The performance figures shown are as of the last day of the previous calendar month.
The exception is the performance since the beginning of the year 2025, which is as of 05. 06. 2025.
Fund performance
Current values of funds
Past performance is not a prerequisite for future returns.
The performance figures shown are as of the last day of the previous calendar month.
The exception is the performance since the beginning of the year 2025, which is as of 05. 06. 2025.
Fund name | Date of establish. | Rate | Currency | Equity | YTD 2025 | 3 months | 6 months | 1 year | 3 years cumul. / p.a. | 10 years cumul. / p.a. | Since inception / p.a. |
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Fund name | Date of establish. | Rate | Currency | Equity | YTD 2025 | 3 months | 6 months | 1 year | 3 years cumul. / p.a. | 10 years cumul. / p.a. | Since inception / p.a. |
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Fund name | Date of establish. | Rate | Currency | Equity | YTD 2025 | 3 months | 6 months | 1 year | 3 years cumul. / p.a. | 10 years cumul. / p.a. | Since inception / p.a. |
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* KD RUSSIA – displayed data of the fund are as of 2.3.2022
Mutual funds | Date* | Share value | Change in % 1M** |
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Date* = the decisive day for determining the unit value:
1M** = one-month change
The price of the unit certificate at which the unit certificate will be redeemed is not known on the date of delivery of the Application for Redemption of Unit certificates.
The valuation of assets and liabilities in the mutual fund and the determination of the unit price valid as of the date of delivery of the Application for Redemption of Unit Certificates, and at which the unit certificates will be redeemed, is always carried out subsequently, e.g. in the case of a daily valuation frequency, on the next business day following the day on which the Application for Redemption of Unit Certificates was delivered and accepted for processing, i.e. the unit certificates are not redeemed at the unit certificate price displayed on the IAD website www.iad.sk, or in IAD ONLINE when submitting the Application for Redemption of Unit Certificates.
The exact procedure and frequency of valuation of assets and liabilities in the mutual fund can be found in the Statute of each mutual fund.
CE Bond | every business day |
Český konzervativní | every business day |
EURO Bond | every business day |
Global Index | every business day |
KD RUSSIA | every business day |
Optimal Balanced | every business day |
Zaistený fond – IAD depozitné konto | every business day |
1. PF Slnko | every business day |
Growth Opportunities | every business day |
Protected Equity 1 | every business day |
Protected Equity 2 | every business day |
Korunový realitný fond | every business day |
Prvý realitný fond | every business day |
The website is updated every day after 18:00.
This material is a marketing announcement. Before making any investment decision, review the sales prospectus, articles of association and key investor information document for IAD Investments, reports. spol., a.s. (hereinafter referred to as “IAD”) in the Slovak language at the registered office of IAD, at points of sale, at the registered office of the depositary or at www.iad.sk. For more information, contact your financial intermediary or www.iad.sk.
The value of the investment in the mutual fund may also decrease and the return on the amount originally invested is not guaranteed. There is also a risk associated with investing in mutual funds. In accordance with the mutual fund statutes, the share of securities issued by states and international organizations listed in the annex to the statutes of individual mutual funds may exceed 35% of the value of the fund’s assets, which may reach up to 100%. The IAD is obliged to pay out the unit certificate of the Prvý realitný fond and the Korunový realitný fond without delay, but no later than within an extended period of 12 months. Assets in the fund Prvý realitný fond is invested mainly in real estate, including accessories for the purposes of their management and sale, in ownership interests in real estate companies and in liquid financial assets, the economic nature of which results in close links with the real estate market. Korunový realitný fond has at least 85% of its assets continuously invested in the units of the Prvý realitný fond.