Delos Mutual Funds Prices
As of 30/4/2026
| M/F | Code M/F | Net Asset Value | Number of Units | Net Price | Investment amount | Redemption price | Daily Performance | Performance year to date | |||
| up to 50th. (amounts in valuation currency) | over 50th. and up to 100th. (amounts in valuation currency) | over 100th. (amounts in valuation currency) | |||||||||
| Subscription Price | |||||||||||
| DELOS STANDARD VARIABLE NET ASSET VALUE MONEY MARKET FUND II | 182 | 33.292.822,22 | 3.152.537,548 | 10,5606 | 10,5870 | 10,5870 | 10,5870 | 10,5606 | ![]() |
0,004% | 0,308% |
| DELOS STANDARD VARIABLE NET ASSET VALUE MONEY MARKET FUND IV | 241 | 9.955.374,94 | 931.810,452 | 10,6839 | 10,7106 | 10,7106 | 10,7106 | 10,6839 | ![]() |
0,005% | 0,336% |
| DELOS STANDARD VARIABLE NET ASSET VALUE MONEY MARKET FUND V | 242 | 21.110.251,81 | 2.012.917,402 | 10,4874 | 10,5136 | 10,5136 | 10,5136 | 10,4874 | ![]() |
0,005% | 0,366% |
| DELOS STANDARD VARIABLE NET ASSET VALUE MONEY MARKET FUND VI | 243 | 44.593.969,48 | 4.264.779,494 | 10,4563 | 10,4824 | 10,4824 | 10,4824 | 10,4563 | ![]() |
0,007% | 0,358% |
| DELOS EXTRA INCOME IV 24months-Bond Fund | 244 | 106.839.101,14 | 10.228.196,267 | 10,4455 | 10,4768 | 10,4768 | 10,4768 | 10,3933 | ![]() |
0,002% | 0,384% |
| DELOS EXTRA INCOME V 24months-Bond Fund | 245 | 133.184.899,78 | 12.762.849,200 | 10,4354 | 10,4667 | 10,4667 | 10,4667 | 10,2789 | ![]() |
0,004% | 0,384% |
| DELOS EXTRA INCOME VI 24months-Bond Fund | 246 | 276.977.397,80 | 26.757.827,603 | 10,3513 | 10,3824 | 10,3824 | 10,3824 | 10,1960 | ![]() |
0,012% | 0,390% |
| DELOS EXTRA INCOME VII 24months-Bond Fund | 247 | 242.386.329,95 | 23.643.342,060 | 10,2518 | 10,2826 | 10,2826 | 10,2826 | 10,0980 | ![]() |
0,007% | 0,374% |
| DELOS EXTRA INCOME VIII 24months-Bond Fund | 248 | 222.073.475,33 | 21.716.741,719 | 10,2259 | 10,2566 | 10,2566 | 10,2566 | 10,0725 | ![]() |
0,011% | 0,365% |
| DELOS EXTRA INCOME IX 24months-Bond Fund | 249 | 286.742.459,43 | 28.157.892,634 | 10,1834 | 10,2140 | 10,2140 | 10,2140 | 10,0306 | ![]() |
0,024% | 0,283% |
| DELOS EXTRA INCOME X 24months-Bond Fund | 250 | 196.703.759,52 | 19.309.376,906 | 10,1870 | 10,2176 | 10,2176 | 10,2176 | 10,0342 | ![]() |
0,037% | 0,320% |
| DELOS EXTRA INCOME XI 24months-Bond Fund | 251 | 194.368.054,29 | 19.155.690,797 | 10,1468 | 10,1772 | 10,1772 | 10,1772 | 9,9946 | ![]() |
0,039% | 0,257% |
| DELOS EXTRA INCOME XII 24months-Bond Fund | 252 | 368.059.767,10 | 36.468.339,404 | 10,0926 | 10,1229 | 10,1229 | 10,1229 | 9,9412 | ![]() |
0,050% | 0,127% |
| DELOS EXTRA INCOME XIII 24months-Bond Fund | 253 | 162.056.434,63 | 16.124.849,643 | 10,0501 | 10,0803 | 10,0803 | 10,0803 | 9,8993 | ![]() |
0,053% | 0,035% |
| DELOS EXTRA INCOME 36months-Bond Fund | 361 | 335.181.178,25 | 33.893.248,550 | 9,8893 | 9,9190 | 9,9190 | 9,9190 | 9,7410 | ![]() |
0,206% | -0,278% |
| DELOS EXTRA INCOME 36months II - Bond Fund | 362 | 144.925.822,75 | 14.601.939,910 | 9,9251 | 9,9549 | 9,9549 | 9,9549 | 9,7762 | ![]() |
0,216% | -0,394% |
| DELOS EXTRA INCOME 36months III - Bond Fund | 363 | 215.665.913,19 | 21.738.973,956 | 9,9207 | 9,9505 | 9,9505 | 9,9505 | 9,7719 | ![]() |
0,204% | -0,328% |
| DELOS EXTRA INCOME 36months IV - Bond Fund | 364 | 173.554.567,28 | 17.498.543,721 | 9,9182 | 9,9480 | 9,9480 | 9,9480 | 9,7694 | ![]() |
0,223% | -0,474% |
| DELOS EXTRA INCOME 36months V - Bond Fund | 365 | 293.606.045,05 | 29.640.972,594 | 9,9054 | 9,9351 | 9,9351 | 9,9351 | 9,7568 | ![]() |
0,235% | -0,737% |
| DELOS EXTRA INCOME 36months VI - Bond Fund | 366 | 246.426.621,68 | 24.903.687,851 | 9,8952 | 9,9249 | 9,9249 | 9,9249 | 9,7468 | ![]() |
0,272% | -1,048% |
| DELOS EXTRA INCOME 36months VII - Bond Fund | 367 | 209.654.191,16 | 21.093.205,172 | 9,9394 | 9,9692 | 9,9692 | 9,9692 | 9,7903 | ![]() |
0,275% | -0,606% |
| DELOS EURO EQUITY GAIN - Structured | 450 | 1.060.119,86 | 107.230,366 | 9,8864 | 9,9161 | 9,9161 | 9,9161 | 9,7381 | ![]() |
-0,001% | -0,631% |
| DELOS DOLLAR (USD) - FOREIGN BOND FUND | 550 | 19.163.029,15 | 1.461.929,291 | 13,1080 | 13,1735 | 13,1408 | 13,1211 | 13,0425 | ![]() |
0,098% | 0,225% |
| DELOS EXTRA INCOME USD 3year - BOND FUND | 551 | 9.592.614,24 | 935.563,761 | 10,2533 | 10,3046 | 10,2789 | 10,2636 | 10,2020 | ![]() |
0,011% | 0,855% |
| DELOS SYNTHESIS BEST BLUE - Bond Fund of Funds | 750 | 3.074.974,27 | 263.076,885 | 11,6885 | 11,7469 | 11,7177 | 11,7002 | 11,5716 | ![]() |
0,087% | -0,350% |
| DELOS SYNTHESIS BEST YELLOW - Balanced Fund of Funds | 752 | 49.068.879,87 | 2.948.575,031 | 16,6416 | 16,7248 | 16,6832 | 16,6582 | 16,4752 | ![]() |
0,241% | 1,288% |
| DELOS SYNTHESIS BEST RED - Equity Fund of Funds | 753 | 29.525.647,08 | 1.091.845,379 | 27,0420 | 27,1772 | 27,1096 | 27,0690 | 26,7716 | ![]() |
0,402% | 2,738% |
| NBG Asset Allocation Conservative – Balanced Fund of Funds | 760 | 12.020.854,95 | 1.168.665,981 | 10,2860 | 10,3374 | 10,3117 | 10,2963 | 10,1831 | ![]() |
0,031% | 0,001% |
| NBG Asset Allocation Balanced – Balanced Fund of Funds | 761 | 41.648.450,25 | 3.909.072,684 | 10,6543 | 10,7076 | 10,6809 | 10,6650 | 10,5478 | ![]() |
0,177% | 1,489% |
| NBG Asset Allocation Dynamic – Balanced Fund of Funds | 762 | 30.357.189,27 | 2.773.165,954 | 10,9468 | 11,0015 | 10,9742 | 10,9577 | 10,8373 | ![]() |
0,312% | 2,517% |
| DHLOS FIXED INCOME PLUS - BOND Fund | 782 | 14.995.516,92 | 1.555.180,110 | 9,6423 | 9,6905 | 9,6664 | 9,6519 | 9,5941 | ![]() |
0,619% | -0,764% |
| DELOS USD BOND - FOREIGN BOND FUND | 913 | 2.402.755,58 | 326.692,566 | 7,3548 | 7,3916 | 7,3732 | 7,3622 | 7,3180 | ![]() |
0,312% | -0,008% |
| DELOS SMALL CAP - DOMESTIC EQUITY FUND | 916 | 78.842.902,65 | 23.481.759,821 | 3,3576 | 3,3912 | 3,3828 | 3,3744 | 3,3240 | ![]() |
0,143% | 5,841% |
| DELOS BALANCED - DOMESTIC BALANCED FUND | 951 | 68.968.884,27 | 2.918.831,287 | 23,6289 | 23,8652 | 23,8061 | 23,7470 | 23,3926 | ![]() |
-0,021% | 1,432% |
| DELOS INCOME - DOMESTIC BOND FUND | 952 | 130.603.364,93 | 4.456.477,822 | 29,3064 | 29,4529 | 29,3797 | 29,3357 | 29,1599 | ![]() |
0,405% | -0,831% |
| DELOS BLUE CHIPS - DOMESTIC EQUITY FUND | 953 | 167.580.153,16 | 16.946.110,825 | 9,8890 | 9,9879 | 9,9632 | 9,9384 | 9,7901 | ![]() |
-0,526% | 3,627% |
| DELOS EUROBOND -BOND FUND | 957 | 32.484.964,65 | 3.764.655,901 | 8,6289 | 8,6720 | 8,6505 | 8,6375 | 8,5858 | ![]() |
0,309% | -0,538% |
| DELOS PET-OTE (l.u.C.T.S.) - BALANCED FUND | 961 | 16.039.074,76 | 2.802.070,032 | 5,7240 | 5,7812 | 5,7669 | 5,7526 | 5,6668 | ![]() |
0,166% | 0,617% |
| DELOS SHORT & MEDIUM TERM INVESTMENTS FUND | 962 | 66.045.862,10 | 4.656.675,021 | 14,1831 | 14,2540 | 14,2186 | 14,1973 | 14,1122 | ![]() |
0,130% | -0,420% |
| DELOS STRATEGIC INVESTMENTS - FOREIGN BALANCED FUND | 965 | 240.921.014,13 | 12.251.283,469 | 19,6650 | 19,8617 | 19,8125 | 19,7633 | 19,5667 | ![]() |
0,867% | -0,073% |
| DELOS GREEK GROWTH- BOND FUND | 970 | 42.562.445,71 | 3.295.523,705 | 12,9152 | 12,9798 | 12,9475 | 12,9281 | 12,8506 | ![]() |
0,091% | -0,810% |
| N.P. INSURANCE NEW POSIDON BALANCED FUND | 971 | 1.934.700,09 | 515.491,911 | 3,7531 | 3,7906 | 3,7812 | 3,7719 | 3,7156 | ![]() |
-0,059% | 0,895% |
| DELOS EXTRA INCOME 5year- Bond Fund | 972 | 23.892.430,16 | 2.216.175,334 | 10,7809 | 10,8887 | 10,8618 | 10,8348 | 10,7270 | ![]() |
0,072% | -0,100% |
| DELOS EXTRA INCOME II 5year- Bond Fund | 973 | 78.669.196,70 | 7.509.742,816 | 10,4756 | 10,5280 | 10,5018 | 10,4861 | 10,4232 | ![]() |
0,112% | -0,276% |
| DELOS EXTRA INCOME III 5year- Bond Fund | 974 | 37.976.215,67 | 3.607.433,131 | 10,5272 | 10,5798 | 10,5535 | 10,5377 | 10,4746 | ![]() |
0,109% | -0,285% |
| DELOS EXTRA INCOME IV 5year- Bond Fund | 975 | 23.044.229,35 | 2.183.352,985 | 10,5545 | 10,6073 | 10,5809 | 10,5651 | 10,5017 | ![]() |
0,133% | -0,380% |
| DELOS EXTRA INCOME V 5year- Bond Fund | 976 | 15.496.518,16 | 1.469.867,450 | 10,5428 | 10,5955 | 10,5692 | 10,5533 | 10,4901 | ![]() |
0,161% | -0,421% |
| DELOS UNION - BALANCED FUND | 991 | 22.045.670,42 | 1.758.846,625 | 12,5342 | 12,6595 | 12,6282 | 12,5969 | 12,4089 | ![]() |
-0,003% | 0,619% |


