Acer Multistrategy FIZ | Quercus TFI S.A.

Acer Multistrategy FIZ

Compare with

on the day 31/03/2026

NAV / NAV per CI

277.73 PLN

Rate of return

1 month -1.30%
3 months 0.23%
6 months 0.51%
1 year -1.51%
3 years 73.23%
5 years 264.71%
10 years 59.40%
From the inception on
25/07/2012
177.73%
Fund valuation historyAll funds valuation history
PLN
PLN
%
%

Fund/sub-fund parameters

Inception date
Fund managers
Jakub Głowacki
Type of the subfund
absolute return
Risk/reward profile
1
2
3
4
5
6
7
Fund description

All other information about the Fund is available on the dedicated website https://acerfiz.pl