Productname ISIN | WKN | Underlying | Maturity | Currency | Minimum rate | Basic lower rate | Premium upper rate | Barrier in % |
Měnový prémiový vklad v EUR 10/2024 PVDRIJ291025 | - | USD/EUR | 2025/10/29 | EUR | 1.00% p.a. | 1.00% p.a. | 3.00% p.a. | - |
Měnový prémiový vklad v CZK 10/2024 PVERIJ291025 | - | Euro / CZK (ČNB) | 2025/10/29 | CZK | 2.00% p.a. | 2.00% p.a. | 3.50% p.a. | - |
Měnový prémiový vklad v USD 10/2024 PVURIJ291025 | - | USD/EUR | 2025/10/29 | USD | 2.00% p.a. | 2.00% p.a. | 4.00% p.a. | - |
Name ISIN | Bond Type | Bid | Ask | Date | Maturity Yield to maturity p.a. (before capital gains tax) | Coupon style Current coupon | |
Prémiový dluhopis PX 4 XS2885321336 | Structured bonds and notes | - | 100.00 | 2024/10/25 11:20:00 | 2029/11/06 - | variable - | |
Prémiový dluhový cenný papír INSURANCE AUTOCALL 6 XS2863768276 | Structured bonds and notes | 97.95 | - | 2024/10/25 11:20:00 | 2027/11/02 - | variable - | |
Prémiový dluhový cenný papír OIL TWIN WIN XS2869882378 | Structured bonds and notes | - | 100.00 | 2024/10/25 11:20:00 | 2027/11/29 - | variable - |
Productname ISIN | WKN | Bid | Ask | Date | Long/ Short | Leverage | Strike | Barrier | Barrier distance in % | Maturity | Currency | |
Erste Group Turbo long VOLKSWAGEN VZ Open end AT0000A3FEY5 | EB1MHW | 70.22 | 71.23 | 2024/10/25 16:29 | long | 3.30 | 65.3127 | 70.3127 | 24.30% | Open end | CZK | |
Erste Group Turbo short BMW Open end AT0000A3FEZ2 | EB1MHX | 59.12 | 59.63 | 2024/10/25 16:29 | short | 3.23 | 100.0134 | 95.0134 | 24.76% | Open end | CZK | |
Erste Group Turbo short COMMERZBANK Open end AT0000A3FF00 | EB1MHY | 7.14 | 7.25 | 2024/10/25 16:29 | short | 5.65 | 19.0025 | 18.0025 | 11.20% | Open end | CZK | |
Erste Group Turbo short VOLKSWAGEN VZ Open end AT0000A3FF18 | EB1MHZ | 68.33 | 69.33 | 2024/10/25 16:29 | short | 3.39 | 120.0161 | 115.0161 | 23.83% | Open end | CZK | |
Erste Group Turbo long E-mini S&P 500 Open end AT0000A3FF26 | EB1MH0 | 277.66 | 278.56 | 2024/10/25 16:29 | long | 4.94 | 4,710.9764 | 4,810.9764 | 18.16% | Open end | CZK | |
Erste Group Turbo long GOLD Future Open end AT0000A3FF34 | EB1MH2 | 2,553.5701 | 2,559.5801 | 2024/10/25 16:29 | long | 2.51 | 1,653.8534 | 1,703.8534 | 37.97% | Open end | CZK | |
Erste Group Turbo long GOLD Future Open end AT0000A3FF42 | EB1MH1 | 1,619.22 | 1,625.23 | 2024/10/25 16:29 | long | 3.96 | 2,054.7874 | 2,104.7874 | 23.37% | Open end | CZK | |
Erste Group Turbo short E-mini S&P 500 Open end AT0000A3FF59 | EB1MH3 | 277.27 | 278.17 | 2024/10/25 16:29 | short | 4.95 | 7,083.4478 | 6,983.4478 | 18.80% | Open end | CZK |
Name ISIN | Product description | Investment Company | Fund type | Currency | NAV Date NAV | |
Sporoinvest CZ0008472271 | Bond fund of very short-term investments. | Erste Asset Management GmbH, pobočka Česká republika | Bond Funds | CZK | 2.1266 2024/10/23 | |
Sporoinvest PLUS CZ0008475225 | This share class PLUS of the fund can only be purchased in the Investing PLUS scheme, see the Price List for Investing. | Erste Asset Management GmbH, pobočka Česká republika | Bond Funds | CZK | 1.1684 2024/10/23 | |
ČS korporátní dluhopisový CZ0008472230 | Bond fund investing in corporate bonds primarily of investment grade, but also of speculative grade. | Erste Asset Management GmbH, pobočka Česká republika | Bond Funds | CZK | 1.5745 2024/10/23 | |
Sporobond CZ0008472263 | Bond fund investing mainly in Czech government bonds and investment-grade corporate bonds. | Erste Asset Management GmbH, pobočka Česká republika | Bond Funds | CZK | 2.3948 2024/10/23 | |
Trendbond CZ0008472297 | Bond fund investing mainly in government bonds of Central and Eastern European countries. | Erste Asset Management GmbH, pobočka Česká republika | Bond Funds | CZK | 1.0493 2024/10/23 | |
High yield dluhopisový CZ0008472412 | Bond fund investing mainly in speculative grade corporate bonds | Erste Asset Management GmbH, pobočka Česká republika | Bond Funds | CZK | 1.6345 2024/10/23 | |
Sporobond PLUS CZ0008475233 | This share class PLUS of the fund can only be purchased in the Investing PLUS scheme, see the Price List for Investing. | Erste Asset Management GmbH, pobočka Česká republika | Bond Funds | CZK | 1.1025 2024/10/23 | |
High yield dluhopisový PLUS CZ0008475241 | This share class PLUS of the fund can only be purchased in the Investing PLUS scheme, see the Price List for Investing. | Erste Asset Management GmbH, pobočka Česká republika | Bond Funds | CZK | 1.2795 2024/10/23 | |
ČS korporátní dluhopisový PLUS CZ0008475258 | This share class PLUS of the fund can only be purchased in the Investing PLUS scheme, see the Price List for Investing. | Erste Asset Management GmbH, pobočka Česká republika | Bond Funds | CZK | 1.3527 2024/10/23 | |
ERSTE BOND DANUBIA VT AT0000639398 | Bond fund with a focus on Central and Eastern Europe | Erste Asset Management GmbH | Bond Funds | CZK | 3,448.3900 2024/10/25 | |
ERSTE BOND EUROPE HIGH YIELD VT AT0000639422 | High-yielding corporate bonds with currency hedging in euros | Erste Asset Management GmbH | Bond Funds | CZK | 5,219.7000 2024/10/25 | |
ERSTE PORTFOLIO BOND EUROPE VT AT0000639455 | Bond fund with european bonds | Erste Asset Management GmbH | Bond Funds | CZK | 2,833.3400 2024/10/25 | |
ERSTE RESPONSIBLE BOND (CZK) VT AT0000A2J439 | Euro bonds with a focus on sustainability | Erste Asset Management GmbH | Bond Funds | CZK | 102.6900 2024/10/25 |
Name ISIN | Product description | Investment Company | Fund type | Currency | NAV Date NAV | |
Konzervativní Mix CZ0008472321 | Balanced fund typically with 10% share of global equities | Erste Asset Management GmbH, pobočka Česká republika | Balanced Funds | CZK | 1.3590 2024/10/23 | |
Vyvážený Mix CZ0008472339 | Mixed fund typically with 30% share of global equities. | Erste Asset Management GmbH, pobočka Česká republika | Balanced Funds | CZK | 1.8526 2024/10/23 | |
ESG MIX 10 CZ0008474327 | Responsible investment – a typical mixed fund with a 10% share of global equities in companies actively following sustainable economic development and environmental protection policy, social principles and the principles of sustainable management. | Erste Asset Management GmbH, pobočka Česká republika | Balanced Funds | CZK | 1.1538 2024/10/23 | |
ESG MIX 30 CZ0008474335 | Responsible investment – a typical mixed fund with a 30% share of global equities in companies actively following sustainable economic development and environmental protection policy, social principles and the principles of sustainable management. | Erste Asset Management GmbH, pobočka Česká republika | Balanced Funds | CZK | 1.1936 2024/10/23 | |
MPF 10 CZ0008474558 | Balanced fund typically with 10% share of global equities. The product is only for Erste Private Banking clients. Minimum investment amount 2 000 000 CZK. | Erste Asset Management GmbH, pobočka Česká republika | Balanced Funds | CZK | 1.1955 2024/10/23 | |
OPTIMUM CZ0008474814 | Mixed mutual fund with a flexibly responsive investment strategy with a share of real estate and alternative investments | Erste Asset Management GmbH, pobočka Česká republika | Balanced Funds | CZK | 1.2240 2024/10/23 | |
Universum CZ0008475688 | The mixed mutual fund flexibly covers a broad spectrum of asset classes with a direct selection of the most interesting equity titles. | Erste Asset Management GmbH, pobočka Česká republika | Balanced Funds | CZK | 1.1939 2024/10/23 | |
Konzervativní Mix DIP CZ0008478245 | Balanced fund typically with 10% share of global equities | Erste Asset Management GmbH, pobočka Česká republika | Balanced Funds | CZK | 1.0498 2024/10/23 | |
Vyvážený Mix DIP CZ0008478252 | The fund can only be purchased by using a Long-Term Investment Product (DIP) | Erste Asset Management GmbH, pobočka Česká republika | Balanced Funds | CZK | 1.0673 2024/10/23 | |
ESG MIX 10 PLUS CZ0008478567 | This share class PLUS of the fund can only be purchased in the Investing PLUS scheme, see the Price List for Investing. | Erste Asset Management GmbH, pobočka Česká republika | Balanced Funds | CZK | 1.0063 2024/10/23 | |
ESG MIX 30 PLUS CZ0008478575 | This share class PLUS of the fund can only be purchased in the Investing PLUS scheme, see the Price List for Investing. | Erste Asset Management GmbH, pobočka Česká republika | Balanced Funds | CZK | 1.0063 2024/10/23 | |
Konzervativní Mix PLUS CZ0008478583 | This share class PLUS of the fund can only be purchased in the Investing PLUS scheme, see the Price List for Investing. | Erste Asset Management GmbH, pobočka Česká republika | Balanced Funds | CZK | 1.0076 2024/10/23 | |
Vyvážený Mix PLUS CZ0008478617 | This share class PLUS of the fund can only be purchased in the Investing PLUS scheme, see the Price List for Investing. | Erste Asset Management GmbH, pobočka Česká republika | Balanced Funds | CZK | 1.0075 2024/10/23 | |
Akciový Mix CZ0008472305 | Mixed fund typically with 75% share of global equities | Erste Asset Management GmbH, pobočka Česká republika | Balanced Funds | CZK | 2.6746 2024/10/23 | |
Dynamický Mix CZ0008472347 | Mixed fund typically with 50% share of global equities | Erste Asset Management GmbH, pobočka Česká republika | Balanced Funds | CZK | 1.8748 2024/10/23 | |
ESG MIX 50 CZ0008474343 | Responsible investment – a typical mixed fund with a 50% share of global equities in companies actively following sustainable economic development and environmental protection policy, social principles and the principles of sustainable management. | Erste Asset Management GmbH, pobočka Česká republika | Balanced Funds | CZK | 1.2131 2024/10/23 | |
MPF 30 CZ0008474566 | Balanced fund typically with 30% share of global equities. The product is only for Erste Private Banking clients. Minimum investment amount 2 000 000 CZK. | Erste Asset Management GmbH, pobočka Česká republika | Balanced Funds | CZK | 1.2961 2024/10/23 | |
Akciový Mix DIP CZ0008478229 | The fund can only be purchased by using a Long-Term Investment Product (DIP) | Erste Asset Management GmbH, pobočka Česká republika | Balanced Funds | CZK | 1.1159 2024/10/23 | |
Dynamický Mix DIP CZ0008478237 | The fund can only be purchased by using a Long-Term Investment Product (DIP) | Erste Asset Management GmbH, pobočka Česká republika | Balanced Funds | CZK | 1.0885 2024/10/23 | |
Dynamický Mix PLUS CZ0008478526 | This share class PLUS of the fund can only be purchased in the Investing PLUS scheme, see the Price List for Investing. | Erste Asset Management GmbH, pobočka Česká republika | Balanced Funds | CZK | 1.0100 2024/10/23 |
Name ISIN | Product description | Investment Company | Fund type | Currency | NAV Date NAV | |
Global Stocks FF CZ0008472248 | Equity fund of funds investing in globally focused equity funds of collective investment | Erste Asset Management GmbH, pobočka Česká republika | Equity Funds | CZK | 1.2111 2024/10/23 | |
Sporotrend CZ0008472289 | Equity fund focused on investments in companies mainly from the Central European region managed by the "stock picking" method. | Erste Asset Management GmbH, pobočka Česká republika | Equity Funds | CZK | 1.7499 2024/10/23 | |
Top Stocks CZ0008472404 | Equity fund with a concentrated portfolio of shares traded on developed markets managed by the "stock picking" method. | Erste Asset Management GmbH, pobočka Česká republika | Equity Funds | CZK | 3.7909 2024/10/23 | |
Stock Small Caps CZ0008475043 | Equity fund focused on companies with a lower market capitalization, the so-called "small caps", traded on developed equity markets. | Erste Asset Management GmbH, pobočka Česká republika | Equity Funds | CZK | 1.9595 2024/10/23 | |
Top Stocks PLUS CZ0008475191 | This share class PLUS of the fund can only be purchased in the Investing PLUS scheme, see the Price List for Investing. | Erste Asset Management GmbH, pobočka Česká republika | Equity Funds | CZK | 1.6621 2024/10/23 | |
Stock Small Caps PLUS CZ0008475209 | This share class PLUS of the fund can only be purchased in the Investing PLUS scheme, see the Price List for Investing. | Erste Asset Management GmbH, pobočka Česká republika | Equity Funds | CZK | 2.0726 2024/10/23 | |
Sporotrend PLUS CZ0008475217 | This share class PLUS of the fund can only be purchased in the Investing PLUS scheme, see the Price List for Investing. | Erste Asset Management GmbH, pobočka Česká republika | Equity Funds | CZK | 1.5204 2024/10/23 | |
Top Stocks dividendová třída CZ0008475605 | Equity fund with a concentrated portfolio of shares traded on developed markets managed by the "stock picking" method - dividend class. | Erste Asset Management GmbH, pobočka Česká republika | Equity Funds | CZK | 0.8002 2024/10/23 | |
ERSTE RESPONSIBLE STOCK JAPAN VT AT0000633292 | Japanese equity fund | Erste Asset Management GmbH | Equity Funds | CZK | 3,787.5300 2024/10/25 | |
ERSTE RESPONSIBLE STOCK AMERICA VT AT0000639463 | Sustainable equity fund North America | Erste Asset Management GmbH | Equity Funds | CZK | 21,611.3400 2024/10/25 | |
ERSTE STOCK EUROPE EMERGING VT AT0000639471 | Equity fund with a focus on the emerging markets of Central and Eastern Europe | Erste Asset Management GmbH | Equity Funds | CZK | 1,775.8400 2024/10/25 | |
ERSTE STOCK GLOBAL VT AT0000639497 | Global equity fund with a focus on growth stocks | Erste Asset Management GmbH | Equity Funds | CZK | 5,357.7800 2024/10/25 | |
ERSTE WWF STOCK ENVIRONMENT VT AT0000A044X2 | Global equity fund focusing on the environmental technology industry | Erste Asset Management GmbH | Equity Funds | CZK | 5,007.8000 2024/10/25 | |
ERSTE STOCK BIOTEC VT AT0000A0XYP0 | Biotechnology stocks with a focus on the US market | Erste Asset Management GmbH | Equity Funds | CZK | 13,832.6200 2024/10/25 | |
ERSTE STOCK EM GLOBAL VT AT0000A10QN3 | Equity fund with a focus on global emerging markets | Erste Asset Management GmbH | Equity Funds | CZK | 6,432.9100 2024/10/25 | |
ERSTE RESPONSIBLE STOCK GLOBAL (CZK) VT AT0000A1AW14 | Equities worldwide emphasizing sustainability | Erste Asset Management GmbH | Equity Funds | CZK | 214.4800 2024/10/25 | |
ERSTE STOCK COMMODITIES VT AT0000A1E119 | Commodity stocks of developed markets | Erste Asset Management GmbH | Equity Funds | CZK | 4,852.0900 2024/10/25 | |
ERSTE RESPONSIBLE STOCK AMERICA VT AT0000A1YNY1 | Sustainable equity fund North America | Erste Asset Management GmbH | Equity Funds | CZK | 5,172.0000 2024/10/25 | |
ERSTE RESPONSIBLE STOCK GLOBAL (CZK) VT AT0000A1YSH5 | Equities worldwide emphasizing sustainability | Erste Asset Management GmbH | Equity Funds | CZK | 196.9000 2024/10/25 | |
ERSTE RESPONSIBLE STOCK EUROPE VT AT0000A2QP89 | European equities with a focus on sustainability | Erste Asset Management GmbH | Equity Funds | CZK | 3,077.5000 2024/10/25 |
Name ISIN | Product description | Investment Company | Fund type | Currency | NAV Date NAV | |
REICO ČS NEMOVITOSTNÍ CZ0008472545 | Real estate fund investing in commercial real estate in the Czech Republic and other Central European countries | REICO Investiční společnost České spořitelny, a.s. | Real Estate Funds | CZK | 1.4439 2024/10/23 | |
REICO ČS NEMOVITOSTNÍ PLUS CZ0008475373 | This share class PLUS of the fund can only be purchased in the Investing PLUS scheme, see the Price List for Investing. | REICO Investiční společnost České spořitelny, a.s. | Real Estate Funds | CZK | 1.3612 2024/10/23 | |
REICO ČS LONG LEASE CZ0008476280 | Real estate fund investing in commercial real estate with long-term leases in the Czech Republic and other Central European countries | REICO Investiční společnost České spořitelny, a.s. | Real Estate Funds | CZK | 1.1403 2024/10/23 | |
REICO ČS LONG LEASE PLUS CZ0008476298 | This share class PLUS of the fund can only be purchased in the Investing PLUS scheme, see the Price List for Investing. | REICO Investiční společnost České spořitelny, a.s. | Real Estate Funds | CZK | 1.0103 2024/10/23 |
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