Calculation and publication of the net asset value (NAV) of the Funds
23.12.2022
Please be informed that December 26 is a non-working day for our fund administrator Raiffeisen Bank International AG, who calculates the net asset values (NAV) of the Fixed, Conservative and Balanced Pension Funds as well as CQ Armenia Growth Investment Fund managed by C-QUADRAT Ampega Asset Management Armenia LLC. Therefore, the values of NAV and NAV per share of the Funds will not be updated and published on this website on December 26.
At the same time, we inform that the calculated NAVs and NAV per shares of December 26 will remain the same, i.e., the ones calculated on December 23.
Latest news
Pension funds' performance commentary
20.01.2023C-Quadrat Ampega Asset Management Armenia presents the 2022 fourth-quarter performance of managed pension funds.
Read moreCalculation and publication of the net asset value (NAV) of the Funds
07.12.2022Please be informed that December 8 is a non-working day for our fund administrator Raiffeisen Bank International AG, who calculates the net asset values (NAV) of the Fixed, Conservative and Balanced Pension Funds as well as CQ Armenia Growth Investment Fund managed by C-QUADRAT Ampega Asset Management Armenia LLC.
Read moreManaging pension accounts is available on ArCa application
09.11.2022Pension system participants can manage and track their pension accounts through ArCa mobile or web application.
Read moreC-Quadrat Ampega Armenia Participated in HR Expo 2022
01.11.2022C-Quadrat Ampega Asset Management Armenia LLC participated in the HR Expo 2022 dedicated to human resources specialists of Armenian companies.
Read more