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 04 19 1.0283 -0.21% +0.68% - - -
Pension 1989-1995 EUR 2018 04 19 1.0211 -0.23% +0.48% - - -
Pension 1982-1988 EUR 2018 04 19 1.0209 -0.22% +0.38% - - -
Pension 1975-1981 EUR 2018 04 19 1.0174 -0.23% +0.36% - - -
Pension 1968-1974 EUR 2018 04 19 1.0211 -0.21% +0.51% - - -
Pension 1961-1967 EUR 2018 04 19 1.0157 -0.17% +0.38% - - -

Traditional funds

Fund name Currency Date NAV Short-term return
  1 day 1 month 3 months 6 months YTD
Pension 5 EUR 2018 04 19 0.4398 -0.25% +0.32% -4.60% -0.11% -1.79%
Pension 4 EUR 2018 04 19 0.4186 -0.19% +0.12% -3.17% 0.00 -1.27%
Pension 3 EUR 2018 04 19 0.5167 -0.14% +0.06% -2.33% -0.17% -1.07%
Pension 2 EUR 2018 04 19 0.4644 -0.13% -0.02% -1.57% -0.39% -0.88%
Pension 1 EUR 2018 04 19 0.4007 -0.05% +0.10% -0.07% -0.15% -0.20%
Pension pay-out fund EUR 2018 04 19 0.3579 -0.03% -0.03% -0.11% -0.22% -0.17%
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