Asset Management

Return Rate Calculator



Тhe return is calculated on net asset value per unit. According to Bulgarian Association of Asset Management Companies’ methodology, the return for periods less than one year is not annualized

Asset Allocation (06.04.2020)

Equity Allocation (06.04.2020)

FIB Avangard

Our high-yield World equity fund with strong focus on Bulgaria. FIB Avangard offers investors a quick and cheap access to actively managed, diversified portfolio of equities and other high-yield financial instruments. Investments in FIB Avangard are not limited in terms of geographical allocation, market capitalization or index participation. We are focused on discovering companies with high growth potential ahead of other market participants, relying on our frequent contacts with the management and using own and external equity research and valuations

NAV NAV/unit Daily return Annual return YtD return Issue price Redemption price
1 012 171 0.4271 1.62% -24.74% -24.95% 0.4292 0.4250

Prices for orders submitted on 06.04.2020

Investment objectives, strategy and policy

FIB Avangard is an open-ended mutual fund, registered in Bulgaria, which invests in 20-30 shares of public companies, operating...

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Subscription and redemption procedures

The investors can subscribe (purchase) units of FIB Avangard in FFBH Asset Management’s office - 2 Enos Str., Sofia, 5th floor (see map), and in all branches of Fibank, entered in the register kept by FSC.

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NAV/unit (BGN) of FIB Avangard




Documents and reports

Monthly bulletin February 2020

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