
|
21.05.13 |
0,91661 |
-0,03 |
3,05 |
4,71 |
9,52 |
5,22 |
0,00 |
0,00 |
2 720 |
11,662 |
5,21 |
|
21.05.13 |
0,98525 |
0,05 |
2,48 |
3,09 |
8,60 |
3,15 |
3,13 |
3,76 |
2 518 |
10,958 |
3,75 |
|
21.05.13 |
1,12496 |
0,06 |
1,80 |
3,88 |
8,44 |
5,52 |
6,60 |
5,77 |
7 594 |
27,252 |
4,76 |
|
21.05.13 |
0,84119 |
-0,05 |
1,52 |
2,87 |
4,69 |
2,47 |
0,00 |
0,00 |
7 047 |
13,686 |
3,44 |
|
21.05.13 |
0,90789 |
0,02 |
3,06 |
3,80 |
9,12 |
4,59 |
0,52 |
3,19 |
48 021 |
165,607 |
4,20 |
| Progressive |
| Fund |
Date |
NAV (EUR) |
Chg |
Rate of return % |
Active invest. |
Fund net assets (EUR) |
Vol. |
| 3m |
6m |
1y |
3y |
5y |
10y |
|
21.05.13 |
1,14864 |
0,12 |
4,62 |
5,75 |
11,11 |
4,27 |
2,02 |
5,55 |
18 326 |
43,390 |
6,95 |
|
21.05.13 |
0,96702 |
0,08 |
3,93 |
7,53 |
12,05 |
6,01 |
0,00 |
0,00 |
17 100 |
54,597 |
7,71 |
|
21.05.13 |
1,14456 |
0,12 |
2,80 |
4,51 |
11,03 |
3,23 |
3,22 |
5,12 |
39 984 |
151,301 |
5,12 |
|
21.05.13 |
1,41037 |
0,11 |
2,37 |
5,51 |
10,15 |
6,72 |
5,09 |
8,47 |
69 204 |
178,431 |
7,14 |
|
21.05.13 |
0,98227 |
-0,02 |
2,79 |
4,83 |
7,71 |
3,20 |
-1,61 |
3,87 |
110 378 |
280,394 |
5,67 |
|
21.05.13 |
1,07430 |
0,00 |
4,59 |
6,90 |
14,19 |
6,18 |
0,46 |
5,09 |
157 271 |
420,500 |
6,47 |
| Aggressive |
| Fund |
Date |
NAV (EUR) |
Chg |
Rate of return % |
Active invest. |
Fund net assets (EUR) |
Vol. |
| 3m |
6m |
1y |
3y |
5y |
10y |
|
21.05.13 |
0,65711 |
0,21 |
5,96 |
8,52 |
14,50 |
0,00 |
0,00 |
0,00 |
1 056 |
1,410 |
9,41 |
|
21.05.13 |
0,79471 |
0,15 |
4,47 |
9,56 |
14,94 |
6,57 |
0,00 |
0,00 |
2 561 |
6,007 |
9,82 |
|
21.05.13 |
1,21384 |
0,21 |
3,50 |
7,73 |
12,61 |
7,11 |
5,05 |
7,12 |
18 263 |
40,788 |
7,94 |
|
21.05.13 |
0,76130 |
0,01 |
3,72 |
7,80 |
10,89 |
2,84 |
0,00 |
0,00 |
12 237 |
10,106 |
9,93 |
|
21.05.13 |
0,80425 |
0,14 |
5,77 |
9,89 |
19,30 |
7,24 |
0,00 |
0,00 |
50 326 |
39,185 |
10,33 |
Supplementary funded pension daily statistics
| Fund |
Time |
NAV (EUR) |
Chg |
Rate of return % |
UO |
Fund net assets (EUR) |
Vol. |
| 3m |
6m |
1y |
3y |
5y |
|
20.05.13 |
0,72787 |
-0,05 |
2,97 |
3,97 |
8,07 |
- |
- |
481 |
0,556 |
- |
|
20.05.13 |
1,18702 |
0,24 |
5,89 |
13,43 |
20,83 |
8,57 |
- |
2 497 |
3,629 |
12,06 |
|
20.05.13 |
1,13020 |
0,13 |
5,88 |
12,91 |
22,90 |
7,53 |
-3,05 |
17 441 |
36,415 |
10,64 |
|
20.05.13 |
0,96040 |
0,07 |
4,84 |
9,36 |
17,67 |
6,95 |
-1,22 |
6 254 |
18,210 |
6,81 |
|
20.05.13 |
0,88959 |
0,11 |
5,37 |
7,15 |
12,30 |
4,24 |
- |
111 |
0,425 |
7,03 |
|
20.05.13 |
0,89638 |
0,20 |
7,39 |
10,92 |
17,52 |
2,56 |
- |
108 |
0,328 |
12,49 |
|
20.05.13 |
1,34420 |
-0,16 |
3,51 |
8,19 |
12,56 |
6,74 |
3,31 |
1 267 |
5,008 |
8,18 |
|
20.05.13 |
0,95251 |
0,05 |
4,40 |
9,08 |
13,67 |
4,43 |
-3,10 |
7 951 |
14,296 |
12,96 |
|
20.05.13 |
1,15125 |
-0,04 |
1,42 |
2,44 |
4,51 |
2,79 |
-0,92 |
5 477 |
10,701 |
3,83 |
|
20.05.13 |
1,45644 |
0,23 |
3,63 |
7,50 |
16,72 |
6,31 |
4,93 |
1 065 |
3,131 |
7,49 |
|
20.05.13 |
0,93879 |
0,13 |
6,51 |
8,59 |
15,07 |
5,05 |
- |
165 |
0,344 |
9,34 |
|
20.05.13 |
1,22830 |
0,04 |
3,46 |
6,33 |
12,58 |
5,76 |
-0,17 |
2 334 |
9,804 |
4,32 |
|
20.05.13 |
0,77068 |
-0,04 |
1,76 |
1,38 |
6,12 |
3,14 |
- |
359 |
0,206 |
3,00 |
Insurances of Supplementary Funded Pension