AT "MERIVIL"

Asset management company TOV "KUA "AKTIV"
Security denomination 1.00
Registration date18.08.2023
Standards reached at11.09.2023
Fund closing date18.08.2053
EDRISI (Fund’s state registration code) 13301507
Diversified Non-diversified
Type of fund (open-ended / interval / closed-end) Закритий строковий
Corporate fund (CIF) / Unit fund (UIF) / Pension fund (NPF) CIF
Venture fund / Non-venture fund Venture
Issuance (type of offer/placement) Private
Key Figures
Total number of members271as at 31.10.25
Number of AMC267as at 31.10.25
Number of NPF administrators14as at 31.10.25
Number of CII1939as at 31.10.25
Number of NPF*48as at 31.10.25
IC Number*1as at 31.08.25
AuM, UAH M704 606as at 31.08.25
NPF assets under administration, UAH M3 710as at 31.08.25