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Pension

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  Change, %
Currency code Net assets value of the Fund (Accounting) unit value Per day Per month This year Per year From the Fund establishment date
II Pillar Pension Funds
LTL 0,00 100,8297 0,0790 0,1765 0,8297 - 0,8297
LTL 0,00 130,5235 0,0798 0,0830 0,6823 3,6190 30,5235
LTL 0,00 108,1779 0,5172 5,9022 8,1779 - 8,1779
LTL 0,00 132,1065 0,3354 3,3569 4,9596 13,7042 32,1065
LTL 0,00 116,8815 0,5172 5,9024 8,1161 19,0965 16,8815
LTL 240 380 448,20 1,2920 0,0465 0,1783 0,6544 3,4593 29,2000
LTL 1 095 376 658,12 1,5466 0,2333 3,3893 5,3542 13,3622 54,6600
LTL 161 880 516,51 1,1125 0,3518 5,8214 8,9938 18,4393 11,2500