Monthly Performance Review of Publicly Offered CII in Ukraine. March 2019

09 April 2019

By results of March 2019, Ukrainian stock exchanges closed with a significant increase of their performance. Thus, the PFTS index grew by +2.75%, and the UX index added +1.47%.

By the level of rates of return "since the beginning of the year", the sectors of investment funds were distributed as follows: open-ended CII (+0.65% (+0.90% for the month), closed-end CII (-1.50% (+0.18% for the month)) and interval CII (-16.01% (-1.18% for the month)).


OPEN- ENDED FUNDS

According to the UAIB, the value of net assets of 16 open-ended CII as at 29.03.2019 amounted to UAH84.60 M. According to the information provided by the companies as at the end of March, the total increase of net assets amounted to +UAH 1,066.28 thsd. (+1.28%). But due to significant payments to investors, net outflow of the sector amounted to –UAH 198.11 thsd.

Investment portfolios of almost all funds have grown due to a positive revaluation of assets, with only four funds having completed the month with a negative value. In March, the range of rates of return of open-ended investment funds was from +6.77% to -4.26%.

According to the results of March, the leaders of growth in the sector were the following funds:

"UNIVER.UA/Mykhailo Hrushevskyi: Fond Derzhavnykh Paperiv” (+UAH 95.28 thsd. (+1.35%)) - received a net inflow of +UAH 22.36 thsd. due to an increased number of investment certificates in circulation by +0.29%;

“KINTO-Klasychnyi” (+UAH 103.72 thsd. (+0.34%)) - due to the additional placement of IC (+0.06% in circulation) received UAH 18,98 thsd. of net inflow;

The largest payments to investors, according to available data, were made in March by the following funds:

“OTP Fond Aktsii” (+UAH 693.72 thsd. (+5.70%)) - received the largest net outflow in the amount of –UAH 120.18 thsd. in connection with the redemption of a significant number of certificates

(-1.00% in circulation);

“UNIVER.UA/Taras Shevchenko: Fond Zaoshchadzhen” (-UAH 24.04 thsd.(-2.10%)) - net outflow amounted to –UAH 35.21 thsd. also due to the significant redemption of investment certificates (-3.07% in circulation);

"UNIVER.UA/Volodymyr Velykyi: Fond Zbalansovanyi” (-UAH 16.82 thsd. (-0.96%)) - presentation to the redemption of 12 units of investment certificates led to a net outflow of capital in the amount of –UAH 34.21 thsd.

The list of main sector’s players in March was as follows: the first place among the open-ended CII in terms of market share was taken by “KINTO-Klasychnyi” fund (36.56% of the aggregate NAV (UAH 30.94 M.)), “OTP Fond Aktsii” fund was the second one - (15.20% (UAH 12.86 M.)), "UNIVER.UA/Mykhailo Hrushevskyi: Fond Derzhavnykh Paperiv” was in the third place 8.43% (UAH 7.14 M.)). The fourth place was taken by the “KINTO-Ekviti” fund (6.65% (UAH 5.63 M.)), "Sofiiivskyi" fund occupied the fifth step (6.26% (UAH 5.29 M.)).

The leaders in terms of rates of return were the following funds: "“OTP Fond Aktsii” (+6.77%), "Sofiiivskyi" (+3.08%) and “KINTO-Kaznacheiskyi” (+2.18%).

Negative indicators in March were demonstrated by such funds as “TASK Resurs” (-4.26%), “KINTO-Ekviti” (-0.75%) and “Bonum Optimum” (-0.54%).


INTERVAL FUNDS

In March, the survey included 3 interval CII, whose net assets, according to UAIB, amounted to UAH 2.71 M. Compared with the indicators of this sector as at the end of the previous month, the aggregate NAV decreased by –UAH 38.17 thsd. (-1.39%).

No funds attracted assets from investors, NAV changes occurred solely at the expense of revaluation of the investment portfolios components’ value.

The largest payments to investors, according to available data,were made in Marchby the "Optimum" fund(-UAH 1.76 thsd.(-0.73%))) - presentation to the repayment of 8 units of securities led to a net outflow of capital in the amount of –UAH 2.84 thsd.

Based on the results of March, funds in the sector were distributed as follows, according to the rates of return: “Parytet” (+0.70%), “Optimum” (+0.45%) and “TASK Ukrainskyi Kapital” (-4.68%).


CLOSED-ENDFUNDS

Two closed-end CII were included in March survey; value of their net assets as at the end of the month amounted to UAH 13.89 M. According to the provided indicators, the total NAV of these funds increased by +UAH 730.75 thsd. (+5.55%).

No funds succeeded to attract assets from investors, NAV changes occurred solely at the expense of revaluation of the value of investment portfolios’ components.

By results of March, according to the rates of return, funds in the sector were distributed as follows: “Indeks Ukrainskoi Birzhi" (+6.56%) and "TASK Universal" (+6.21%).

Open-ended funds' NAV in 08.2024 - 08.2025

Open-ended funds' NAV at end of August 2025

Fund nameNAV, UAHNumber of investment certificates/shares in circulationNAV per IC/share, UAHIC/share Face Value, UAHAMC name
VSPIF "NADBANNYa" TOV "KUA "ART-KAPITAL MENEDZhMENT"1 235 663.9714 12087.51100.00TOV "KUA "ART-KAPITAL MENEDZhMENT"
VSPIF ""OTP Klasichniy""93 335 004.1711 2308 311.211 000.00TOV "KUA "OTP Kapital"
VSPIF UNIVER UA Mihaylo Grushevskiy" Fond Derzhavnih Paperiv18 030 678.211 8379 815.281 000.00TOV "KUA "Univer Menedzhment"
VDPIF "KINTO-Kaznacheyskiy" PrAT "KINTO"11 936 750.2213 217903.13100.00PrAT "KINTO"
VSPIF UNIVER UA Taras Shevchenko" Fond Zaoshchadzhen2 692 066.864286 289.871 000.00TOV "KUA "Univer Menedzhment"
VDPIF "Altus-zbalansovaniy"5 095 143.746437 924.021 000.00TOV "KUA "ALTUS ASSETS AKTIVITIS"
VDPIF "UNIVER UA Volodimir Velikiy" Fond Zbalansovaniy"1 689 491.975293 193.741 000.00TOV "KUA "Univer Menedzhment"
VDPIF "KINTO-Klasichniy" PrAT "KINTO"34 641 060.6844 359780.92100.00PrAT "KINTO"
VDPIF "Altus-Depozit"6 791 619.991 2545 415.961 000.00TOV "KUA "ALTUS ASSETS AKTIVITIS"
VDPIF "TASK Resurs"1 022 950.489531 073.401 000.00TOV "KUA "TASK-INVEST"
VIDKRITIY SPECIALIZOVANIY PAYOVIY INVESTICIYNIY FOND "VSI"3 656 557.701 7472 093.041 000.00TOV "KUA "Vsesvit"
PIF KINTO-Ekviti PrAT "KINTO"3 211 975.343 0281 060.751 000.00PrAT "KINTO"
VSPIF "UNIVER UA Yaroslav Mudriy" Fond Akciy"9 786 771.088 3261 175.441 000.00TOV "KUA "Univer Menedzhment"
VSPIF "OTP Fond Akciy"10 962 530.965 725 3921.911.00TOV "KUA "OTP Kapital"
PIF "Sofijivskiy"2 841 541.072 5661 107.381 000.00TOV "KUA "Iveks Esset Menedzhment"

Open-ended funds' NAV dynamics in 08.2024 - 08.2025

Rate of Return in August 2025