The easy way to the stock markets

Do you want to maintain your standard of living after retirement? Do you plan to one day allow your children to study at a university abroad or buy them their first home? Then invest in the stock markets to help you meet these long-term goals. Through the EFEKTIKA fund, you can also participate in the performance of the world's largest companies listed in the S&P 500 stock market index, conveniently in Czech crowns. Online investment management.

Why invest in the EFEKTIKA fund

Attractive valuation

Based on the historical performance of the S&P 500 Index, the Fund's long-term target return is expected to be over 7% per annum. You do not need to buy individual stocks included in the index.

Convenient investment

The fund invests passively in exchange-traded funds (ETFs) whose composition replicates the S&P 500 Index. ETFs are traded in USD, but you invest conveniently in CZK.

Available for everyone

You don't have to spend big bucks to buy all 500+ stocks in the index. Anyone can participate in the performance of the world's largest companies from as little as 100 CZK.

Investment, not speculation

A portfolio of 500+ stocks from a variety of sectors limits the risk of individual company developments and errors in building actively managed portfolios. In addition, the currency hedging option offers protection against exchange rate risk.

Reward for loyalty

A long-term investment horizon reduces the volatility and riskiness of the investment. In addition, if you stick to the agreed investment period, you can recover all or part of the entry fee.

All under same the roof

EFEKTIKA completes the range of funds from the INVESTIKA family. Combine it with an investment in the INVESTIKA real estate fund or the MONETIKA money fund and build your own portfolio under the same roof!

Available from our financial partners

Investment strategy

The EFEKTIKA Fund aims to achieve an appreciation equal to the S&P 500 stock index, less fund management fees. The appreciation of the investment without hedging against exchange rate risk may also be affected by the development of the CZK/USD exchange rate.

The fund buys stocks on various US and European exchanges, usually through ETFs (Exchange Traded Funds) that passively track the S&P 500 index.

We invest our clients' funds in publicly traded S&P 500 ETFs. These offer a broadly diversified portfolio and performance that outperforms most individually constructed portfolios over the long term.

CZK
CZK Hedged

CZK

Type of fund

standard collective investment fund, open-ended mutual fund
Recommended investment horizon 5 and more years 

Frequency of valuation and trading

daily

Minimum investment

CZK 100

Fund currency

CZK

Class currency

CZK
ISIN class CZ0008477650

Entry fee

max. 5% 

Exit fee

0%

Management fee (of the value of the fund capital p.a..)

1.55% 

Administration fee (of the value of the fund capital p.a.)

0.15% 

Date of establishment of the fund

14.2.2023

Fund manager and administrator

INVESTIKA, investiční společnost, a.s.

Fund depositary

Česká spořitelna a.s.

Fund auditor

Audit One s.r.o.

All fund classes 

CZK, CZK hedged, Professional

CZK Hedged

Type of fund

standard collective investment fund, open-ended mutual fund
Recommended investment horizon 5 and more years 

Frequency of valuation and trading

daily

Minimum investment

CZK 100

Fund currency

CZK

Class currency

CZK
ISIN class CZ0008477676

Entry fee

max. 5% 

Exit fee

0%

Management fee (of the value of the fund capital p.a..)

1.55% 

Administration fee (of the value of the fund capital p.a.)

0.15% 

Date of establishment of the fund

14.2.2023

Fund manager and administrator

INVESTIKA, investiční společnost, a.s.

Fund depositary

Česká spořitelna a.s.

Fund auditor

Audit One s.r.o.

All fund classes 

CZK, CZK hedged, Professional

Chart showing the trends in the value of unit certificate , EFEKTIKA - CZK

Chart showing the trends in the value of unit certificate , EFEKTIKA - CZK Hedged

      Information on the fund's performance and assets

      CZK
      CZK HEDGED

      November 2023

      Fund class performance for CZK
      data as of 30.11.2023 Total cumulative performance of the fund (class CZK)  Average monthly performance of the fund (class CZK)
      1M 5,14% --
      3M 6,48% 2,16%
      6M 7,61% 1,27%
      since the establishment of the fund 7,61% 1,27%
      Unit certificates of the CZK class CZK
      Data as of 30.11.2023 (class CZK)
      Value of a unit certificate 1,0761 CZK
      Fund capital 5 374 690,99 CZK
      Current number of unit certificates issued 4 994 411 pcs
      Current number of unit certificates issued 4 994 411 pcs
      Total number of unit certificates redeemed 0 pcs
      Data as of 01.11.2023 - 30.11.2023 (class CZK)
      Number of unit certificates issued for the period 3 496 220 pcs
      Number of unit certificates redeemed for the period 0 pcs
      Amount for which the unit certificates were issued 3 662 588,30 CZK
      Amount for which the unit certificates were redeemed 0,00 CZK
      Asset structure of the FUND
      Structure of assets as of 30.11.2023 (whole fund)
      Fund capital 15 399 472,28 CZK
      Total assets 15 460 907,98 CZK

      October 2023

      Fund class performance for CZK
      data as of 31.10.2023 Total cumulative performance of the fund (class CZK)  Average monthly performance of the fund (class CZK)
      1M 0,96% --
      3M 1,67% 0,56%
      6M 0,00% 0,00%
      since the establishment of the fund 2,35% 0,47%
      Unit certificates of the CZK class CZK
      Data as of 31.10.2023 (class CZK)
      Value of a unit certificate 1,0235 CZK
      Fund capital 1 533 379,69 CZK
      Current number of unit certificates issued 1 498 191 pcs
      Current number of unit certificates issued 1 498 191 pcs
      Total number of unit certificates redeemed 0 pcs
      Data as of 01.10.2023 - 31.10.2023 (class CZK)
      Number of unit certificates issued for the period 722 402 pcs
      Number of unit certificates redeemed for the period 0 pcs
      Amount for which the unit certificates were issued 733 569,99 CZK
      Amount for which the unit certificates were redeemed 0,00 CZK
      Asset structure of the FUND
      Structure of assets as of 31.10.2023 (whole fund)
      Fund capital 8 766 590,46 CZK
      Total assets 16 381 396,46 CZK
      Of which:
      Deposits in banks 52,29%
      Investment instruments 47,35%
      Other 0,36%

      September 2023

      Fund class performance for CZK
      data as of 30.9.2023 Total cumulative performance of the fund (class CZK)  Average monthly performance of the fund (class CZK)
      1M 0,32% --
      3M 1,09% 0,36%
      6M 0,00% 0,00%
      since the establishment of the fund 1,38% 0,35%
      Unit certificates of the CZK class CZK
      Data as of 30.9.2023 (class CZK)
      Value of a unit certificate 1,0138 CZK
      Fund capital 786 550,28 CZK
      Current number of unit certificates issued 775 789 pcs
      Current number of unit certificates issued 775 789 pcs
      Total number of unit certificates redeemed 0 pcs
      Data as of 01.09.2023 - 30.09.2023 (class CZK)
      Number of unit certificates issued for the period 760 557 pcs
      Number of unit certificates redeemed for the period 0 pcs
      Amount for which the unit certificates were issued 769 570,89 CZK
      Amount for which the unit certificates were redeemed 0,00 CZK
      Asset structure of the FUND
      Structure of assets as of 30.9.2023 (whole fund)
      Fund capital 6 151 413,78 CZK
      Total assets 6 189 320,19 CZK
      Of which:
      Deposits in banks 97,68%
      Investment instruments 1,76%
      Other 0,56%

      August 2023

      Fund class performance for CZK
      data as of 31.8.2023 Total cumulative performance of the fund (class CZK)  Average monthly performance of the fund (class CZK)
      1M 0,39% --
      3M 1,06% 0,35%
      6M 0,00% 0,00%
      since the establishment of the fund 1,06% 0,35%
      Unit certificates of the CZK class CZK
      Data as of 31.8.2023 (class CZK)
      Value of a unit certificate 1,0106 CZK
      Fund capital 15 393,00 CZK
      Current number of unit certificates issued 15 232 pcs
      Current number of unit certificates issued 15 232 pcs
      Total number of unit certificates redeemed 0 pcs
      Data as of 01.08.2023 - 31.08.2023 (class CZK)
      Number of unit certificates issued for the period 14 383 pcs
      Number of unit certificates redeemed for the period 0 pcs
      Amount for which the unit certificates were issued 14 520,20 CZK
      Amount for which the unit certificates were redeemed 0,00 CZK
      Asset structure of the FUND
      Structure of assets as of 31.8.2023 (whole fund)
      Fund capital 428 240,10 CZK
      Total assets 452 362,87 CZK
      Of which:
      Deposits in banks 70,82%
      Investment instruments 24,00%
      Other 5,18%

      July 2023

      Fund class performance for CZK
      data as of 31.7.2023 Total cumulative performance of the fund (class CZK)  Average monthly performance of the fund (class CZK)
      1M 0,38% --
      3M 0,00% 0,00%
      6M 0,00% 0,00%
      since the establishment of the fund 0,67% 0,34%
      Unit certificates of the CZK class CZK
      Data as of 31.7.2023 (class CZK)
      Value of a unit certificate 1,0067 CZK
      Fund capital 854,66 CZK
      Current number of unit certificates issued 849 pcs
      Current number of unit certificates issued 849 pcs
      Total number of unit certificates redeemed 0 pcs
      Data as of 01.07.2023 - 31.07.2023 (class CZK)
      Number of unit certificates issued for the period 149 pcs
      Number of unit certificates redeemed for the period 0 pcs
      Amount for which the unit certificates were issued 149,72 CZK
      Amount for which the unit certificates were redeemed 0,00 CZK
      Asset structure of the FUND
      Structure of assets as of 31.7.2023 (whole fund)
      Fund capital 110 071,73 CZK
      Total assets 134 020,37 CZK
      Of which:
      Deposits in banks 6,50%
      Investment instruments 80,55%
      Other 12,95%

      June 2023

      Fund class performance for CZK
      data as of 30.6.2023 Total cumulative performance of the fund (class CZK)  Average monthly performance of the fund (class CZK)
      1M 0,29% --
      3M 0,00% 0,00%
      6M 0,00% 0,00%
      since the establishment of the fund 0,29% 0,29%
      Unit certificates of the CZK class CZK
      Data as of 30.6.2023 (class CZK)
      Value of a unit certificate 1,0029 CZK
      Fund capital 702,02 CZK
      Current number of unit certificates issued 700 pcs
      Current number of unit certificates issued 700 pcs
      Total number of unit certificates redeemed 0 pcs
      Data as of 01.06.2023 - 30.06.2023 (class CZK)
      Number of unit certificates issued for the period 700 pcs
      Number of unit certificates redeemed for the period 0 pcs
      Amount for which the unit certificates were issued 700,00 CZK
      Amount for which the unit certificates were redeemed 0,00 CZK
      Asset structure of the FUND
      Structure of assets as of 30.6.2023 (whole fund)
      Fund capital 108 011,98 CZK
      Total assets 112 462,28 CZK
      Of which:
      Deposits in banks 4,21%
      Investment instruments 95,50%
      Other 0,29%

      November 2023

      Fund class performance for CZK HEDGED
      data as of 30.11.2023 Total cumulative performance of the fund (class CZK HEDGED)  Average monthly performance of the fund (class CZK HEDGED)
      1M 5,52% --
      3M 7,61% 2,54%
      6M 8,74% 1,46%
      since the establishment of the fund 8,74% 1,46%
      Unit certificates of the CZK class CZK HEDGED
      Data as of 30.11.2023 (class CZK HEDGED)
      Value of a unit certificate 1,0874 CZK
      Fund capital 10 024 781,29 CZK
      Current number of unit certificates issued 9 219 281 pcs
      Current number of unit certificates issued 9 226 272 pcs
      Total number of unit certificates redeemed 6 991 pcs
      Data as of 01.11.2023 - 30.11.2023 (class CZK HEDGED)
      Number of unit certificates issued for the period 2 199 871 pcs
      Number of unit certificates redeemed for the period 0 pcs
      Amount for which the unit certificates were issued 2 321 124,64 CZK
      Amount for which the unit certificates were redeemed 0,00 CZK
      Asset structure of the FUND
      Structure of assets as of 30.11.2023 (whole fund)
      Fund capital 15 399 472,28 CZK
      Total assets 15 460 907,98 CZK

      October 2023

      Fund class performance for CZK HEDGED
      data as of 31.10.2023 Total cumulative performance of the fund (class CZK HEDGED)  Average monthly performance of the fund (class CZK HEDGED)
      1M 1,67% --
      3M 2,37% 0,79%
      6M 0,00% 0,00%
      since the establishment of the fund 3,05% 0,61%
      Unit certificates of the CZK class CZK HEDGED
      Data as of 31.10.2023 (class CZK HEDGED)
      Value of a unit certificate 1,0305 CZK
      Fund capital 7 233 210,77 CZK
      Current number of unit certificates issued 7 019 410 pcs
      Current number of unit certificates issued 7 026 401 pcs
      Total number of unit certificates redeemed 6 991 pcs
      Data as of 01.10.2023 - 31.10.2023 (class CZK HEDGED)
      Number of unit certificates issued for the period 1 726 834 pcs
      Number of unit certificates redeemed for the period 0 pcs
      Amount for which the unit certificates were issued 1 753 636,73 CZK
      Amount for which the unit certificates were redeemed 0,00 CZK
      Asset structure of the FUND
      Structure of assets as of 31.10.2023 (whole fund)
      Fund capital 8 766 590,46 CZK
      Total assets 16 381 396,46 CZK
      Of which:
      Deposits in banks 52,29%
      Investment instruments 47,35%
      Other 0,36%

      September 2023

      Fund class performance for CZK HEDGED
      data as of 30.9.2023 Total cumulative performance of the fund (class CZK HEDGED)  Average monthly performance of the fund (class CZK HEDGED)
      1M 0,31% --
      3M 1,08% 0,36%
      6M 0,00% 0,00%
      since the establishment of the fund 1,36% 0,34%
      Unit certificates of the CZK class CZK HEDGED
      Data as of 30.9.2023 (class CZK HEDGED)
      Value of a unit certificate 1,0136 CZK
      Fund capital 5 364 863,50 CZK
      Current number of unit certificates issued 5 292 576 pcs
      Current number of unit certificates issued 5 299 567 pcs
      Total number of unit certificates redeemed 6 991 pcs
      Data as of 01.09.2023 - 30.09.2023 (class CZK HEDGED)
      Number of unit certificates issued for the period 4 884 033 pcs
      Number of unit certificates redeemed for the period 0 pcs
      Amount for which the unit certificates were issued 4 941 973,84 CZK
      Amount for which the unit certificates were redeemed 0,00 CZK
      Asset structure of the FUND
      Structure of assets as of 30.9.2023 (whole fund)
      Fund capital 6 151 413,78 CZK
      Total assets 6 189 320,19 CZK
      Of which:
      Deposits in banks 97,68%
      Investment instruments 1,76%
      Other 0,56%

      August 2023

      Fund class performance for CZK HEDGED
      data as of 31.8.2023 Total cumulative performance of the fund (class CZK HEDGED)  Average monthly performance of the fund (class CZK HEDGED)
      1M 0,39% --
      3M 1,05% 0,35%
      6M 0,00% 0,00%
      since the establishment of the fund 1,05% 0,35%
      Unit certificates of the CZK class CZK HEDGED
      Data as of 31.8.2023 (class CZK HEDGED)
      Value of a unit certificate 1,0105 CZK
      Fund capital 412 847,10 CZK
      Current number of unit certificates issued 408 543 pcs
      Current number of unit certificates issued 415 534 pcs
      Total number of unit certificates redeemed 6 991 pcs
      Data as of 01.08.2023 - 31.08.2023 (class CZK HEDGED)
      Number of unit certificates issued for the period 300 043 pcs
      Number of unit certificates redeemed for the period 0 pcs
      Amount for which the unit certificates were issued 302 343,03 CZK
      Amount for which the unit certificates were redeemed 0,00 CZK
      Asset structure of the FUND
      Structure of assets as of 31.8.2023 (whole fund)
      Fund capital 428 240,10 CZK
      Total assets 452 362,87 CZK
      Of which:
      Deposits in banks 70,82%
      Investment instruments 24,00%
      Other 5,18%

      July 2023

      Fund class performance for CZK HEDGED
      data as of 31.7.2023 Total cumulative performance of the fund (class CZK HEDGED)  Average monthly performance of the fund (class CZK HEDGED)
      1M 0,38% --
      3M 0,00% 0,00%
      6M 0,00% 0,00%
      since the establishment of the fund 0,66% 0,33%
      Unit certificates of the CZK class CZK HEDGED
      Data as of 31.7.2023 (class CZK HEDGED)
      Value of a unit certificate 1,0066 CZK
      Fund capital 109 217,07 CZK
      Current number of unit certificates issued 108 500 pcs
      Current number of unit certificates issued 115 491 pcs
      Total number of unit certificates redeemed 6 991 pcs
      Data as of 01.07.2023 - 31.07.2023 (class CZK HEDGED)
      Number of unit certificates issued for the period 1 491 pcs
      Number of unit certificates redeemed for the period 0 pcs
      Amount for which the unit certificates were issued 1 498,75 CZK
      Amount for which the unit certificates were redeemed 0,00 CZK
      Asset structure of the FUND
      Structure of assets as of 31.7.2023 (whole fund)
      Fund capital 110 071,73 CZK
      Total assets 134 020,37 CZK
      Of which:
      Deposits in banks 6,50%
      Investment instruments 80,55%
      Other 12,95%

      June 2023

      Fund class performance for CZK HEDGED
      data as of 30.6.2023 Total cumulative performance of the fund (class CZK HEDGED)  Average monthly performance of the fund (class CZK HEDGED)
      1M 0,28% --
      3M 0,00% 0,00%
      6M 0,00% 0,00%
      since the establishment of the fund 0,28% 0,28%
      Unit certificates of the CZK class CZK HEDGED
      Data as of 30.6.2023 (class CZK HEDGED)
      Value of a unit certificate 1,0028 CZK
      Fund capital 107 309,96 CZK
      Current number of unit certificates issued 107 009 pcs
      Current number of unit certificates issued 114 000 pcs
      Total number of unit certificates redeemed 6 991 pcs
      Data as of 01.06.2023 - 30.06.2023 (class CZK HEDGED)
      Number of unit certificates issued for the period 114 000 pcs
      Number of unit certificates redeemed for the period 6 991 pcs
      Amount for which the unit certificates were issued 114 000,00 CZK
      Amount for which the unit certificates were redeemed 7 000,79 CZK
      Asset structure of the FUND
      Structure of assets as of 30.6.2023 (whole fund)
      Fund capital 108 011,98 CZK
      Total assets 112 462,28 CZK
      Of which:
      Deposits in banks 4,21%
      Investment instruments 95,50%
      Other 0,29%

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      CZK
      CZK Hedged

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