Funds valuation

Rates of return tables and graphs of Erste FIO,
Erste Prestiż SFIO and Erste PPK SFIO

Sale and redemption prices of the participation units of Erste FIO and Erste Prestiż SFIO sub-funds

Table content has changed, displaying 0 sub-funds

Quotes for, unit category:
Day of valuation 16.07.2026
Unit category and fund typeCompare
cat. B
Erste Prestiż SFIO
1764,38 PLN
1817,31 PLN
1746,74 PLN
cat. B
Erste Prestiż SFIO
3722,33 PLN
3834,00 PLN
3685,11 PLN
cat. B
Erste Prestiż SFIO
1760,76 PLN
1813,58 PLN
1743,15 PLN
cat. B
Erste Prestiż SFIO
1404,53 PLN
1446,67 PLN
1390,48 PLN
cat. B
Erste Prestiż SFIO
2171,44 PLN
2236,58 PLN
2149,73 PLN
cat. B
Erste Prestiż SFIO
1662,50 PLN
1712,38 PLN
1645,88 PLN
cat. B
Erste Prestiż SFIO
1214,26 PLN
1250,69 PLN
1202,12 PLN
cat. B
Erste Prestiż SFIO
1451,22 PLN
1494,76 PLN
1436,71 PLN
cat. B
Erste Prestiż SFIO
1148,41 PLN
1182,86 PLN
1136,93 PLN
cat. B
Erste Prestiż SFIO
1295,17 PLN
1334,03 PLN
1282,22 PLN
cat. B
Erste Prestiż SFIO
1311,05 PLN
1350,38 PLN
1297,94 PLN
cat. B
Erste Prestiż SFIO
3121,79 PLN
3215,44 PLN
3090,57 PLN
Erste Prestiż AlfaAbsolute return
cat. B
Erste Prestiż SFIO
1535,85 PLN
1581,93 PLN
1520,49 PLN
cat. B
Erste Prestiż SFIO
1157,70 PLN
1192,43 PLN
1146,12 PLN
cat. B
Erste Prestiż SFIO
1116,15 PLN
1149,63 PLN
1104,99 PLN
cat. B
Erste Prestiż SFIO
1040,85 USD
1072,08 USD
1030,44 USD
cat. B
Erste Prestiż SFIO
999,69 EUR
1029,68 EUR
989,69 EUR
  • cat. BErste Prestiż SFIO
    Day of valuation
    16.07.2026
    Maximum sale price
    1817,31 PLN
    Participation unit value
    1764,38 PLN
    Minimum redemption price
    1746,74 PLN
  • cat. BErste Prestiż SFIO
    Day of valuation
    16.07.2026
    Maximum sale price
    3834,00 PLN
    Participation unit value
    3722,33 PLN
    Minimum redemption price
    3685,11 PLN
  • cat. BErste Prestiż SFIO
    Day of valuation
    16.07.2026
    Maximum sale price
    1813,58 PLN
    Participation unit value
    1760,76 PLN
    Minimum redemption price
    1743,15 PLN
  • cat. BErste Prestiż SFIO
    Day of valuation
    16.07.2026
    Maximum sale price
    1446,67 PLN
    Participation unit value
    1404,53 PLN
    Minimum redemption price
    1390,48 PLN
  • cat. BErste Prestiż SFIO
    Day of valuation
    16.07.2026
    Maximum sale price
    2236,58 PLN
    Participation unit value
    2171,44 PLN
    Minimum redemption price
    2149,73 PLN
  • cat. BErste Prestiż SFIO
    Day of valuation
    16.07.2026
    Maximum sale price
    1712,38 PLN
    Participation unit value
    1662,50 PLN
    Minimum redemption price
    1645,88 PLN
  • cat. BErste Prestiż SFIO
    Day of valuation
    16.07.2026
    Maximum sale price
    1250,69 PLN
    Participation unit value
    1214,26 PLN
    Minimum redemption price
    1202,12 PLN
  • cat. BErste Prestiż SFIO
    Day of valuation
    16.07.2026
    Maximum sale price
    1494,76 PLN
    Participation unit value
    1451,22 PLN
    Minimum redemption price
    1436,71 PLN
  • cat. BErste Prestiż SFIO
    Day of valuation
    16.07.2026
    Maximum sale price
    1182,86 PLN
    Participation unit value
    1148,41 PLN
    Minimum redemption price
    1136,93 PLN
  • cat. BErste Prestiż SFIO
    Day of valuation
    16.07.2026
    Maximum sale price
    1334,03 PLN
    Participation unit value
    1295,17 PLN
    Minimum redemption price
    1282,22 PLN
  • cat. BErste Prestiż SFIO
    Day of valuation
    16.07.2026
    Maximum sale price
    1350,38 PLN
    Participation unit value
    1311,05 PLN
    Minimum redemption price
    1297,94 PLN
  • cat. BErste Prestiż SFIO
    Day of valuation
    16.07.2026
    Maximum sale price
    3215,44 PLN
    Participation unit value
    3121,79 PLN
    Minimum redemption price
    3090,57 PLN
  • Erste Prestiż AlfaAbsolute return
    cat. BErste Prestiż SFIO
    Day of valuation
    16.07.2026
    Maximum sale price
    1581,93 PLN
    Participation unit value
    1535,85 PLN
    Minimum redemption price
    1520,49 PLN
  • cat. BErste Prestiż SFIO
    Day of valuation
    16.07.2026
    Maximum sale price
    1192,43 PLN
    Participation unit value
    1157,70 PLN
    Minimum redemption price
    1146,12 PLN
  • cat. BErste Prestiż SFIO
    Day of valuation
    16.07.2026
    Maximum sale price
    1149,63 PLN
    Participation unit value
    1116,15 PLN
    Minimum redemption price
    1104,99 PLN
  • cat. BErste Prestiż SFIO
    Day of valuation
    16.07.2026
    Maximum sale price
    1072,08 USD
    Participation unit value
    1040,85 USD
    Minimum redemption price
    1030,44 USD
  • cat. BErste Prestiż SFIO
    Day of valuation
    16.07.2026
    Maximum sale price
    1029,68 EUR
    Participation unit value
    999,69 EUR
    Minimum redemption price
    989,69 EUR

Investing activity involves risk. The sub-funds do not guarantee that the stated investment objective will be achieved or that a specific return on investment will be achieved. The participant must take into account the possibility of losing at least part of the invested funds. When investing in mutual funds, the participant acquires participation units of such funds, and not the underlying assets that the fund itself invests in. The presented data refer to changes in the value of participation units of Erste FIO, Erste Prestiż SFIO (for a selected category of units) and Erste PPK SFIO sub-funds in the specified periods of time. The historical data do not guarantee achievement of similar returns in the future.

Before making any investment decision please read the fund prospectus, which contains, inter alia, the full list of risks.

The maximum sale price of the participation unit is the net value of the participation unit plus the maximum value of the entry fee. The minimum redemption price of the participation unit is the net value of the participation unit less the maximum value of the exit fee. The values are calculated as follows:

CZmax = WJU / (1 - SODmax)

COmin = WJU x (1 - SOMmax)

CZmax - maximum sale price
COmin - minimum redemption price
WJU - value of the participation unit
SODmax - maximum value of the entry fee
SOMmax - maximum value of the exit fee
Sale and redemption prices are rounded to the nearest grosz.

The actual rates of entry and exit fees can be lower than the ones indicated above. The rates of entry and exit fees are defined in the table of fees and charges.

The sale and repurchase price of the units of Erste PPK SFIO subifund on a given valuation date is equal to the net asset value per unit of a given sub-fund on that valuation date. For the purpose of the settlement of contributions made to Erste PPK SFIO as at the first valuation date of each subfund, as well as contributions made to a newly-created subfund as at its first valuation date, the price of the unit will be a fixed price, the same for all units in all subfunds and will amount to PLN 1,000.00.

This document is presented for marketing purposes and does not constitute an agreement or an information document required by law.

It should not be relied upon as the sole basis for making investment decisions.

The presented data refer to the value of participation units of the respective Erste FIO sub-funds and the value of participation units of Erste Prestiż SFIO sub-funds and changes in the participation unit values over time. The data are historical and similar performance in the future cannot be guaranteed. The performance figures are not adjusted for the potential tax imposed on the Participant and the charges payable upon the sale or repurchase of participation units by the sub-fund.

The net asset value of some sub-funds may exhibit high volatility, which results from the composition of the portfolio or the portfolio management technique employed. The financial data, description of the risk factors of the sub-funds, and key information document (KID) can be found in the prospectus published in Polish at Erste.pl/TFI/documents and are available from the distributors of Erste FIO and Erste Prestiż SFIO. A summary of investors’ rights can be found in the prospectus (Chapter III, point 4). Some sub-funds can invest more than 35% of their assets in securities issued, guaranteed or underwritten by the State Treasury, the National Bank of Poland, a local administration unit, Member State or OECD member state or an international financial institution of which the Republic of Poland or at least one OECD country is a member. Detailed information about Erste FIO and Erste Prestiż SFIO funds, including the financial data, description of risk factors and information on fees related to participation in the funds can be found in the prospectus and the tables of fees available in Polish on Erste.pl/TFI and from the distributors of the funds.

The rewards of investing in shares are also accompanied by risks. When investing in mutual funds, the participant purchases the units of those funds and not the underlying assets that the fund itself invests in.

A description of the risk factors, financial data and information about fees and charges can be found in the prospectuses, key information documents (KIDs) and schedules of fees and charges available in Polish at Erste.pl/TFI/documents and at Erste fund distributors. For a summary of investors' rights, see the prospectus (Chapter III, sec. 4).

The Funds do not guarantee the achievement of a stated investment objective or a specific investment performance and future returns are subject to taxation, which depends on the personal situation of each investor and which may change over time. Before making an investment decision, the participant should consider the fees associated with the sub-fund and take into account the possible taxation of the investment return. The participant must also take into account the possibility of losing at least part of the invested funds.