The following data on public investment funds is provided by OeKB Oesterreichische Kontrollbank AG.

NameNet Asset ValueRedemption ValueChg. % 1D
Chg. Abs.
Date
Time
ISINIssuer PriceYear High1Year Low1
Oberbank Premium Strategie dynamisch (R)1,782.421,782.42
-0.52%
-9.26
09/02/2026
16:00:07
AT0000A1YYP61,835.891,809.241,523.43
Oberbank Vermögensmanagement (A)131.40131.40
-0.38%
-0.50
09/02/2026
16:00:07
AT0000A1ENY3135.34132.75122.60
Oberbank Vermögensmanagement (T)170.30170.30
-0.38%
-0.65
09/02/2026
16:00:07
AT0000A06NX7175.41172.05158.13
Oberbank Vermögensmanagement ESG127.60127.60
-0.63%
-0.81
09/02/2026
16:00:07
AT0000A320V0131.43128.89118.97
Oberbank Vermögensmanagement ESG128.82128.82
-0.63%
-0.82
09/02/2026
16:00:07
AT0000A32109132.68130.11119.75
OBK 32 (R)1,547.671,547.67
-0.45%
-7.01
09/02/2026
16:00:07
AT0000A2L5T81,625.051,609.111,290.91
Optima Rentenfonds (A)107.57107.57
-0.17%
-0.18
09/02/2026
16:00:07
AT0000A066K2110.25109.52106.27
Optima Rentenfonds (T)143.66143.66
-0.17%
-0.24
09/02/2026
16:00:07
AT0000A066L0147.25146.26141.92
Optimus (VT)118.52118.52
-0.11%
-0.13
09/02/2026
16:00:07
AT0000A326P9124.45--
Optimus Segment A--
-
-
-AT0000A326Q7---
Optimus Segment B--
-
-
-AT0000A326R5---
PB EXCLUSIVE SELECTION EUR P03109.79109.79
-0.39%
-0.43
09/02/2026
16:00:07
AT0000A3FTQ9112.54111.10100.83
PB EXCLUSIVE SELECTION EUR P03109.71109.71
-0.40%
-0.44
09/02/2026
16:00:07
AT0000A3FTR7112.46111.05100.77
PB EXCLUSIVE SELECTION EUR P03 AZ107.54107.54
-0.40%
-0.43
09/02/2026
16:00:07
AT0000A3FTP1110.23108.82100.32
PB EXCLUSIVE SELECTION EUR R01107.62107.62
-0.39%
-0.42
09/02/2026
16:00:07
AT0000A3FTS5110.32108.94100.48
PB EXCLUSIVE SELECTION EUR R01108.78108.78
-0.39%
-0.43
09/02/2026
16:00:07
AT0000A3FTT3111.50110.12100.48
PB EXCLUSIVE SELECTION EUR R01109.16109.16
-0.39%
-0.43
09/02/2026
16:00:07
AT0000A3FTU1111.89110.50100.49
PB EXCLUSIVE SELECTION PLUS EUR P03114.70114.70
-0.61%
-0.70
09/02/2026
16:00:07
AT0000A3FTZ0117.57116.20100.23
PB EXCLUSIVE SELECTION PLUS EUR P03114.68114.68
-0.61%
-0.70
09/02/2026
16:00:07
AT0000A3FU01117.55116.23100.16
PB EXCLUSIVE SELECTION PLUS EUR P03 AZ111.21111.21
-0.61%
-0.68
09/02/2026
16:00:07
AT0000A3FU50114.00112.6699.47
PB EXCLUSIVE SELECTION PLUS EUR R01111.53111.53
-0.61%
-0.68
09/02/2026
16:00:07
AT0000A3FU19114.32113.0499.77
PB EXCLUSIVE SELECTION PLUS EUR R01113.32113.32
-0.61%
-0.70
09/02/2026
16:00:07
AT0000A3FU27116.16114.8699.78
PB EXCLUSIVE SELECTION PLUS EUR R01113.87113.87
-0.61%
-0.70
09/02/2026
16:00:07
AT0000A3FU35116.72115.4299.79
PB Wels Portfolio Management SOLIDE (T)181.43181.43
-0.19%
-0.35
09/02/2026
16:00:07
AT0000PBRBW5181.43183.41168.64
PCI - Concept Giesswein103.68103.68
-0.32%
-0.33
09/02/2026
16:00:07
AT0000A2RYS2108.87104.7193.36
PCI - Diversified Bond Strategy96.9196.91
-0.06%
-0.06
09/02/2026
16:00:07
AT0000A05758101.7697.5395.66
PCI - Diversified Bond Strategy111.93111.93
-0.06%
-0.07
09/02/2026
16:00:07
AT0000A05766117.53112.52110.37
PCI - Diversified Equity Income Fund9.839.83
-0.91%
-0.09
09/02/2026
16:00:07
AT0000ARCUS310.3310.169.55
PCI - Konservativ (T 1)87.8987.89
-0.06%
-0.05
09/02/2026
16:00:07
AT0000A287K487.8988.1384.24
PCI - Konservativ (T 2)99.4799.47
-0.05%
-0.05
09/02/2026
16:00:07
AT0000A2MMG3104.4599.7495.54
PCI Diversified - IQ Best Ideas Strategy142.46142.46
-1.11%
-1.60
09/02/2026
16:00:07
AT0000A2SAX0149.59153.47117.14
Perfekt2018118.40118.40
-0.23%
-0.27
09/02/2026
16:00:07
AT0000A3H894124.32119.56101.24
PI Flexibel Plus175.36175.36
-0.81%
-1.43
09/02/2026
16:00:07
AT0000A15VZ6184.13177.51144.82
PIZ BUIN GLOBAL264.34264.34
-0.51%
-1.36
09/02/2026
16:00:07
AT0000703491274.92267.38219.24
PIZ BUIN GLOBAL264.73264.73
-0.51%
-1.35
09/02/2026
16:00:07
AT0000703509275.32267.78219.56
Portfolio Anleihen98.9298.92
-0.32%
-0.32
09/02/2026
16:00:07
AT0000A0CWU8103.87102.5098.36
Portfolio Anleihen118.00118.00
-0.32%
-0.38
09/02/2026
16:00:07
AT0000A0CWV6123.90121.14117.32
Portfolio Anleihen125.71125.71
-0.33%
-0.41
09/02/2026
16:00:07
AT0000A0CWW4132.00129.06124.99
Portfolio Economist (T)122.17122.17
-0.13%
-0.16
09/02/2026
16:00:07
AT0000A36HN7128.28122.61111.95
Portfolio Fair Dynamic (T)115.79115.79
-0.15%
-0.17
09/02/2026
16:00:07
AT0000A3E859121.58116.15100.74
Portfolio Management AUSGEWOGEN (A)144.25144.25
-0.23%
-0.33
09/02/2026
16:00:07
AT0000707542144.25147.51130.31
Portfolio Management AUSGEWOGEN (T)195.55195.55
-0.23%
-0.45
09/02/2026
16:00:07
AT0000707559195.55197.95173.97
Portfolio Management DYNAMISCH (A)155.38155.38
-0.28%
-0.44
09/02/2026
16:00:07
AT0000707526155.38158.87134.56
Portfolio Management DYNAMISCH (T)209.52209.52
-0.29%
-0.60
09/02/2026
16:00:07
AT0000707534209.52212.57178.10
Portfolio Management Ethik Mix Ausgewogen (T)137.49137.49
-0.39%
-0.54
09/02/2026
16:00:07
AT0000A26ZA7137.49140.82121.24
Portfolio Management Ethik Mix Dynamisch (T)140.95140.95
-0.56%
-0.79
09/02/2026
16:00:07
AT0000A2RJ60140.95144.22115.44
Portfolio Management Ethik Mix Solide (T)127.92127.92
-0.23%
-0.29
09/02/2026
16:00:07
AT0000A2CN95127.92129.81121.40
Portfolio Management KONSERVATIV (A)111.31111.31
-0.18%
-0.20
09/02/2026
16:00:07
AT0000A01V88111.31112.92108.19
Portfolio Management KONSERVATIV (T)140.96140.96
-0.18%
-0.25
09/02/2026
16:00:07
AT0000A01V96140.96142.99136.67
Portfolio Management SOLIDE (A)131.06131.06
-0.19%
-0.25
09/02/2026
16:00:07
AT0000707567131.06133.89123.22

1 Last 52 weeks  (based on close values)

Source: OeKB (only open-end mutual funds)