Přehled kurzů fondů

KB Portfolio Datum Měna posl.
změna
NAV/
PL
1
týden
3M 6M 1Y 2Y 3Y 5Y od začátku roku
KB Portfolio – Akciových indexů 14.10.2025 CZK -0.27% 1,0885 -1.25% +4.09% +16.43% +7.68% - - - +8.80%
KB Portfolio – Dividendové (třída A) 14.10.2025 CZK -0.26% 2,0603 -0.28% +4.48% +13.40% +7.26% +31.61% +44.35% +68.53% +10.09%
KB Portfolio – Dividendové (třída D) 14.10.2025 CZK -0.26% 1,6234 -0.28% +4.47% +13.40% +4.20% +24.17% +36.18% +53.48% +6.96%
KB Portfolio – Dynamické 14.10.2025 CZK -0.13% 1,8998 -0.60% +3.13% +10.70% +6.38% +24.88% +29.84% +30.04% +6.27%
KB Portfolio – Konzervativní 14.10.2025 CZK 0.02% 1,6355 +0.11% +1.28% +3.34% +3.55% +15.74% +27.73% +17.48% +3.36%
KB Portfolio – Rezerva 14.10.2025 CZK 0.03% 1,1775 +0.18% +0.68% +0.99% +2.66% +8.03% +15.95% +11.18% +2.18%
KB Portfolio – Vyvážené 14.10.2025 CZK -0.05% 1,0550 -0.24% +2.21% +7.04% +4.50% - - - +5.10%
Krátkodobé investice Datum Měna posl.
změna
NAV/
PL
1
týden
3M 6M 1Y 2Y 3Y 5Y od začátku roku
Amundi CR - Sporokonto 14.10.2025 CZK 0.02% 1,7884 +0.17% +0.68% +1.02% +2.67% +7.77% +15.03% +10.35% +2.18%
Amundi CR Privátní fond úrokových výnosů 14.10.2025 CZK 0.03% 1,1682 +0.18% +0.85% +1.42% +3.48% +9.58% +18.50% +14.16% +2.86%
Amundi Funds Cash (EUR) 14.10.2025 EUR 0.00% 105,5400 +0.03% +0.39% +0.81% +2.03% +5.71% +8.28% +6.72% +1.44%
Amundi Funds Cash (USD) 15.10.2025 USD 0.01% 127,1400 +0.07% +1.07% +2.15% +4.31% +9.96% +15.45% +16.41% +3.34%
KB Krátkodobý 14.10.2025 CZK 0.01% 1,2705 +0.07% +0.67% +1.30% +2.87% +7.93% +14.51% +17.56% +2.20%
KB Portfolio – Rezerva 14.10.2025 CZK 0.03% 1,1775 +0.18% +0.68% +0.99% +2.66% +8.03% +15.95% +11.18% +2.18%
Dluhopisové fondy Datum Měna posl.
změna
NAV/
PL
1
týden
3M 6M 1Y 2Y 3Y 5Y od začátku roku
AFS - Buy and Watch High Income Bond Opportunities 05/2030 - A CZK 14.10.2025 CZK 0.09% 1 016,5400 -0.70% +0.46% - - - - - -
AFS - Buy and Watch High Income Bond Opportunities 05/2030 - A EUR 14.10.2025 EUR 0.08% 50,5900 -0.73% +0.14% - - - - - -
AFS - Buy and Watch High Income Bond Opportunities 11/2029 CZK Hgd 14.10.2025 CZK 0.10% 1 044,8000 -0.57% +0.68% +6.40% - - - - +4.25%
AFS - Buy and Watch High Income Bond Opportunities 11/2029 EUR 14.10.2025 EUR 0.10% 51,8000 -0.59% +0.35% +5.76% - - - - -
AFS - Buy and Watch High Income Bond Opportunities 11/2029 USD Hgd 14.10.2025 USD 0.09% 52,7200 -0.55% +0.94% +6.98% - - - - -
Amundi CR Dluhopisový PLUS 14.10.2025 CZK -0.04% 1,7204 +0.29% +0.73% +0.94% +1.93% +9.75% +23.94% +3.47% +1.78%
Amundi CR IM Dluhopisový (fond byl uzavřen 31.12.2024) 03.09.2024 CZK 0.00% 1,0488 +0.16% +3.03% +2.88% +8.08% +13.64% +3.53% +1.20% 0.00%
Amundi FS - Buy & Watch High Income Bond 11/2024 - Distribuční A třída 04.11.2024 CZK 0.04% 1 142,5200 +0.04% +0.81% +1.90% +4.08% +16.43% +8.92% +14.25% 0.00%
Amundi FS - Buy & Watch High Income Bond 11/2024 - Nedistribuční A třída CZK 04.11.2024 CZK 0.04% 1 221,7200 +0.04% +0.80% +1.88% +5.70% +20.31% +14.40% +22.17% 0.00%
Amundi FS - Buy & Watch Income 07/25 distribuční A CZK 28.07.2025 CZK 0.05% 1 174,6900 +0.06% +0.61% +1.36% +2.60% +9.20% +20.01% +18.85% +1.64%
Amundi FS - Buy & Watch Income 07/25 nedistribuční třída A CZK 28.07.2025 CZK 0.05% 1 237,9300 +0.07% +0.61% +1.36% +3.59% +11.40% +23.80% +25.24% +1.64%
Amundi Fund Solutions - Buy and Watch High Income Bond 08/2025 - CZK 04.08.2025 CZK 0.00% 1 228,7500 +0.09% +0.62% +1.36% +3.80% +12.22% +19.38% +23.46% +1.74%
Amundi Fund Solutions - Buy and Watch High Income Bond 11/2025 14.10.2025 CZK 0.00% 1 191,9500 +0.05% +0.59% +1.39% +3.18% +12.44% +27.87% - +2.31%
Amundi Fund Solutions - Buy and Watch US High Yield Opportunities 03/2025 21.03.2025 CZK -0.26% 1 171,2100 -0.26% +0.89% +1.76% +5.06% +17.20% +17.45% - +0.86%
Amundi Fund Solutions - Buy&Watch Optimal Yield Bond 04/2026 14.10.2025 CZK -0.01% 1 272,5000 +0.01% +0.88% +3.19% +5.05% +16.84% +35.94% +22.29% +4.22%
Amundi Fund Solutions – Buy and Watch High Income Bond Opportunities 03/2029 14.10.2025 CZK 0.08% 1 103,4300 -0.20% +1.16% +5.95% +6.53% - - - +4.34%
Amundi Fund Solutions – Buy and Watch High Income Bond Opportunities 09/2030 - A EUR 14.10.2025 EUR 0.35% 49,2700 -0.55% - - - - - - -
Amundi Fund Solutions – Buy and Watch High Income Bond Opportunities 09/2030 - CZK 14.10.2025 CZK 0.36% 986,1700 -0.51% - - - - - - -
Amundi Fund Solutions – Buy and Watch High Income Bond Opportunities 11/2028 14.10.2025 CZK -0.15% 1 223,9700 -0.41% +1.30% +5.70% +6.43% - - - +4.46%
Amundi Fund Solutions – Buy and Watch High Income Bond Opportunities 11/2030 - CZK - - - - - - - - - -
Amundi Fund Solutions – Buy and Watch High Income Bond Opportunities 11/2030 - EUR - - - - - - - - - -
Amundi Fund Solutions – Buy and Watch US High Yield Opportunities 03/2026 14.10.2025 CZK 0.05% 1 196,6600 -0.05% +0.98% +2.50% +4.27% +15.10% +26.52% - +3.73%
Amundi Fund Solutions – Buy and Watch US High Yield Opportunities 11/2025 14.10.2025 CZK 0.02% 56,6000 -0.02% +0.71% +2.06% +3.66% +13.47% +24.40% - +3.12%
Amundi Fund Solutions – Buy and Watch US High Yield Opportunities 11/2026 14.10.2025 CZK 0.13% 1 224,9300 -0.06% +1.08% +3.50% +5.09% +16.09% - - +4.54%
Amundi Funds Emerging Markets Local Currency Bond 15.10.2025 CZK 0.55% 1 026,0100 +0.16% +2.48% +7.69% +6.44% +19.12% +32.81% +7.11% +12.10%
Amundi Funds Euro Aggregate Bond 15.10.2025 EUR 0.29% 133,4000 +0.71% +1.48% +2.47% +2.89% +12.02% +13.71% -8.39% +2.46%
Amundi Funds Euro Corporate Bond Select 15.10.2025 CZK 0.30% 3 092,9900 +0.29% +1.69% +4.48% +5.55% +17.44% +25.88% +12.42% +4.32%
Amundi Funds Euro High Yield Bond 15.10.2025 EUR 0.40% 25,0200 -0.08% +1.09% +4.91% +4.99% +18.35% +28.97% +12.96% +3.43%
Amundi Funds Euro High Yield Bond 15.10.2025 CZK 0.40% 3 535,3700 -0.05% +1.40% +5.56% +6.04% +21.59% +38.04% +27.87% +4.36%
Amundi Funds Euro High Yield Short Term Bond 15.10.2025 CZK 0.24% 3 220,8000 +0.03% +1.04% +3.59% +5.03% +16.03% +29.84% +29.86% +3.72%
Amundi Funds Global Aggregate Bond 15.10.2025 CZK 0.22% 3 014,8700 +0.55% +2.91% +4.51% +5.19% +16.19% +22.11% +12.75% +5.99%
Amundi Funds Global Government Bond 15.10.2025 EUR 0.09% 138,1000 +0.81% +2.75% +0.79% -1.83% +3.26% -2.18% -10.64% -3.06%
Amundi Funds Global Government Bond 15.10.2025 USD 0.33% 27,3900 +0.81% +2.78% +3.40% +4.66% +14.27% +16.55% -11.22% +8.82%
Amundi Funds US Bond 15.10.2025 EUR -0.26% 53,0100 +0.45% +4.02% +2.81% -1.30% +6.13% -0.56% +1.03% -4.19%
Amundi Funds US Bond 15.10.2025 USD -0.02% 54,4600 +0.48% +4.09% +5.52% +5.26% +17.47% +18.57% +0.42% +7.59%
CPR B&W Climate Target 2028 14.10.2025 CZK -0.01% 11 852,7100 -0.02% +1.24% +3.62% +5.34% +17.88% - - +4.18%
CPR B&W European Strategic Autonomy 2028 14.10.2025 CZK -0.01% 119,6500 0.00% +1.08% +3.22% +5.01% +15.93% - - +4.21%
CPR B&W European Strategic Autonomy 2028 II 14.10.2025 CZK -0.18% 12 063,3800 -0.05% +1.41% +3.83% +5.41% +18.56% - - +4.33%
CPR Invest - B&W Climate HY Target 2030 14.10.2025 CZK -0.01% 10 299,2800 -0.28% +1.60% +5.89% - - - - -
CPR Invest - B&W Climate HY Target 2030 14.10.2025 EUR 0.01% 102,4600 -0.28% +1.37% +5.40% - - - - -
CPR Invest - B&W Climate Target 2027 14.10.2025 CZK -0.13% 10 706,0900 +0.04% +0.79% +1.84% +3.87% - - - +2.73%
CPR Invest - B&W Climate Target 2027 14.10.2025 EUR -0.11% 106,0600 +0.05% +0.56% +1.41% +3.22% - - - +2.14%
CPR Invest – B&W European Strategic Autonomy 2029 03.10.2025 CZK 0.21% 10 800,5100 +0.21% +1.56% +4.12% +6.19% - - - +5.00%
KB Dluhopisový 14.10.2025 CZK 0.09% 1,3204 +0.44% +0.36% +0.04% +1.66% +8.50% +18.53% -1.95% +1.71%
Fondy Fondů - Solutions Datum Měna posl.
změna
NAV/
PL
1
týden
3M 6M 1Y 2Y 3Y 5Y od začátku roku
Amundi CR All Star Selection 14.10.2025 CZK 0.10% 1,7825 -0.51% +4.29% +15.10% +2.76% +25.57% +39.20% +33.41% +1.33%
Amundi Fund Solutions – Multi-Asset Balanced 14.10.2025 CZK -0.08% 1 723,3900 -0.40% +4.48% +11.85% +6.70% +25.20% +32.10% +32.87% +6.04%
Amundi Fund Solutions – Multi-Asset Conservative 14.10.2025 CZK 0.04% 1 496,2500 +0.08% +3.26% +7.23% +5.23% +18.79% +24.12% +13.71% +4.79%
Amundi Fund Solutions – Multi-Asset Growth 14.10.2025 CZK -0.06% 894,2300 -0.54% +5.13% +13.51% +1.46% +22.58% +35.29% +15.16% +6.34%
Smíšené fondy Datum Měna posl.
změna
NAV/
PL
1
týden
3M 6M 1Y 2Y 3Y 5Y od začátku roku
Amundi CR Balancovaný 14.10.2025 CZK 0.09% 1,2169 -0.07% +2.11% +6.51% +2.41% +16.59% +28.57% +19.49% +1.60%
Amundi CR Balancovaný - konzervativní 14.10.2025 CZK 0.14% 1,5279 +0.40% +0.51% +1.46% +3.93% +12.27% +25.42% +5.69% +3.64%
Amundi Funds Absolute Return Multi-strategy 15.10.2025 CZK 0.53% 1 230,2500 0.00% +3.25% +8.43% +5.10% +19.19% +16.18% +17.60% +4.60%
Amundi Funds Multi-Asset Climate 15.10.2025 CZK 0.49% 3 407,4000 -0.20% +3.99% +11.91% +6.01% +26.07% +32.87% +30.99% +6.48%
Amundi Funds Multi-Asset Conservative Responsible 15.10.2025 CZK 0.33% 1 243,9000 +0.21% +2.86% +6.80% +2.98% +16.47% +24.93% +18.92% +3.10%
CPR Invest - Reactive 14.10.2025 EUR 0.10% 1 335,6500 -0.40% +5.10% +10.72% +5.99% +19.02% +16.38% +18.63% +5.04%
CPR Invest - Défensive 14.10.2025 EUR 0.13% 1 014,3600 -0.17% +2.64% +4.84% +4.77% +10.95% +9.18% +8.67% +4.33%
First Eagle Amundi Income Builder Fund 15.10.2025 CZK 0.62% 3 673,1600 -0.06% +5.52% +10.76% +10.72% +29.50% +44.06% +45.20% +16.89%
First Eagle Amundi International Fund 15.10.2025 EUR 1.08% 236,7500 0.00% +9.40% +18.02% +13.22% +37.53% +55.71% +45.77% +19.67%
First Eagle Amundi International Fund 15.10.2025 CZK 0.92% 4 232,0300 +0.03% +9.13% +18.04% +13.54% +40.05% +64.76% +62.24% +19.87%
First Eagle Amundi International Fund 15.10.2025 USD 0.93% 11 674,4000 +0.06% +9.75% +19.10% +15.47% +42.90% +66.44% +61.12% +21.60%
KB Portfolio – Dynamické 14.10.2025 CZK -0.13% 1,8998 -0.60% +3.13% +10.70% +6.38% +24.88% +29.84% +30.04% +6.27%
KB Portfolio – Konzervativní 14.10.2025 CZK 0.02% 1,6355 +0.11% +1.28% +3.34% +3.55% +15.74% +27.73% +17.48% +3.36%
KB Portfolio – Vyvážené 14.10.2025 CZK -0.05% 1,0550 -0.24% +2.21% +7.04% +4.50% - - - +5.10%
KB Privátní správa aktiv 3 - Flexibilní 14.10.2025 CZK 0.11% 1,3005 +0.31% +2.23% +4.60% +4.63% +15.61% +23.22% +22.56% +4.74%
Akciové fondy Datum Měna posl.
změna
NAV/
PL
1
týden
3M 6M 1Y 2Y 3Y 5Y od začátku roku
Amundi CR Akciový - Střední a východní Evropa - třída A 14.10.2025 CZK -0.59% 1,8221 -0.53% +2.76% +13.39% +27.46% +63.55% +136.82% +106.87% +23.63%
Amundi CR All Star Selection 14.10.2025 CZK 0.10% 1,7825 -0.51% +4.29% +15.10% +2.76% +25.57% +39.20% +33.41% +1.33%
Amundi CR IM Akciový (fond byl uzavřen 31.12.2024) 03.09.2024 CZK 0.00% 1,3652 +0.46% +0.95% +1.13% +17.11% +22.36% +10.08% +32.72% 0.00%
Amundi Funds China Equity 15.10.2025 USD 1.74% 17,5600 -4.51% +12.93% +31.24% +30.56% +36.12% +39.70% -21.85% +34.66%
Amundi Funds China Equity 15.10.2025 EUR 1.48% 15,1100 -3.45% +12.85% +27.83% +22.45% +23.05% +17.13% -21.34% +20.02%
Amundi Funds Emerging World Equity 15.10.2025 EUR 1.55% 180,3200 -0.93% +9.98% +23.93% +14.37% +29.26% +31.31% +30.52% +15.32%
Amundi Funds Emerging World Equity 15.10.2025 CZK 1.81% 3 405,8000 -0.79% +9.84% +26.59% +20.35% +41.34% +56.49% +31.69% +28.11%
Amundi Funds Emerging World Equity 15.10.2025 USD 1.81% 151,5500 -0.90% +10.03% +27.17% +21.93% +43.05% +56.50% +29.71% +29.46%
Amundi Funds Equity Japan Target 15.10.2025 EUR 1.59% 406,5100 -1.32% +11.83% +26.03% +23.62% +45.89% +92.70% +124.93% +19.49%
Amundi Funds Europe Equity Climate 15.10.2025 CZK 0.97% 3 593,2000 -0.89% +4.67% +13.86% +8.26% +30.58% +51.98% +77.76% +11.43%
Amundi Funds Europe Equity Climate 15.10.2025 EUR 1.09% 12,9700 -0.99% +4.43% +12.88% +6.40% +27.53% +43.16% +63.56% +9.36%
Amundi Funds Global Equity 15.10.2025 CZK 1.17% 2 359,8800 -1.27% +10.17% +29.57% +22.62% +55.00% +89.53% +126.24% +27.15%
Amundi Funds Global Equity Conservative 15.10.2025 EUR -0.39% 232,0300 -0.79% +1.85% -0.27% -2.71% +14.57% +15.20% +32.05% -3.21%
Amundi Funds Global Equity Conservative 15.10.2025 USD -0.13% 247,9700 -0.76% +1.91% +2.34% +3.73% +26.79% +37.30% +31.19% +8.66%
Amundi Funds Japan Equity Value 15.10.2025 CZK 1.28% 7 329,2900 -2.01% +11.03% +27.09% +21.79% +47.37% +79.66% +133.33% +18.48%
Amundi Funds Japan Equity Value 14.10.2025 JPY -4.06% 22 486,0000 -3.12% +8.95% +24.53% +17.47% +34.14% +52.92% +89.04% +14.47%
Amundi Funds Latin America Equity 15.10.2025 EUR 1.17% 95,7900 -0.53% +8.52% +20.63% +13.74% +11.19% +20.17% +76.60% +23.79%
Amundi Funds Latin America Equity 15.10.2025 USD 1.41% 612,2900 -0.56% +8.61% +23.82% +21.38% +23.16% +44.01% +76.92% +39.01%
Amundi Funds Polen Capital Global Growth 15.10.2025 CZK 0.17% 1 204,5200 -1.94% +2.84% +13.15% +3.37% +25.22% +57.87% +25.11% +2.16%
Amundi Funds SBI FM India Equity 15.10.2025 EUR 1.43% 245,4400 +1.98% -3.14% +0.88% -11.54% +4.38% +10.12% +65.77% -10.48%
Amundi Funds SBI FM India Equity 15.10.2025 USD 1.69% 402,1300 +2.00% -3.09% +3.52% -5.69% +15.52% +31.26% +64.71% +0.49%
Amundi Funds SBI FM India Equity 15.10.2025 CZK 1.25% 1 071,1100 +1.61% -4.68% -2.25% -14.94% - - - -13.74%
Amundi Funds US Equity Research Value 15.10.2025 CZK 0.32% 1 635,0200 -0.69% +4.55% +15.64% +6.60% +29.86% +44.38% +65.55% +9.54%
Amundi Funds US Equity Research Value 15.10.2025 EUR 0.08% 255,0600 -0.69% +4.82% +13.25% +0.94% +18.39% +20.79% +62.95% -1.66%
Amundi Funds US Equity Research Value 15.10.2025 USD 0.33% 297,5200 -0.67% +4.87% +16.21% +7.62% +31.02% +43.95% +62.18% +10.39%
Amundi Funds US Equity Select 15.10.2025 EUR 0.27% 78,4000 -1.13% +5.50% +24.56% +5.18% +27.44% - - +3.05%
Amundi Funds US Equity Select 15.10.2025 USD 0.51% 92,7500 -1.12% +5.55% +27.83% +12.13% +41.02% - - +15.66%
Amundi Funds US Pioneer Fund 15.10.2025 CZK 0.42% 6 791,0200 -0.90% +6.70% +31.36% +13.64% +57.00% +94.75% +94.89% +16.68%
Amundi Funds US Pioneer Fund 15.10.2025 USD 0.41% 29,6500 -0.90% +7.00% +31.95% +15.06% +59.07% +95.19% +92.91% +17.94%
Amundi MSCI North America - AE 15.10.2025 EUR 0.17% 780,1400 -1.22% +7.04% +20.40% +7.14% +39.49% +56.31% +92.29% +0.50%
Amundi MSCI North America - AHK 15.10.2025 CZK 0.44% 7 680,1800 -1.24% +6.66% +22.42% +12.22% +51.44% +84.64% +91.65% +11.14%
Amundi MSCI North America - AU 15.10.2025 USD 0.43% 648,5900 -1.20% +7.09% +23.54% +14.22% +54.36% +86.27% +91.05% +12.81%
CPR Artificial Intelligence 14.10.2025 CZK -1.34% 12 196,8000 -1.01% +9.56% +38.88% +20.67% - - - +18.01%
CPR Climate Action 14.10.2025 CZK -0.57% 145,8600 -0.66% +4.84% +17.87% +4.24% +32.95% +51.98% - +2.64%
CPR Food For Generations 15.10.2025 CZK 0.04% 11 526,8200 -0.29% -3.94% -2.30% -9.91% +2.51% -0.35% +18.62% -10.15%
CPR Global Disruptive Opportunities 15.10.2025 CZK 0.73% 21 788,8700 -2.04% +7.10% +24.50% +4.90% +42.95% +66.64% +29.87% -1.55%
CPR Global Lifestyles 14.10.2025 EUR -0.54% 120,7400 -1.38% +3.20% +11.81% +1.00% +24.53% +30.05% +20.44% -4.99%
CPR Global Lifestyles 14.10.2025 CZK -0.59% 107,4000 -1.65% +1.70% +8.33% -2.70% +22.63% +28.62% +7.46% -8.21%
CPR Global Lifestyles 14.10.2025 USD -0.24% 119,6400 -1.96% +2.33% +14.05% +7.30% +37.47% +54.61% +18.74% +6.39%
CPR Global Resources 14.10.2025 EUR 1.73% 157,6600 +0.14% +9.91% +24.45% +6.64% +11.10% +17.70% +56.40% +14.02%
CPR Global Resources 14.10.2025 CZK 1.68% 140,4300 -0.14% +8.31% +20.60% +2.60% +9.41% +16.52% +39.74% +10.18%
CPR Global Resources 14.10.2025 USD 1.86% 156,4700 -0.45% +8.99% +26.96% +13.00% +22.67% +40.02% +54.43% +27.71%
CPR Global Silver Age 14.10.2025 EUR 0.11% 1 541,5900 -0.60% +1.38% +5.75% -7.18% +10.26% +4.83% +23.03% -8.19%
CPR Global Silver Age 14.10.2025 CZK 0.09% 16 214,4600 -0.60% +1.68% +6.34% -6.55% +12.88% +12.22% +38.15% -7.62%
CPR Hydrogen 14.10.2025 CZK -0.57% 12 787,8800 -0.33% +11.64% +32.93% +21.06% +37.03% +49.94% - +24.45%
CPR Invest - Europe Defense CZK Hgd 14.10.2025 CZK -0.86% 10 797,4100 -2.25% - - - - - - -
CPR Invest - Global Gold Mines 14.10.2025 EUR 4.14% 196,1000 +2.73% +48.59% +51.30% +92.01% +156.17% +191.43% +94.29% +105.53%
CPR Invest - Global Gold Mines 14.10.2025 USD 4.27% 194,2900 +2.12% +47.36% +54.31% +103.38% +182.77% +246.39% +91.53% +130.12%
CPR Invest - Global Gold Mines 14.10.2025 CZK 4.09% 174,2500 +2.44% +46.47% +46.59% +84.70% +152.28% +188.21% - +98.58%
CPR MedTech 14.10.2025 CZK 0.47% 10 416,9900 -1.45% -4.12% +1.10% -3.08% +24.07% +27.55% +3.43% -0.20%
KB Portfolio – Akciových indexů 14.10.2025 CZK -0.27% 1,0885 -1.25% +4.09% +16.43% +7.68% - - - +8.80%
KB Portfolio – Dividendové (třída A) 14.10.2025 CZK -0.26% 2,0603 -0.28% +4.48% +13.40% +7.26% +31.61% +44.35% +68.53% +10.09%
KB Portfolio – Dividendové (třída D) 14.10.2025 CZK -0.26% 1,6234 -0.28% +4.47% +13.40% +4.20% +24.17% +36.18% +53.48% +6.96%
KBI Global Small Cap Equity Fund 14.10.2025 CZK 1.85% 10,1390 -0.22% +3.63% +13.95% -2.19% - - - -3.86%
KBI Global Sustainable Infrastructure Fund 14.10.2025 CZK 0.26% 10,1330 +0.79% +1.79% +7.41% -5.58% +13.45% +11.65% - +1.34%
KBI Water fund 14.10.2025 CZK 0.98% 16,5130 -0.73% +0.21% +12.77% +3.86% +33.97% +57.81% +64.05% +11.98%