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 10 22 1.0240 -0.11% +2.36% +1.12% +10.67% +0.16%
Pension fund 60 (limited redemption) EUR 2020 10 22 1.0173 -0.05% +1.58% +0.98% +7.43% +0.72%
Pension fund 30 (limited redemption) EUR 2020 10 22 1.0148 -0.03% +1.15% +0.99% +5.90% +1.23%