Net asset value of Bamosz reached HUF 8.416 tln at the end of September, up 12% from 12 months earlier.

NAV of property funds rose 6% to HUF 1.783 tln.

Assets in bond funds increased 33% to HUF 2.022 tln and assets in mixed funds climbed 4% to HUF 1.688 tln.

Assets in funds of funds grew 9% to HUF 2.14 tln.

NAV of equities funds fell 13% to HUF 695 bln.