Kategorija fonda:
Dionički fondovi - Equity funds
Početna vrijednost udjela:
99,9931 kn
VaR - rizičnost vrijednosti:
14,44 %
Prva uplata:
min. 350,00 kn
Početak rada fonda:
10.10.2008
Daljnje uplate:
min. 350,00 kn
Starost fonda:
3,62
god (3g 7mj 13d)
Imovina fonda:
18,135 mil kn
Graf.
NFD Aureus US Algorithm [
kn ] | -4,63 %
Ulazna naknada:
Ovisno o iznosu uplate: do 300.000,00 kn = 2,00 % od 300.000,01 kn do 500.000,00 kn = 1,00 % od 500.000,01 kn do 1.000.000 kn = 0,50 % preko 1.000.000,01 kn = 0,00 %Tijekom godine, svakom udjelničaru omogućena su najviše 3 (tri) prelaska iz jednog NFD Aureus fonda u drugi NFD Aureus fond BEZ naplate troška ulazne i izlazne naknade.
Izlazna naknada:
Za razdoblje investiranja: do 6 mjeseci = 0,50 % iznad 6 mjeseci = 0,00 % Za isplate u iznosu: iznad 500.000,00 kn = 0,00 %
Naknada za upravljanje:
3,00 % na godišnjoj osnovi
Naknada dep. banci:
0,30 % na godišnjoj osnovi
Vrijednosti zadnjih mjesec dana
| 22.05.2012 118,0364
| 21.05.2012 120,5046
| 18.05.2012 114,0180
| 17.05.2012 115,5334
| 16.05.2012 119,4250
| 15.05.2012 121,7134
| 14.05.2012 121,3902
| 11.05.2012 122,7074
| 10.05.2012 121,9942
| 09.05.2012 121,1813
| 08.05.2012 122,5136
| 07.05.2012 122,1658
| 04.05.2012 122,3605
| 03.05.2012 125,7508
| 02.05.2012 127,8054
| 30.04.2012 128,2399
| 27.04.2012 128,4206
| 26.04.2012 127,5797
| 25.04.2012 125,7700
| 24.04.2012 124,8871
| 23.04.2012 123,2287
| 20.04.2012 123,7606
| 19.04.2012 122,5058
| 18.04.2012 122,4484
| 17.04.2012 124,1841
| 16.04.2012 121,8862
| 13.04.2012 122,7202
| 12.04.2012 124,1598
| 11.04.2012 123,2099
| 10.04.2012 120,5517
| | | | | | | | | |
Napomena: Do 30. travnja 2010. godine ime ovog fonda bilo je Aureus US Equity i njime je upravljalo društvo Aureus Invest. Pripajanjem Aureus Investa tadašnjem NFD Kapitalu preuzeto je i upravljanje nad fondom te mu je temeljem odobrenja Hanfe od 4. studenog 2010. promijenjen Prospekt, Statut te ime fonda u NFD Aureus US Algorithm.
Fond je u potpunosti
temeljen na algoritamskim sustavima trgovanja . Takav operativno zahtjevan način ulaganja je već dulje vrijeme prisutan na zapadnim, visoko razvijenim tržištima, dok je kod nas potpuna novost. Fond je
namijenjen ulagačima koji imaju veću toleranciju prema riziku i bit će
trajno izložen dioničkim tržištima u omjeru
ne manjem od 70% neto imovine fonda.
Skraćena verzija investicijske strategije fonda:
najmanje 70% u prenosive vlasničke vrijednosne papire (VP) i prava na dionicama koji kotiraju na burzama i uređenim tržištima u SAD , od toga:do 100% u prenosive vlasničke VP i prava na dionicama izdavatelja sa sjedištem u Sjevernoj Americi (SAD i Kanada)maksimalno do 10% u prenosive VP papire i prava na dionicama izdavatelja sa sjedištem u Srednjoj i Južnoj Americimaksimalno do 20% u prenosive vlasničke VP i prava na dionicama izdavatelja sa sjedištem u Europimaksimalno do 20% u prenosive vlasničke VP i prava na dionicama izdavatelja sa sjedištem u Azijimaksimalno do 10% u prenosive vlasničke VP i prava na dionicama izdavatelja sa sjedištem u Australiji i Oceaniji
Zadnja vrijednost:
118,0364 kn
VaR - rizičnost vrijednosti:
14,44 %
Zadnjih tjedan dana:
-3,02 %
Zadnja 24 mjeseca:
-4,13 %
Zadnjih mjesec dana:
-4,63 %
Prinos u 2012:
-1,60 %
Zadnja 3 mjeseca:
-10,84 %
PGP:
4,69 %
Zadnjih 6 mjeseci:
2,86 %
PGP 3 godine:
0,29 %
Zadnjih 12 mjeseci:
-10,84 %
Od osnutka:
18,04 %
Prinos u 2012. = -1,6635,39 %
Otvori
1.mj8,90
2.mj-3,19
3.mj5,54
4.mj-3,92
5.mj-7,96
6.mj 0,00
7.mj 0,00
8.mj 0,00
9.mj 0,00
10.mj 0,00
11.mj 0,00
12.mj 0,00
Q1
11,27%
Q2
-11,57%
Q3
0,00%
Q4
0,00%
Prinos u 2011. = -18,38687,33 %
Otvori
1.mj-3,55
2.mj5,65
3.mj-0,83
4.mj-5,84
5.mj-2,88
6.mj-3,60
7.mj2,48
8.mj-10,85
9.mj-14,43
10.mj14,32
11.mj5,53
12.mj-2,87
Q1
1,06%
Q2
-11,84%
Q3
-21,82%
Q4
17,18%
Prinos u 2010. = 32,34433,34 %
Otvori
1.mj-0,92
2.mj6,87
3.mj8,48
4.mj9,94
5.mj-9,91
6.mj-11,42
7.mj6,05
8.mj-10,52
9.mj8,46
10.mj2,79
11.mj15,40
12.mj7,58
Q1
14,87%
Q2
-12,28%
Q3
2,92%
Q4
27,61%
Prinos u 2009. = 3,81986,32 %
Otvori
1.mj2,83
2.mj-3,77
3.mj0,08
4.mj11,12
5.mj-1,88
6.mj-1,89
7.mj1,86
8.mj0,10
9.mj-0,64
10.mj-4,20
11.mj2,87
12.mj-1,85
Q1
-0,97%
Q2
6,97%
Q3
1,31%
Q4
-3,27%
Prinos u 2008. = 6,98164,84 %
Otvori
1.mj N/A
2.mj N/A
3.mj N/A
4.mj N/A
5.mj N/A
6.mj N/A
7.mj N/A
8.mj N/A
9.mj N/A
10.mj6,96
11.mj2,51
12.mj-2,43
Q1
N/A%
Q2
N/A%
Q3
N/A%
Q4
6,98%
Ukoliko graf nije prikazan, molimo Vas da instalirate flash player klikom na ikonu.
Grafička usporedba s drugim fondovima:
Odaberi razdoblje:
01 02 03 04 05 06 07 08 09 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31
01 02 03 04 05 06 07 08 09 10 11 12
2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995
-
01 02 03 04 05 06 07 08 09 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31
01 02 03 04 05 06 07 08 09 10 11 12
2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995
Odaberite fond
A1
AC Global Balanced Emerging M (GBEM)
AC Global Dynamic Emerging M (GDEM)
AC Rusija
Agram Euro Cash
Agram Trust
Allianz Cash
Allianz Equity
Allianz Portfolio
Auctor Cash
C-Premium
C-Zenit
Capital One
Capital Two
Erste Adriatic Equity
Erste Balanced
Erste Bond
Erste Euro-Money
Erste Money
Erste Total East
FIMA Equity
HI-balanced
HI-cash
HI-conservative
HI-growth
HPB Dionički
HPB Dynamic
HPB Euronovčani
HPB Global
HPB Novčani
HPB Obveznički
HPB Titan
HPB WAV DJE
ICF Balanced
Ilirika Azijski tigar
Ilirika BRIC
Ilirika Gold
Ilirika JIE
KD Balanced
KD Energija
KD Nova Europa
KD Prvi izbor
KD Victoria
Locusta Cash
NFD Aureus BRIC
NFD Aureus Emerging Markets Balanced
NFD Aureus Global Developed
NFD Aureus MENA
NFD Aureus MultiCash
NFD Aureus New Europe
NFD Aureus US Algorithm
OTP Europa Plus
OTP MERIDIAN 20
OTP euro obveznički
OTP indeksni
OTP novčani fond
OTP uravnoteženi
PBZ Bond fond
PBZ Dollar fond
PBZ Equity fond
PBZ Euro Novčani
PBZ Global fond
PBZ I-Stock
PBZ Novčani fond
Platinum Blue Chip
Platinum Cash
Platinum Global Opportunity
Prospectus JIE
Raiffeisen Balanced
Raiffeisen Bonds
Raiffeisen Cash
Raiffeisen Central Europe
Raiffeisen Prestige
Raiffeisen Prestige Equity
Raiffeisen World
Raiffeisen euroCash
ST Balanced
ST Cash
ST Global Equity
VB CROBEX10
VB Cash
VB SMART
ZB BRIC+
ZB aktiv
ZB bond
ZB euroaktiv
ZB europlus
ZB global
ZB plus
ZB trend
Odaberite fond
A1
AC Global Balanced Emerging M (GBEM)
AC Global Dynamic Emerging M (GDEM)
AC Rusija
Agram Euro Cash
Agram Trust
Allianz Cash
Allianz Equity
Allianz Portfolio
Auctor Cash
C-Premium
C-Zenit
Capital One
Capital Two
Erste Adriatic Equity
Erste Balanced
Erste Bond
Erste Euro-Money
Erste Money
Erste Total East
FIMA Equity
HI-balanced
HI-cash
HI-conservative
HI-growth
HPB Dionički
HPB Dynamic
HPB Euronovčani
HPB Global
HPB Novčani
HPB Obveznički
HPB Titan
HPB WAV DJE
ICF Balanced
Ilirika Azijski tigar
Ilirika BRIC
Ilirika Gold
Ilirika JIE
KD Balanced
KD Energija
KD Nova Europa
KD Prvi izbor
KD Victoria
Locusta Cash
NFD Aureus BRIC
NFD Aureus Emerging Markets Balanced
NFD Aureus Global Developed
NFD Aureus MENA
NFD Aureus MultiCash
NFD Aureus New Europe
NFD Aureus US Algorithm
OTP Europa Plus
OTP MERIDIAN 20
OTP euro obveznički
OTP indeksni
OTP novčani fond
OTP uravnoteženi
PBZ Bond fond
PBZ Dollar fond
PBZ Equity fond
PBZ Euro Novčani
PBZ Global fond
PBZ I-Stock
PBZ Novčani fond
Platinum Blue Chip
Platinum Cash
Platinum Global Opportunity
Prospectus JIE
Raiffeisen Balanced
Raiffeisen Bonds
Raiffeisen Cash
Raiffeisen Central Europe
Raiffeisen Prestige
Raiffeisen Prestige Equity
Raiffeisen World
Raiffeisen euroCash
ST Balanced
ST Cash
ST Global Equity
VB CROBEX10
VB Cash
VB SMART
ZB BRIC+
ZB aktiv
ZB bond
ZB euroaktiv
ZB europlus
ZB global
ZB plus
ZB trend
Odaberite fond
A1
AC Global Balanced Emerging M (GBEM)
AC Global Dynamic Emerging M (GDEM)
AC Rusija
Agram Euro Cash
Agram Trust
Allianz Cash
Allianz Equity
Allianz Portfolio
Auctor Cash
C-Premium
C-Zenit
Capital One
Capital Two
Erste Adriatic Equity
Erste Balanced
Erste Bond
Erste Euro-Money
Erste Money
Erste Total East
FIMA Equity
HI-balanced
HI-cash
HI-conservative
HI-growth
HPB Dionički
HPB Dynamic
HPB Euronovčani
HPB Global
HPB Novčani
HPB Obveznički
HPB Titan
HPB WAV DJE
ICF Balanced
Ilirika Azijski tigar
Ilirika BRIC
Ilirika Gold
Ilirika JIE
KD Balanced
KD Energija
KD Nova Europa
KD Prvi izbor
KD Victoria
Locusta Cash
NFD Aureus BRIC
NFD Aureus Emerging Markets Balanced
NFD Aureus Global Developed
NFD Aureus MENA
NFD Aureus MultiCash
NFD Aureus New Europe
NFD Aureus US Algorithm
OTP Europa Plus
OTP MERIDIAN 20
OTP euro obveznički
OTP indeksni
OTP novčani fond
OTP uravnoteženi
PBZ Bond fond
PBZ Dollar fond
PBZ Equity fond
PBZ Euro Novčani
PBZ Global fond
PBZ I-Stock
PBZ Novčani fond
Platinum Blue Chip
Platinum Cash
Platinum Global Opportunity
Prospectus JIE
Raiffeisen Balanced
Raiffeisen Bonds
Raiffeisen Cash
Raiffeisen Central Europe
Raiffeisen Prestige
Raiffeisen Prestige Equity
Raiffeisen World
Raiffeisen euroCash
ST Balanced
ST Cash
ST Global Equity
VB CROBEX10
VB Cash
VB SMART
ZB BRIC+
ZB aktiv
ZB bond
ZB euroaktiv
ZB europlus
ZB global
ZB plus
ZB trend
Ukoliko graf nije prikazan, molimo Vas da instalirate flash player klikom na ikonu.
04.mj '11
09.mj '11
12.mj '11
03.mj '12
Top 10 pozicija fonda
KIT DIGITAL INC 5,65%
TPC GROUP INC 5,05%
ALLOT COMMUNICATIONS LTD 4,93%
KERYX BIOPHARMACEUTICALS 4,87%
AMARIN CORPORATION PLC -ADR 4,80%
OYO GEOSPACE CORP 4,79%
ALTISOURCE PORTFOLIO SOL 4,75%
ATLAS AIR WORLDWIDE HOLDINGS 4,62%
3D SYSTEMS CORP 4,61%
CHELSEA THERAPEUTICS INTERNA 4,59%
Ostalo 51,34%
Geografska izloženost fonda
UNITED STATES 83,74%
ISRAEL 4,93%
IRELAND 4,80%
LUXEMBOURG 4,74%
Ostalo 1,79%
Pregled po sektorima fonda
Consumer, Non-cyclical 43,07%
Communications 10,58%
Basic Materials 9,61%
Industrial 9,04%
Technology 8,62%
Energy 8,19%
Financial 4,74%
Consumer, Cyclical 4,38%
Ostalo 1,77%
Valutna izloženost fonda
USD 100,00%
Vrste vrijednosnica
EQUITY 98,22%
CASH 1,78%
Top 10 pozicija fonda
SAUER-DANFOSS INC 5,01%
OXFORD INDUSTRIES INC 4,84%
ARIAD PHARMACEUTICALS INC 4,79%
ULTRATECH INC 4,78%
TPC GROUP INC 4,69%
CHARMING SHOPPES 4,61%
SPECTRUM PHARMACEUTICALS 4,58%
SEASPAN CORP 4,52%
PARKER DRILLING CO 4,48%
MAJESCO ENTERTAINMENT CO 4,45%
Ostalo 53,25%
Geografska izloženost fonda
UNITED STATES 86,52%
HONG KONG 4,51%
CHINA 3,48%
Ostalo 5,49%
Pregled po sektorima fonda
Consumer, Non-cyclical 33,34%
Industrial 17,71%
Technology 12,73%
Communications 11,40%
Consumer, Cyclical 9,44%
Energy 8,90%
Basic Materials 4,68%
Ostalo 1,80%
Valutna izloženost fonda
USD 100,00%
Vrste vrijednosnica
EQUITY 98,19%
CASH 1,81%
Top 10 pozicija fonda
WARNER CHILCOTT PLC-CLASS A 4,90%
GOOGLE INC-CL A 4,82%
APPLE INC 4,76%
THERMO FISHER SCIENTIFIC INC 4,74%
BLACKROCK INC 4,61%
HALLIBURTON CO 4,28%
JPMORGAN CHASE & CO 4,23%
CABLEVISION SYSTEMS-NY GRP-A 4,17%
PIONEER NATURAL RESOURCES CO 4,10%
CUMMINS INC 4,07%
Ostalo 55,32%
Geografska izloženost fonda
UNITED STATES 87,41%
IRELAND 4,90%
BERMUDA 3,06%
Ostalo 4,63%
Pregled po sektorima fonda
Energy 36,84%
Financial 16,61%
Industrial 12,73%
Communications 12,35%
Technology 8,76%
Consumer, Non-cyclical 4,90%
Basic Materials 3,19%
Ostalo 4,62%
Valutna izloženost fonda
USD 100,00%
Vrste vrijednosnica
EQUITY 95,37%
CASH 4,63%
Top 10 pozicija fonda
APPLE INC 4,69%
GREEN MOUNTAIN COFFEE ROASTE 4,54%
METLIFE INC 4,51%
CLIFFS NATURAL RESOURCES 4,51%
HALLIBURTON CO 4,50%
AMARIN CORPORATION PLC -ADR 4,34%
JPMORGAN CHASE & CO 4,33%
NII HOLDINGS INC 4,32%
PEABODY ENERGY CORP 4,31%
UNITED CONTINENTAL HOLDINGS 4,21%
Ostalo 55,74%
Geografska izloženost fonda
UNITED STATES 85,06%
IRELAND 8,27%
CHINA 3,71%
Ostalo 2,96%
Pregled po sektorima fonda
Energy 24,48%
Consumer, Non-cyclical 20,02%
Communications 19,08%
Consumer, Cyclical 11,74%
Financial 8,84%
Technology 4,69%
Basic Materials 4,51%
Industrial 3,66%
Ostalo 2,98%
Valutna izloženost fonda
USD 100,00%
Vrste vrijednosnica
EQUITY 97,04%
CASH 2,96%
Top 10 pozicija fonda
KIT DIGITAL INC 5,65%
TPC GROUP INC 5,05%
ALLOT COMMUNICATIONS LTD 4,93%
KERYX BIOPHARMACEUTICALS 4,87%
AMARIN CORPORATION PLC -ADR 4,80%
OYO GEOSPACE CORP 4,79%
ALTISOURCE PORTFOLIO SOL 4,75%
ATLAS AIR WORLDWIDE HOLDINGS 4,62%
3D SYSTEMS CORP 4,61%
CHELSEA THERAPEUTICS INTERNA 4,59%
Ostalo 51,34%
Geografska izloženost fonda
UNITED STATES 83,74%
ISRAEL 4,93%
IRELAND 4,80%
LUXEMBOURG 4,74%
Ostalo 1,79%
Pregled po sektorima fonda
Consumer, Non-cyclical 43,07%
Communications 10,58%
Basic Materials 9,61%
Industrial 9,04%
Technology 8,62%
Energy 8,19%
Financial 4,74%
Consumer, Cyclical 4,38%
Ostalo 1,77%
Valutna izloženost fonda
USD 100,00%
Vrste vrijednosnica
EQUITY 98,22%
CASH 1,78%
Valuta
Vrijednost
Promjena
1
EUR
7,551253
-0,01
-0,10%
1
USD
5,975038
0,05
0,90%
1
GBP
9,396781
0,05
0,57%
1
CHF
6,289566
-0,01
-0,09%
Indeks
Datum
Vrijednost
Promjena
Zagrebačka burza
*
CROBEX
23.05. 15:59
1.720,36
-24,75
-1,42%
*
CROBEX10
23.05. 15:58
949,05
-9,70
-1,01%
*
CROBIS
23.05. 16:15
94,96
-0,02
-0,02%
* Live podaci
* Podaci na kraju trgovanja
Indeks
Datum
Vrijednost
Promjena
Ljubljanska burza
*
SBITOP
23.05. 13:04
563,85
-18,10
-3,11%
Banjalučka burza
*
BIRS
23.05. 12:17
816,55
-1,87
-0,23%
*
FIRS
23.05. 12:47
1.796,85
8,50
0,48%
*
ERS10
23.05. 12:17
798,60
-0,09
-0,01%
Sarajevska burza
*
BIFX
23.05. 13:07
1.471,30
-7,25
-0,49%
*
SASX-10
23.05. 13:23
739,01
-1,57
-0,21%
*
SASX-30
23.05. 13:23
893,41
-2,75
-0,31%
Beogradska burza
*
BELEX15
23.05. 13:00
456,48
-6,71
-1,45%
*
BELEXline
23.05. 13:00
920,77
-12,83
-1,37%
Montenegro burza
*
MONEX20
23.05.2012
8.780,17
-57,20
-0,65%
*
MONEXPIF
23.05.2012
3.517,08
-15,32
-0,43%
Makedonska burza
*
MBI10
23.05. 12:42
1.932,72
12,77
0,67%
*
MBID
23.05. 12:09
1.826,95
-0,26
-0,01%
* Live podaci
* Podaci na kraju trgovanja
Indeks
Datum
Vrijednost
Promjena
EUROPA
*
DAX P-IN.
23.05. 17:45
6.285,75
-149,85
-2,33%
*
FTSE 100
23.05. 17:35
5.266,41
-136,87
-2,53%
*
CAC 40
23.05. 17:44
3.003,27
-80,82
-2,62%
*
ATX
23.05. 17:35
1.920,19
-48,60
-2,47%
*
RUSSIA RTS
23.05.2012
1.264,29
-57,58
-4,36%
SAD
*
DOW JONES
23.05. 22:05
12.496,15
-6,66
-0,05%
*
NASDAQ 100
23.05. 22:30
2.547,08
7,88
0,31%
*
NASDAQ
23.05. 22:30
2.850,12
11,04
0,39%
*
S&P 500
23.05. 22:06
1.318,86
2,23
0,17%
AZIJA
*
NIKKEI 225
23.05.2012
8.556,60
-172,69
-1,98%
*
HANG-SENG
23.05.2012
18.786,19
-252,96
-1,33%
*
RUSSIA RTS
23.05.2012
1.264,29
-57,58
-4,36%
OSTALO
*
MERVAL
22.05.2012
2.239,24
45,53
2,08%
*
IPC MEXICO
22.05.2012
37.481,19
-31,22
-0,08%
* Podaci na kraju trgovanja
ZSE - Dionice (23.05.2012. 15:59:52) Osvježi
Dionica
Zadnja
Promjena
Promet
KOKA-R-A
150,00
-25,00%
3.750,00
HPDG-R-A
23,52
-12,89%
1.317,12
SDBA-R-A
71,00
-12,33%
710,00
FNVC-R-A
115,00
-8,00%
3.450,00
ZVZD-R-A
2.922,01
-5,42%
17.796,03
BD62-R-A
38,00
-5,02%
13.223,89
LKRI-R-A
137,17
-5,01%
353.944,41
VPIK-R-A
77,31
-4,15%
32.659,96
DIOK-R-A
27,79
-4,14%
148.501,84
IGH-R-A
735,00
-3,93%
14.702,20
Dionica
Zadnja
Promjena
Promet
HT-R-A
201,03
-0,92%
2.502.527,57
ERNT-R-A
1.205,00
-0,33%
1.051.233,27
INA-R-A
3.625,00
-1,29%
601.037,16
ADRS-P-A
215,50
-1,15%
483.652,00
LKRI-R-A
137,17
-5,01%
353.944,41
DDJH-R-A
72,00
-3,69%
305.035,10
PTKM-R-A
244,00
-0,16%
288.816,38
ADPL-R-A
114,80
-1,96%
268.774,97
ZABA-R-A
38,00
-0,16%
192.732,64
RIVP-R-A
11,26
0,54%
171.371,35
Dionica
Zadnja
Promjena
Promet
LRH-R-A
2.789,99
12,73%
76.571,86
CRLL-R-A
2.197,99
12,43%
8.791,96
BZJK-R-A
94,96
5,92%
379,84
SLDR-R-A
158,00
3,47%
158,00
HTPK-R-A
56,50
1,95%
2.203,50
KODT-P-A
975,00
1,87%
48.546,38
HUPZ-R-A
1.050,00
1,84%
54.560,00
CROS-P-A
6.000,00
1,69%
6.000,00
KODT-R-A
1.035,00
0,89%
5.175,00
PODR-R-A
221,50
0,63%
142.852,58
Ukupan promet: 8.285.382,82kn