Quotes

Date:


Concord Fund – 1 Stocks and Bonds
Type: Mixed Allocation – Balanced | Currency: EUR | Array: 14.12.2005
Year to date return Array Return for the last 12 months Standard deviation Net asset value Net asset value per unit Number of units outstanding Valid for date
2.53 % 3.73 % 3.94 % 2.24 % 16,207,093.49 EUR 10.9525 EUR 1,479,760.2674 02.10.2026

Concord Fund 2 Equity
Type: Equity – Bulgaria / Regional | Currency: EUR | Array: 01.03.2006
Year to date return Array Return for the last 12 months Standard deviation Net asset value Net asset value per unit Number of units outstanding Valid for date
2.43 % 1.03 % 3.51 % 2.40 % 49,654,151.11 EUR 6.1393 EUR 8,087,929.0401 02.10.2026

Concord Fund – 3 Real Estate
Type: Real Estate – Direct / Indirect | Currency: EUR | Array: 21.06.2006
Year to date return Array Return for the last 12 months Standard deviation Net asset value Net asset value per unit Number of units outstanding Valid for date
0.18 % -1.52 % 5.11 % 8.94 % 560,630.04 EUR 3.7412 EUR 149,852.8815 02.10.2026

Concord Fund 4 Energy
Type: Equity – Sector (Energy) | Currency: EUR | Array: 05.02.2008
Year to date return Array Return for the last 12 months Standard deviation Net asset value Net asset value per unit Number of units outstanding Valid for date
20.23 % 1.00 % 21.18 % 12.32 % 472,899.12 EUR 6.1319 EUR 77,120.6104 02.10.2026

Concord Fund 5 Central and Eastern Europe
Type: Equity – Regional (CEE) | Currency: EUR | Array: 05.02.2008
Year to date return Array Return for the last 12 months Standard deviation Net asset value Net asset value per unit Number of units outstanding Valid for date
3.31 % -0.69 % 4.73 % 8.72 % 1,016,705.74 EUR 4.4516 EUR 228,389.3851 02.10.2026

Concord Fund-6 Bonds
Type: Bond – Global / EUR / Multi-Sector | Currency: EUR | Array: 03.06.2008
Year to date return Array Return for the last 12 months Standard deviation Net asset value Net asset value per unit Number of units outstanding Valid for date
-0.14 % 3.28 % 0.51 % 2.47 % 15,908,557.37 EUR 9.2381 EUR 1,722,064.0645 02.10.2026

Concord Fund - 7 South East Europe
Type: Bond – Global / EUR / Multi-Sector | Currency: EUR | Array: 06.04.2016
Year to date return Array Return for the last 12 months Standard deviation Net asset value Net asset value per unit Number of units outstanding Valid for date
3.03 % 3.36 % 4.86 % 2.17 % 45,470,600.44 EUR 7.2342 EUR 6,285,500.0000 02.10.2026

Concord Fund 8 – Alternative Investment Fund
Type: Alternative – Other | Currency: EUR | Array: 11.11.2022
Year to date return Array Return for the last 12 months Standard deviation Net asset value Net asset value per unit Number of units outstanding Valid for date
2.40 % 0.90 % 0.46 % 3.09 % 67,068,453.00 EUR 534.4746 EUR 175,437.0000 02.10.2026

Concord Fund - 9 Green
Type: Alternative – Other | Currency: EUR | Array: 06.06.2025
Year to date return Array Return for the last 12 months Standard deviation Net asset value Net asset value per unit Number of units outstanding Valid for date
18.18 % 0.00 % 21.97 % 17.71 % 731,405.71 EUR 568.3101 EUR 51,242.0000 02.10.2026