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Generali Premium Conservative Fund

The Fund is suitable for all clients who prefer a lower risk and who are willing to invest their money for at least 1 year. The Fund makes investments primarily into government and corporate bonds with a low risk of value fluctuation. Expected rate of appreciation exceeds the level of savings accounts and term deposit products. The Fund is actively managed.

Degree of risk - SRI

Investment horizon

Appreciation

Fund Performance Performance scenarios

Current NAV per unit 24.04.2024

NAV per Unit 11.34 EUR
Fund Performance per 1month 0.09 %
Fund Performance per 3 months 0.53 %
Fund Performance per 6 months 1.89 %
Fund Performance per 12 months 3.37 %
Fund Performance since the beginning of the year 0.62 %
Fund Performance per 3 years 0.09 %
Fund Performance per 3 years p.a. 0.03 %
Fund Performance per 5 years 0.62 %
Fund Performance per 5 years p.a. 0.12 %
Výkonnost fondu za 10 let 3.09 %
Výkonnost fondu za 10 let p.a. 0.3 %
Fund Performance per 1 year. 2023 3.58 %
Fund Performance per 1 year. 2022 -3.55 %
Fund Performance per 1 year. 2021 -0.44 %
Fund Performance per 1 year. 2020 0 %
Fund Performance per 1 year. 2019 1.61 %
Fund Performance per 1 year. 2018 -1.5 %
Fund Performance per 1 year. 2017 0.71 %
Fund Performance per 1 year. 2016 0.63 %
Fund Performance per 1 year. 2015 1.36 %
Fund Performance per 1 year. 2014 0.55 %
Fund Performance per 1 year. 2013 2.91 %
Fund Performance per 1 year. 2012 5.86 %
Fund Performance per 1 year. 2011 0.6 %
Fund Performance per 1 year. 2010 0 %

Graph


Download values in XLS table  

Legal warning
This is a marketing communication. The value of the investment may fluctuate over the life of the investment and, unless otherwise stated, the return on the amount originally invested is not guaranteed. Past performance is no guarantee of future performance. In some cases, the return to the investor may be increased or decreased due to exchange rate fluctuations. The value of securities issued by a fund with a summary risk indicator of 4 or higher may have a high volatility. Detailed information, including information on fees and risks and investment strategies, can be found in the key investor information document in the English language and/or in the articles of association/ prospectus of the relevant fund in the English language, for funds domiciled in Ireland in the English language. The documents are available electronically on the website of Generali Investments CEE, investiční společnost, a.s. (hereinafter referred to as "GIC") www.generali-investments.cz/en .  Information on the investor rights is provided in English in the Information on the Company which is availablehere. These documents are available in paper form at the Company's registered office, at its contact point and at the Company's contractual partners. For funds domiciled in Ireland, the manager may decide to repeal the measures taken for the purpose of offering.

Full wording of the risk warning can be found HERE.