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We are committed to deliver to our clients responsible investment solutions specially tailored to their needs. We believe that the thorough and consistent investment analysis represents serious information advantage. We focus on protecting our clients and their portfolios through active risk management. We are confident that our experienced and dedicated team can achieve outstanding results over the long-term, balancing client’s risk and return goals.
*Based on NAV per share
FFBH Asset Management manages four mutual funds with different risk profile - FFBH Vostok, FIB Avangard, FIB Classic and FIB Garant as well as the assets of the closed-edn investment company IC Nadejda AD.
NAV (BGN) | NAV/unit (BGN) | Daily return | Annual return | YtD return | |
---|---|---|---|---|---|
FIB Avangard | 1 632 169 | 0.5626 | -0.14 % | -10.78% | 1.70% |
FFBH Vostok | 669 590 | 0.6658 | -0.51 % | -3.69% | 6.12% |
FIB Classic | 1 420 247 | 0.8838 | -0.11 % | -7.32% | 0.81% |
FIB Garant | 1 088 453 | 1.2581 | 0.17 % | -5.03% | 0.24% |
Prices for orders submitted on 14.02.2019
*The daily, annual and year-to-date returns of all mutual funds are based on NAV/unit data. Potential investors in mutual funds should be aware that the value of their units (net asset value per unit) and their return may decrease and the profit is not guaranteed. Past performance is not necessarily indicative of future results and must not be taken alone as the basis for an investment decision. Investments in mutual funds in Bulgaria are not guaranteed by a state Guarantee fund or in any other way.
Date: 15.02.2019
Company: Holding Varna AD-Varna Trace group Hold AD-Sofia
Sector: Financial sector Macroeconomic news and statistics
Type: Morning bulletin
Bond Issue
Year: 2019
Company: Unibank
Sector: Financial
Manager of EUR 5m hybrid bond issue
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