Performance Unit price Compare with --- 1 month 3 months 6 months 1 year 2 years 3 years 5 years Since launch on the day 23/07/2026 NAV / NAV per CI 125.07 PLN Rate of return 1 day 0.03% 1 month 0.51% 3 months 0.90% 6 months 1.28% YTD 1.85% 1 year 3.97% 3 years 17.81% 5 years 25.06% From the inception on30/06/2021 25.07% Fund valuation historyAll funds valuation history Beginning of period NAV per p.u./cert. PLN End of period NAV per p.u./cert. PLN Return for the subfund/fund % Return for the benchmark % Leave this field blank Fund/sub-fund parameters Inception date 30/06/2021 PrintPDF986 views