Pension funds results

III pillar pension funds

Fund name Currency Date NAV Short-term return
  1 day 1 month 3 months 6 months YTD
Pension fund 100 (limited redemption) EUR 2020 03 27 0.8418 -2.05% -15.05% -17.97% - -17.66%
Pension fund 60 (limited redemption) EUR 2020 03 27 0.8994 -0.95% -9.31% -11.21% - -10.95%
Pension fund 30 (limited redemption) EUR 2020 03 27 0.9343 -0.31% -5.49% -7.02% - -6.80%