vPFMC Pension funds



Bond fund


Mixed fund


Equity fund

Index fund 


Until 1st April 2012 the values o actual retirement unit and NAV result from data of reference retirement company determined by the ratio on the market.

From 1st April 2012 the values of actual retirement unit and NAV result from applied investment strategies while managing the investments by virtual pension fund management company ltd.

There have been created new index pensionary fund from 1st April 2012.

 

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