Luminor ateitis 16–50

Currency
  • Accounting unit value
    2.3672
  • Net asset value
    71 309 121
  • Initial unit value
    1.0000
  • Date started
    2007-10-01
  • Accounting unit value
    0.6856
  • Net asset value
    20 652 549
  • Initial unit value
    0.2896
  • Date started
    2007-10-01

Unit value change (on chosen period): 28.4136%

Unit value change (on chosen period): 28.4136%

Investment units

Unit value change (%)

Per 3 months Per 6 months Year to date (YTD)
14.2857 -4.6321 -2.5998

Luminor ateitis 16 - 50
It is a high‑risk fund where up to 100% of its assets can be invested in equity markets. It has a global exposure to equities, with a more stable long‑term return compared to sector or regional funds. Designed for participants seeking potentially higher returns over the long term and exposed to large fluctuations in value. Recommended for 16‑50 year olds.

Pension Fund Depository – Luminor Bank AS, legal entity code 11315936, registration address Liivalaia tn 45, Tallinn 10145, Republic of Estonia, acting through the Lithuanian branch of Luminor Bank AS, legal entity code 304870069, registered office address Konstitucijos ave. 21A, 08105, Vilnius, Republic of Lithuania.

As of 2025-06-01:

Developed marked and emerging market equity indices were aggregated to one index: MSCI ACWI Net Total Return EUR to simplify benchmark structure.

The benchmark consists of a basket of risky assets (equities):

  • 100,0% MSCI ACWI Net Total Return EUR Index,

From 2023-04-01 to 2025-05-31:

The share of developed markets has been increased, respectively, reducing the share of emerging markets, to limit the risk of fluctuations in developing countries and to better reflect market capitalisation proportions.

The benchmark consists of a basket of risky assets (equities):

  • 85% world shares (MSCI World Daily Net Total Return EUR),
  • 15 % of emerging markets (MSCI EM Daily Net Total Return EUR).

From 2013-06-01 to 2023-03-31:

Weights of the indices were changed to better reflect market proportions.

The benchmark consisted of a basket of risky assets (equities):

  • 70% MSCI World Index
  • 30% MSCI Emerging markets Index.

From 2007-10-01 to 2013-05-31:

The benchmark consisted of a basket of risky assets (equities):

  • 40% MSCI World Index
  • 40 % MSCI Europe index
  • 20% MSCI Emerging markets Index.

II Pillar Pension Funds Overviews
III Pillar Pension Funds Overviews
Luminor Pension Funds Reports