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 07 16 1.0605 -0.51% -1.25% +4.03% - -
Pension 1989-1995 EUR 2018 07 16 1.0510 -0.49% -1.15% +3.81% - -
Pension 1982-1988 EUR 2018 07 16 1.0514 -0.50% -1.09% +3.88% - -
Pension 1975-1981 EUR 2018 07 16 1.0480 -0.49% -1.09% +3.89% - -
Pension 1968-1974 EUR 2018 07 16 1.0518 -0.50% -1.09% +3.90% - -
Pension 1961-1967 EUR 2018 07 16 1.0391 -0.36% -0.75% +2.91% - -

Traditional funds

Fund name Currency Date NAV Short-term return
  1 day 1 month 3 months 6 months YTD
Pension 5 EUR 2018 07 16 0.4539 -0.42% -1.00% +4.06% -0.98% +1.36%
Pension 4 EUR 2018 07 16 0.4279 -0.28% -0.58% +2.74% -0.70% +0.92%
Pension 3 EUR 2018 07 16 0.5253 -0.19% -0.30% +1.98% -0.49% +0.57%
Pension 2 EUR 2018 07 16 0.4691 -0.09% 0.00 +1.12% -0.45% +0.13%
Pension 1 EUR 2018 07 16 0.4018 -0.02% +0.17% +0.22% +0.17% +0.07%
Pension pay-out fund EUR 2018 07 16 0.3580 0.00 +0.11% 0.00 -0.08% -0.14%