1,4515 CZK
current value of the investment share as of 28.05.2026
1352 mil. CZK
Fund capital as of 28.05.2026
About the Fund
A unique investment opportunity to participate in the growth of global stock markets. With a particular focus on innovation economy sectors while maintaining a broad portfolio spread and favourable fees.
OK Smart Equity in a nutshell:
A broadly diversified equity fund allowing participation in all major global markets (North America, Europe, Asia, etc.).
This global equity base is complemented by a component focused on innovative sectors of global industry - clean energy, sustainable agriculture, new materials, etc.
Like other OK Smart products, the investment philosophy is based on index (passive) management supplemented by limited active intervention.
An opportunity for dynamic investors who are looking for the potential for maximum value for their money and do not mind the increased volatility inherent in the stock markets.
OK Smart Equity, class A, a sub-fund of Broker Consulting SICAV | |
|---|---|
Fund manager | MONECO investiční společnost, a.s. |
Fund Administrator | INVESTIKA, investiční společnost, a.s. |
Fund Manager | Ondřej Pěška |
Depositary | Conseq Investment Management, a.s. |
Auditor | CLA Audit s.r.o. |
Frequency of pricing and trading | daily |
Recommended investment outlook | minimum 7 years |
Minimum investment | CZK 500 |
ISIN | CZ0008048659 |
Fund currency | CZK |
Entry fee | Maximum 5% of the value of the investment |
Exit charge | Maximum 3% of the value of the investment - The exit charge is governed by the current Fee Schedule |
Management fee | 1,40 % |
Administration fee | 0,30 % |
OK Smart Equity, class Profi, a sub-fund of Broker Consulting SICAV | |
|---|---|
Fund manager | MONECO investiční společnost, a.s. |
Fund Administrator | INVESTIKA, investiční společnost, a.s. |
Fund Manager | Ondřej Pěška |
Depositary | Conseq Investment Management, a.s. |
Auditor | CLA Audit s.r.o. |
Frequency of pricing and trading | daily |
Recommended investment outlook | minimum 7 years |
Minimum investment | CZK 500 |
ISIN | CZ1005200178 |
Fund currency | CZK |
Entry fee | 0% |
Exit charge | 0% |
Management fee | 0% |
Administration fee | 0,30 % |
|
Fund class performance for A |
||
|---|---|---|
| data as of 28. 5. 2026 | Total cumulative performance of the fund (class A) | |
1M |
7,19% |
|
3M |
10,12% |
|
6M |
13,77% |
|
12M |
22,30% |
|
for the last 3 years |
50,35% |
|
for the last 5 years |
0,00% |
|
since the fund's inception |
45,15% |
|
| Price per Certificate Unit třídy A | |
|---|---|
| Data as of | 28. 5. 2026 (class A) |
Value of the investment share |
1,4515 CZK |
Fund capital |
1 351 737 400,59 CZK |
Current number of issued investment shares |
931 268 253pcs |
| Data as of | 01.05.2026 - 28.05.2026 (class A) |
|---|---|
Number of investment shares issued |
22 487 494pcs |
Number of investment shares repurchased |
5 698 621pcs |
Amount for which investment shares were issued |
31 611 736,98 CZK |
Amount for which investment shares were purchased |
7 949 416,71 CZK |
|
Fund class performance for A |
||
|---|---|---|
| data as of 30. 4. 2026 | Total cumulative performance of the fund (class A) | |
1M |
7,93% |
|
3M |
4,35% |
|
6M |
5,81% |
|
12M |
21,79% |
|
for the last 3 years |
43,55% |
|
for the last 5 years |
0,00% |
|
since the fund's inception |
36,42% |
|
| Price per Certificate Unit třídy A | |
|---|---|
| Data as of | 30. 4. 2026 (class A) |
Value of the investment share |
1,3642 CZK |
Fund capital |
1 247 580 017,26 CZK |
Current number of issued investment shares |
914 479 380pcs |
| Data as of | 01.04.2026 - 30.04.2026 (class A) |
|---|---|
Number of investment shares issued |
26 476 583pcs |
Number of investment shares repurchased |
2 868 584pcs |
Amount for which investment shares were issued |
35 169 429,24 CZK |
Amount for which investment shares were purchased |
3 808 092,98 CZK |
|
Fund class performance for A |
||
|---|---|---|
| data as of 31. 3. 2026 | Total cumulative performance of the fund (class A) | |
1M |
-4,10% |
|
3M |
-1,20% |
|
6M |
1,71% |
|
12M |
8,91% |
|
for the last 3 years |
32,86% |
|
for the last 5 years |
0,00% |
|
since the fund's inception |
26,40% |
|
| Price per Certificate Unit třídy A | |
|---|---|
| Data as of | 31. 3. 2026 (class A) |
Value of the investment share |
1,2640 CZK |
Fund capital |
1 126 147 912,26 CZK |
Current number of issued investment shares |
890 871 381pcs |
| Data as of | 01.03.2026 - 31.03.2026 (class A) |
|---|---|
Number of investment shares issued |
26 573 582pcs |
Number of investment shares repurchased |
6 222 400pcs |
Amount for which investment shares were issued |
34 498 694,96 CZK |
Amount for which investment shares were purchased |
8 077 595,65 CZK |
|
Fund class performance for A |
||
|---|---|---|
| data as of 27. 2. 2026 | Total cumulative performance of the fund (class A) | |
1M |
0,28% |
|
3M |
3,76% |
|
6M |
7,21% |
|
12M |
5,78% |
|
for the last 3 years |
36,93% |
|
for the last 5 years |
0,00% |
|
since the fund's inception |
31,81% |
|
| Price per Certificate Unit třídy A | |
|---|---|
| Data as of | 27. 2. 2026 (class A) |
Value of the investment share |
1,3181 CZK |
Fund capital |
1 147 440 338,14 CZK |
Current number of issued investment shares |
870 520 199pcs |
| Data as of | 01.02.2026 - 27.02.2026 (class A) |
|---|---|
Number of investment shares issued |
23 209 543pcs |
Number of investment shares repurchased |
2 996 672pcs |
Amount for which investment shares were issued |
30 402 926,91 CZK |
Amount for which investment shares were purchased |
3 917 545,83 CZK |
|
Fund class performance for A |
||
|---|---|---|
| data as of 30. 1. 2026 | Total cumulative performance of the fund (class A) | |
1M |
1,95% |
|
3M |
1,02% |
|
6M |
7,26% |
|
12M |
3,10% |
|
for the last 3 years |
34,66% |
|
for the last 5 years |
0,00% |
|
since the fund's inception |
30,73% |
|
| Price per Certificate Unit třídy A | |
|---|---|
| Data as of | 30. 1. 2026 (class A) |
Value of the investment share |
1,3073 CZK |
Fund capital |
1 111 564 376,40 CZK |
Current number of issued investment shares |
850 307 328pcs |
| Data as of | 01.01.2026 - 30.01.2026 (class A) |
|---|---|
Number of investment shares issued |
22 513 658pcs |
Number of investment shares repurchased |
5 682 395pcs |
Amount for which investment shares were issued |
29 669 520,89 CZK |
Amount for which investment shares were purchased |
7 483 279,00 CZK |
|
Fund class performance for PROFI |
||
|---|---|---|
| data as of 28. 5. 2026 | Total cumulative performance of the fund (class PROFI) | |
1M |
7,33% |
|
3M |
10,50% |
|
6M |
14,49% |
|
12M |
23,31% |
|
for the last 3 years |
0,00% |
|
for the last 5 years |
0,00% |
|
since the fund's inception |
25,25% |
|
| Price per Certificate Unit třídy PROFI | |
|---|---|
| Data as of | 28. 5. 2026 (class PROFI) |
Value of the investment share |
1,2525 CZK |
Fund capital |
63 036 796,89 CZK |
Current number of issued investment shares |
50 327 337pcs |
| Data as of | 01.05.2026 - 28.05.2026 (class PROFI) |
|---|---|
Number of investment shares issued |
2 059 954pcs |
Number of investment shares repurchased |
20 655pcs |
Amount for which investment shares were issued |
2 488 958,85 CZK |
Amount for which investment shares were purchased |
24 936,34 CZK |
|
Fund class performance for PROFI |
||
|---|---|---|
| data as of 30. 4. 2026 | Total cumulative performance of the fund (class PROFI) | |
1M |
8,03% |
|
3M |
4,66% |
|
6M |
6,43% |
|
12M |
22,45% |
|
for the last 3 years |
0,00% |
|
for the last 5 years |
0,00% |
|
since the fund's inception |
17,58% |
|
| Price per Certificate Unit třídy PROFI | |
|---|---|
| Data as of | 30. 4. 2026 (class PROFI) |
Value of the investment share |
1,1758 CZK |
Fund capital |
56 780 265,40 CZK |
Current number of issued investment shares |
48 288 038pcs |
| Data as of | 01.04.2026 - 30.04.2026 (class PROFI) |
|---|---|
Number of investment shares issued |
4 231 935pcs |
Number of investment shares repurchased |
58 874pcs |
Amount for which investment shares were issued |
4 815 428,46 CZK |
Amount for which investment shares were purchased |
67 442,01 CZK |
|
Fund class performance for PROFI |
||
|---|---|---|
| data as of 31. 3. 2026 | Total cumulative performance of the fund (class PROFI) | |
1M |
-3,98% |
|
3M |
-0,87% |
|
6M |
2,27% |
|
12M |
8,07% |
|
for the last 3 years |
0,00% |
|
for the last 5 years |
0,00% |
|
since the fund's inception |
8,84% |
|
| Price per Certificate Unit třídy PROFI | |
|---|---|
| Data as of | 31. 3. 2026 (class PROFI) |
Value of the investment share |
1,0884 CZK |
Fund capital |
48 016 713,55 CZK |
Current number of issued investment shares |
44 114 977pcs |
| Data as of | 01.03.2026 - 31.03.2026 (class PROFI) |
|---|---|
Number of investment shares issued |
2 142 644pcs |
Number of investment shares repurchased |
183 637pcs |
Amount for which investment shares were issued |
2 397 301,92 CZK |
Amount for which investment shares were purchased |
205 330,50 CZK |
|
Fund class performance for PROFI |
||
|---|---|---|
| data as of 27. 2. 2026 | Total cumulative performance of the fund (class PROFI) | |
1M |
0,35% |
|
3M |
4,07% |
|
6M |
7,86% |
|
12M |
13,35% |
|
for the last 3 years |
0,00% |
|
for the last 5 years |
0,00% |
|
since the fund's inception |
13,35% |
|
| Price per Certificate Unit třídy PROFI | |
|---|---|
| Data as of | 27. 2. 2026 (class PROFI) |
Value of the investment share |
1,1335 CZK |
Fund capital |
47 782 011,04 CZK |
Current number of issued investment shares |
42 155 970pcs |
| Data as of | 01.02.2026 - 27.02.2026 (class PROFI) |
|---|---|
Number of investment shares issued |
5 509 144pcs |
Number of investment shares repurchased |
55 178pcs |
Amount for which investment shares were issued |
6 197 415,31 CZK |
Amount for which investment shares were purchased |
62 042,34 CZK |
|
Fund class performance for PROFI |
||
|---|---|---|
| data as of 30. 1. 2026 | Total cumulative performance of the fund (class PROFI) | |
1M |
2,09% |
|
3M |
1,32% |
|
6M |
7,74% |
|
12M |
12,35% |
|
for the last 3 years |
0,00% |
|
for the last 5 years |
0,00% |
|
since the fund's inception |
12,35% |
|
| Price per Certificate Unit třídy PROFI | |
|---|---|
| Data as of | 30. 1. 2026 (class PROFI) |
Value of the investment share |
1,1235 CZK |
Fund capital |
41 234 319,52 CZK |
Current number of issued investment shares |
36 702 004pcs |
| Data as of | 01.01.2026 - 30.01.2026 (class PROFI) |
|---|---|
Number of investment shares issued |
6 449 231pcs |
Number of investment shares repurchased |
158 863pcs |
Amount for which investment shares were issued |
7 272 018,38 CZK |
Amount for which investment shares were purchased |
179 413,71 CZK |
Documents to download
Statut Broker Consulting SICAV, a.s. - platný od 1. 8. 2024
Statut OK Smart Equity, podfond Broker Consulting SICAV, a.s., platný od 9. 12. 2024
Obchodní podmínky - účinné od 17. 12. 2024
Platební instrukce - účinné od 1. 11. 2024
Sazebník vstupních poplatků OK SMART fondů - účinný od 1. 11. 2024
Rozhodnutí o pozastavení vydávání a odkupování investičních akcií
Žádost o převod cenných papírů
Žádost o odkup cenných papírů - DIP
Klíčové informace pro investory - platné od 24. 1. 2025
Klíčové informace pro investory - platné od 1. 8. 2024
OBECNÉ DOKUMENTY A FORMULÁŘE
Statut Broker Consulting SICAV, a.s. - platný od 1. 8. 2024
Statut Broker Consulting FKI SICAV, a.s. - platný od 1. 8. 2024
Rámcová smlouva - OK Smart fondy kvalifikovaných investorů
Smlouva o dlouhodobém investičním produktu
Obchodní podmínky - účinné od 17. 12. 2024
Platební instrukce - účinné od 1. 11. 2024
Příloha smlouvy o DIP - Platební pokyny - pro zaměstnavatele
Sazebník vstupních poplatků OK SMART fondů - účinný od 1. 11. 2024
Sazebník poplatků OK SMART Opportunity - platný od 2.7.2020
Vzor rámcové smlouvy - OK Smart Stability+
Vzor rámcové smlouvy - produkty s realokací
Žádost o odkup cenných papírů - DIP
Žádost o odkup cenných papírů FKI (OK Smart Opportunity)
Žádost o odkup cenných papírů (OK Smart ETF - třída EUR)
Žádost o převod cených papírů - podpis musí být úředně ověřen
Žádost o převod cenných papírů DIP - podpis musí být úředně ověřen
Oznámení o změně bankovního spojení podpis musí být úředně ověřen
VÝROČNÍ ZPRÁVA 2023 OK Smart Equity, podfond Broker Consulting SICAV, a.s.
VÝROČNÍ ZPRÁVA 2022 OK Smart Equity, podfond Broker Consulting SICAV a.s.
Pololetní zprávy
POLOLETNÍ ZPRÁVA 2025 OK Smart Equity, podfond Broker Consulting SICAV, a.s.
POLOLETNÍ ZPRÁVA 2024 OK Smart Equity, podfond Broker Consulting SICAV, a.s.