Pension funds results

Life cycle funds

Fund name Currency Date NAV Short-term return
  1 day 1 month 3 months 6 months YTD
Pension 1996-2002 EUR 2018 09 20 1.0764 +0.20% -0.22% +0.72% +4.54% -
Pension 1989-1995 EUR 2018 09 20 1.0664 +0.21% -0.22% +0.77% +4.12% -
Pension 1982-1988 EUR 2018 09 20 1.0661 +0.21% -0.22% +0.76% +4.01% -
Pension 1975-1981 EUR 2018 09 20 1.0633 +0.21% -0.23% +0.82% +4.06% -
Pension 1968-1974 EUR 2018 09 20 1.0671 +0.21% -0.22% +0.82% +4.24% -
Pension 1961-1967 EUR 2018 09 20 1.0501 +0.15% -0.18% +0.62% +3.18% -

Traditional funds

Fund name Currency Date NAV Short-term return
  1 day 1 month 3 months 6 months YTD
Pension 5 EUR 2018 09 20 0.4601 +0.31% -0.22% +0.72% +4.24% +2.75%
Pension 4 EUR 2018 09 20 0.4319 +0.23% -0.23% +0.56% +2.88% +1.86%
Pension 3 EUR 2018 09 20 0.5285 +0.15% -0.25% +0.42% +2.07% +1.19%
Pension 2 EUR 2018 09 20 0.4704 +0.11% -0.23% +0.23% +1.14% +0.41%
Pension 1 EUR 2018 09 20 0.4014 0.00 -0.15% +0.02% +0.27% -0.02%
Pension pay-out fund EUR 2018 09 20 0.3580 0.00 +0.03% +0.08% 0.00 -0.14%