Mažesnis tekstas Normalus tekstas Didesnis tekstas Spausdinti
Prices   Changes   Fees   Rates


Title  Daily value  NAV 
Pension fund - Active Investment 1.6679 27326347.3857
Pension fund - Conservative Investment 1.3491 8512745.9619
Pension fund - Growing Yield 1.758 6953157.4068
Pension fund - Rational Risk 1.38 44441046.4422
 


 

to the top