About Prudentis

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Prudentis Baltic Fund
Prudentis Global Value Fund
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Investment Management
Prudentis Baltic Fund
2010 09 03
Net asset value per unit: 24,96 EUR
Daily change: 0,20 %
Year to date: 27,95 %
2009 : 41,89 %
Net Asset Value: 2,35 Mio LTL
Fund Price Graph
Fund Purchase Documents


Prudentis Global Value Fund
2010 09 03
Net asset value per unit: 110,22 EUR
Daily change: 0,26 %
Year to date: 2,77 %
2009 : 7,25 %
Net Asset Value: 0,47 Mio EUR
Fund Price Graph
Fund Purchase Documents


home About Prudentis

ABOUT PRUDENTIS

2008 02 29

Prudentis website was remarkably upgraded.

Investment management company Prudentis website has had several user friendly upgrades introduced: easier access to fund purchase documents was ensured and fund price graph providing with most possibilities among the Lithuanian investment funds graphs was installed.

The newly introduced graph module enables users to compare Prudentis Baltic Fund values and their percentile changes to those of ten worldwide stock indices. The ten indices are comprised of  Fund‘s benchmark index  OMX Baltic Benchmark CAP GI, OMX Vilnius, OMX Tallinn ir OMX Riga indices representing the developments of the stock markets in Lithuania, Latvia and Estonia, four Nordic countries – Denmark, Finland, Iceland and Sweden stock exchange spirits reflecting OMX Nordic 40, Central and Eastern Europe (Hungary, Czech Republic and Poland) traded index CECE, the famous S&P 500, euro zone blue chip index DJ Euro Stoxx 50 Perf., twenty largest Warsaw Stock Exchange stocks index WIG 20 and, finally, RTX Russian Traded Index.



UAB Prudentis
Dysnos 2/Mėsinių 5, LT-01135, Vilnius Lithuania
Phone: +370 5 2468378, +370 5 2431144   Fax: +370 5 2123269
Company code: 300081998
VAT CODE: LT 100003072118
Email: info@prudentis.lt
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