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TBI Asset Management
 
TBI Asset Management
 
TBI Asset ManagementTBI Asset Management
19/05/12
 
TBI Asset Management - Reports TBI Asset Management
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download:
, 21/03/12
download:
, 21/03/12
Monthly Management Reports
download: September 2010 172,3  KB September 2010
172,3 KB, 11/10/10
download: August 2010 163,3  KB August 2010
163,3 KB, 10/09/10
download: July 2010 181,4  KB July 2010
181,4 KB, 11/08/10
download: June 2010 181,8  KB June 2010
181,8 KB, 12/07/10
download: May 2010 177,6  KB May 2010
177,6 KB, 11/06/10
download: April 2010 182,9  KB April 2010
182,9 KB, 12/05/10
download: March 2010 177,3  KB March 2010
177,3 KB, 13/04/10
download: February 2010 179,6  KB February 2010
179,6 KB, 11/03/10
download: January 2010 181,7  KB January 2010
181,7 KB, 11/02/10
Subscribe to the monthly management reports of TBI Dynamic
Units` Prices for 19/05/12 TBI Dynamic
Issue price TBI Asset ManagementBGN 7,7972
Redemption price TBI Asset ManagementBGN 7,5679
Net Asset Value per unit TBI Asset ManagementBGN 7.6443
Net Asset Value BGN 1 940 398
Prices are valid for orders placed on: 18/05/12
The expenses for the issuance and redemption per unit are 2%  and 1% of the net asset value per one unit and they are included in the prices quoted above.
Units` Prices for 21/05/12, if transferring to TBI Dynamic*
Issue price
(if transferring from TBI Eurobond)
BGN 7.7857
Issue price
(if transferring from TBI Comfort)
BGN 7.7590
Issue price
(if transferring from TBI Harmony)
BGN 7.7207
Prices are valid for orders placed on: 18/05/12
*The expenses for the issuance per unit are 1.85% (TBI Eurobond), 1.50% (TBI Comfort) and 1.00% (TBI Harmony) of the net asset value per unit and they are included in the prices quoted above.
Yield of TBI Dynamic
Yield from beginning of the year* -4,77%
Yield since inception** -0,58%
Yield for the last 12 months** -15,64%
for date: 18/05/12
*   for the period
* * on an annual basis
 
 
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