Public Funds
Premium Fund
Balanced Premium Fund
Energy Premium Fund
Index Premium Fund
Metallurgy – Machine Building Premium Fund
Shares Premium Fund
Non-government Pension Funds
Private banking
Secondary market of Funds’ securities
About the Company
Legislation
Analytics
Press Center
Regional Network
Career
Questions and Answers
Сontacts
РУС
УКР
ENG
Home
/ Public Funds
Public Funds
Premium Fund
Net asset value per share
20 801.83 UAH
Net asset value
14 977.32 thsds of UAH
Return, month
1.6 %
Return, YTD
-24.8 %
Fund type
Closed-End
Fund category
Non-Diversified
Manager
PIOGLOBAL Ukraine
Launch date
21.06.2004
Maturity term
21.06.2011
Risk
Moderate
Quotation
Daily
Currency
UAH
Management fee
3%
Success fee
15% of return exceeding annual average discount rate, set by NBU (National Bank of Ukraine)
Minimum investment size
Price of 1 share
Liquidity
Limited. Shares tradable on the stock market
Balanced Premium Fund
Net asset value per share
681.20 UAH
Net asset value
2 456.42 thsds of UAH
Return, month
2.0 %
Return, YTD
2.0 %
Fund type
Open-End
Fund category
Diversified
Manager
PIOGLOBAL Ukraine
Launch date
21.06.2004
Maturity term
Unlimited
Risk
Low
Quotation
Daily
Currency
UAH
Management fee
3.5%
Success fee
N/A
Minimum investment size
Price of 1 security
Liquidity
3 bank days
Energy Premium Fund
Net asset value per share
150.46 UAH
Net asset value
6 458.48 thsds of UAH
Return, month
-9.8 %
Return, YTD
-9.8 %
Fund type
Closed-End
Fund category
Non-Diversified
Manager
PIOGLOBAL Ukraine
Launch date
14.06.2007
Maturity term
14.06.2012
Risk
High
Quotation
Daily
Currency
UAH
Management fee
3%
Success fee
15% of return exceeding annual average discount rate, set by NBU (National Bank of Ukraine)
Minimum investment size
Price of 1 security
Liquidity
Limited. Shares tradable on the stock market.
Index Premium Fund
Net asset value per share
485.14 UAH
Net asset value
6 745.43 thsds of UAH
Return, month
1.8 %
Return, YTD
1.8 %
Fund type
Open-End
Fund category
Diversified
Manager
PIOGLOBAL Ukraine
Launch date
23.10.2007
Maturity term
Unlimited
Risk
Moderate
Quotation
Daily
Currency
UAH
Management fee
1.5%
Success fee
N/A
Minimum investment size
Price of 1 security
Liquidity
3 bank days
Metallurgy & Machine-
Building Premium Fund
Net asset value per share
159.80 UAH
Net asset value
6 585.02 thsds of UAH
Return, month
2.0 %
Return, YTD
2.0 %
Fund type
Closed-End
Fund category
Non-Diversified
Manager
PIOGLOBAL Ukraine
Launch date
11.09.2007
Maturity term
11.09.2012
Risk
High
Quotation
Daily
Currency
UAH
Management fee
3%
Success fee
15% of return exceeding annual average discount rate, set by NBU (National Bank of Ukraine)
Minimum investment size
Price of 1 share
Liquidity
Limited. Shares tradable on the stock market
Shares Premium Fund
Net asset value per share
517.49 UAH
Net asset value
1 397.21 thsds of UAH
Return, month
-1.9 %
Return, YTD
-23.1 %
Launch date
15.03.2008
Maturity term
05.02.2011
Risk
Moderate
Liquidity
Limited
Quotation
Daily
Currency
UAH
Management fee
3%
Success fee
15% of return exceeding annual average discount rate, set by NBU (National Bank of Ukraine)
Minimum investment size
Price of 1 share
Liquidity
Limited. Shares tradable on the stock market
+38 (044)
207-01-05
Parus Business-centre
16th floor,
2 Mechnikova str.,
Kiev, 01601, Ukraine
E-mail:
contact@pioglobal.ua
Возобновление контакта
© 2009 PIOGLOBAL Ukraine
Дизайн
Visualizers
, разработка
Gyrus Solutions