Net asset value (NAV) of Hungarian investment funds reached HUF 20.688 tln at the end of June. Price changes raised NAV by HUF 149 bln and exchange rate changes boosted the value by a further HUF 62 bln.
The investment fund NAV was up from HUF 15.226 tln 12 months earlier.
Fixed income funds had the biggest NAV (HUF 6.469 tln), followed by equities funds (HUF 5.29 tln), real estate funds (HUF 3.71 tln), and mixed funds (HUF 2.929 tln) at the end of the month.
There were 915 investment funds under the oversight of MNB in June.