1,4448 CZK
current value of the investment share 28.05.2026
3,753 mil. CZK
Fund capital 28.05.2026
About the Fund
OK Smart ETF is a unique investment opportunity for investors on the Czech market, both in terms of risk and the amount of funds invested or the method of investment.
OK Smart ETF is the first sub-fund of the Broker Consulting SICAV, a.s. investment fund built on the key elements of the following investment philosophy: a robust multi-asset approach, a combination of index and active approaches to investing and cost efficiency.
OK Smart ETF, 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 5 years |
Minimum investment | 500 Kč |
ISIN | CZ0008043254 |
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 | 1,27 % |
Administration fee | 0,23 % |
OK Smart ETF, 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 5 years |
Minimum investment | 20 EUR |
ISIN | CZ0008049087 |
Fund currency | EUR |
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 | 1,27 % |
Administration fee | 0,23 % |
OK Smart ETF, 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 5 years |
Minimum investment | 500 Kč |
ISIN | CZ1005200186 |
Fund currency | CZK |
Entry fee | 0% |
Exit charge | 0% |
Management fee | 0% |
Administration fee | 0,23 % |
for the selected period
|
Fund class performance for CZK |
||
|---|---|---|
| data as of 28. 5. 2026 | Total cumulative performance of the fund (class CZK) | |
1M |
3,65% |
|
3M |
3,74% |
|
6M |
7,52% |
|
12M |
12,49% |
|
for the last 3 years |
37,93% |
|
for the last 5 years |
27,45% |
|
for the calendar year |
6,80% |
|
since the fund's inception |
44,48% |
|
| Price per Certificate Unit třídy CZK | |
|---|---|
| Data as of | 28. 5. 2026 (class CZK) |
Value of the investment share |
1,4448 CZK |
Fund capital |
3 752 882 336,92 CZK |
Current number of issued investment shares |
2 597 336 753pcs |
| Data as of | 01.05.2026 - 28.05.2026 (class CZK) |
|---|---|
Number of investment shares issued |
26 583 260pcs |
Number of investment shares repurchased |
16 780 934pcs |
Amount for which investment shares were issued |
37 775 044,56 CZK |
Amount for which investment shares were purchased |
23 790 487,24 CZK |
|
Fund class performance for CZK |
||
|---|---|---|
| data as of 30. 4. 2026 | Total cumulative performance of the fund (class CZK) | |
1M |
4,78% |
|
3M |
1,65% |
|
6M |
3,58% |
|
12M |
13,36% |
|
for the last 3 years |
35,45% |
|
for the last 5 years |
22,97% |
|
for the calendar year |
3,47% |
|
since the fund's inception |
39,97% |
|
| Price per Certificate Unit třídy CZK | |
|---|---|
| Data as of | 30. 4. 2026 (class CZK) |
Value of the investment share |
1,3997 CZK |
Fund capital |
3 621 875 801,81 CZK |
Current number of issued investment shares |
2 587 534 427pcs |
| Data as of | 01.04.2026 - 30.04.2026 (class CZK) |
|---|---|
Number of investment shares issued |
30 901 705pcs |
Number of investment shares repurchased |
21 539 939pcs |
Amount for which investment shares were issued |
42 702 394,50 CZK |
Amount for which investment shares were purchased |
29 494 190,34 CZK |
|
Fund class performance for CZK |
||
|---|---|---|
| data as of 31. 3. 2026 | Total cumulative performance of the fund (class CZK) | |
1M |
-4,08% |
|
3M |
-1,25% |
|
6M |
1,40% |
|
12M |
5,29% |
|
for the last 3 years |
29,51% |
|
for the last 5 years |
17,93% |
|
for the calendar year |
-1,25% |
|
since the fund's inception |
33,59% |
|
| Price per Certificate Unit třídy CZK | |
|---|---|
| Data as of | 31. 3. 2026 (class CZK) |
Value of the investment share |
1,3359 CZK |
Fund capital |
3 444 354 133,94 CZK |
Current number of issued investment shares |
2 578 172 661pcs |
| Data as of | 01.03.2026 - 31.03.2026 (class CZK) |
|---|---|
Number of investment shares issued |
33 449 535pcs |
Number of investment shares repurchased |
35 323 130pcs |
Amount for which investment shares were issued |
45 578 187,83 CZK |
Amount for which investment shares were purchased |
48 184 337,44 CZK |
|
Fund class performance for CZK |
||
|---|---|---|
| data as of 27. 2. 2026 | Total cumulative performance of the fund (class CZK) | |
1M |
0,85% |
|
3M |
4,00% |
|
6M |
6,01% |
|
12M |
4,21% |
|
for the last 3 years |
33,37% |
|
for the last 5 years |
26,20% |
|
for the calendar year |
2,95% |
|
since the fund's inception |
39,27% |
|
| Price per Certificate Unit třídy CZK | |
|---|---|
| Data as of | 27. 2. 2026 (class CZK) |
Value of the investment share |
1,3927 CZK |
Fund capital |
3 593 120 753,73 CZK |
Current number of issued investment shares |
2 580 046 256pcs |
| Data as of | 01.02.2026 - 27.02.2026 (class CZK) |
|---|---|
Number of investment shares issued |
28 042 702pcs |
Number of investment shares repurchased |
20 245 407pcs |
Amount for which investment shares were issued |
38 744 008,23 CZK |
Amount for which investment shares were purchased |
27 961 257,88 CZK |
|
Fund class performance for CZK |
||
|---|---|---|
| data as of 30. 1. 2026 | Total cumulative performance of the fund (class CZK) | |
1M |
1,65% |
|
3M |
1,59% |
|
6M |
5,45% |
|
12M |
2,41% |
|
for the last 3 years |
31,19% |
|
for the last 5 years |
26,89% |
|
for the calendar year |
1,79% |
|
since the fund's inception |
37,70% |
|
| Price per Certificate Unit třídy CZK | |
|---|---|
| Data as of | 30. 1. 2026 (class CZK) |
Value of the investment share |
1,3770 CZK |
Fund capital |
3 542 007 783,34 CZK |
Current number of issued investment shares |
2 572 248 961pcs |
| Data as of | 01.01.2026 - 30.01.2026 (class CZK) |
|---|---|
Number of investment shares issued |
31 487 393pcs |
Number of investment shares repurchased |
23 363 011pcs |
Amount for which investment shares were issued |
43 539 350,44 CZK |
Amount for which investment shares were purchased |
32 210 793,26 CZK |
|
Fund class performance for EUR |
||
|---|---|---|
| data as of 28. 5. 2026 | Total cumulative performance of the fund (class EUR) | |
1M |
3,91% |
|
3M |
3,46% |
|
6M |
6,90% |
|
12M |
14,97% |
|
for the last 3 years |
49,73% |
|
for the last 5 years |
0,00% |
|
for the calendar year |
6,51% |
|
since the fund's inception |
55,32% |
|
| Price per Certificate Unit třídy EUR | |
|---|---|
| Data as of | 28. 5. 2026 (class EUR) |
Value of the investment share |
1,5532 EUR |
Fund capital |
3 263 328,28 EUR |
Current number of issued investment shares |
2 101 026pcs |
| Data as of | 01.05.2026 - 28.05.2026 (class EUR) |
|---|---|
Number of investment shares issued |
232 217pcs |
Number of investment shares repurchased |
3 513pcs |
Amount for which investment shares were issued |
350 134,92 EUR |
Amount for which investment shares were purchased |
5 275,13 EUR |
|
Fund class performance for EUR |
||
|---|---|---|
| data as of 30. 4. 2026 | Total cumulative performance of the fund (class EUR) | |
1M |
5,44% |
|
3M |
1,52% |
|
6M |
3,17% |
|
12M |
15,67% |
|
for the last 3 years |
46,53% |
|
for the last 5 years |
0,00% |
|
for the calendar year |
2,98% |
|
since the fund's inception |
50,16% |
|
| Price per Certificate Unit třídy EUR | |
|---|---|
| Data as of | 30. 4. 2026 (class EUR) |
Value of the investment share |
1,5016 EUR |
Fund capital |
2 811 485,55 EUR |
Current number of issued investment shares |
1 872 322pcs |
| Data as of | 01.04.2026 - 30.04.2026 (class EUR) |
|---|---|
Number of investment shares issued |
6 238pcs |
Number of investment shares repurchased |
0pcs |
Amount for which investment shares were issued |
9 199,47 EUR |
Amount for which investment shares were purchased |
0,00 EUR |
|
Fund class performance for EUR |
||
|---|---|---|
| data as of 31. 3. 2026 | Total cumulative performance of the fund (class EUR) | |
1M |
-5,14% |
|
3M |
-2,34% |
|
6M |
0,39% |
|
12M |
6,91% |
|
for the last 3 years |
39,26% |
|
for the last 5 years |
0,00% |
|
for the calendar year |
-2,34% |
|
since the fund's inception |
42,41% |
|
| Price per Certificate Unit třídy EUR | |
|---|---|
| Data as of | 31. 3. 2026 (class EUR) |
Value of the investment share |
1,4241 EUR |
Fund capital |
2 657 594,48 EUR |
Current number of issued investment shares |
1 866 084pcs |
| Data as of | 01.03.2026 - 31.03.2026 (class EUR) |
|---|---|
Number of investment shares issued |
99 292pcs |
Number of investment shares repurchased |
62 807pcs |
Amount for which investment shares were issued |
146 370,42 EUR |
Amount for which investment shares were purchased |
93 073,30 EUR |
|
Fund class performance for EUR |
||
|---|---|---|
| data as of 27. 2. 2026 | Total cumulative performance of the fund (class EUR) | |
1M |
0,95% |
|
3M |
3,71% |
|
6M |
7,00% |
|
12M |
7,07% |
|
for the last 3 years |
45,82% |
|
for the last 5 years |
0,00% |
|
for the calendar year |
2,95% |
|
since the fund's inception |
50,12% |
|
| Price per Certificate Unit třídy EUR | |
|---|---|
| Data as of | 27. 2. 2026 (class EUR) |
Value of the investment share |
1,5012 EUR |
Fund capital |
2 746 524,95 EUR |
Current number of issued investment shares |
1 829 599pcs |
| Data as of | 01.02.2026 - 27.02.2026 (class EUR) |
|---|---|
Number of investment shares issued |
6 137pcs |
Number of investment shares repurchased |
9 162pcs |
Amount for which investment shares were issued |
9 118,32 EUR |
Amount for which investment shares were purchased |
13 603,51 EUR |
|
Fund class performance for EUR |
||
|---|---|---|
| data as of 30. 1. 2026 | Total cumulative performance of the fund (class EUR) | |
1M |
1,32% |
|
3M |
1,50% |
|
6M |
6,17% |
|
12M |
5,42% |
|
for the last 3 years |
44,64% |
|
for the last 5 years |
0,00% |
|
for the calendar year |
1,43% |
|
since the fund's inception |
47,91% |
|
| Price per Certificate Unit třídy EUR | |
|---|---|
| Data as of | 30. 1. 2026 (class EUR) |
Value of the investment share |
1,4791 EUR |
Fund capital |
2 710 649,94 EUR |
Current number of issued investment shares |
1 832 624pcs |
| Data as of | 01.01.2026 - 30.01.2026 (class EUR) |
|---|---|
Number of investment shares issued |
32 450pcs |
Number of investment shares repurchased |
4 698pcs |
Amount for which investment shares were issued |
48 343,53 EUR |
Amount for which investment shares were purchased |
7 000,96 EUR |
|
Fund class performance for Profi |
||
|---|---|---|
| data as of 28. 5. 2026 | Total cumulative performance of the fund (class Profi) | |
1M |
3,79% |
|
3M |
4,07% |
|
6M |
8,19% |
|
12M |
13,47% |
|
for the last 3 years |
0,00% |
|
for the last 5 years |
0,00% |
|
for the year 2022 |
7,34% |
|
since the establishment of the fund |
14,31% |
|
| Price per Certificate Unit třídy Profi | |
|---|---|
| Data as of | 28. 5. 2026 (class Profi) |
Value of a unit certificate |
1,1431 CZK |
Fund capital |
63 814 664,32 CZK |
Current number of unit certificates issued |
55 821 853pcs |
Total number of unit certificates issued |
57 216 959pcs |
Total number of unit certificates redeemed |
1 395 106pcs |
| Data as of | 01.05.2026 - 28.05.2026 (class Profi) |
|---|---|
Number of unit certificates issued for the period |
6 866 165pcs |
Number of unit certificates redeemed for the period |
30 890pcs |
Amount for which the unit certificates were issued |
7 721 894,23 CZK |
Amount for which the unit certificates were redeemed |
34 663,74 CZK |
| Asset structure of the FUND | |
|---|---|
| Structure of assets as of | 28. 5. 2026 (whole fund) |
Fund capital |
0,00 CZK |
Total assets |
0,00 CZK |
Of which: |
|
Interests in real estate companies |
0,00% |
Loans to real estate companies (including interest on loans) |
0,00% |
Deposits in banks |
0,00% |
Investment instruments |
0,00% |
Other |
0,00% |
|
Fund class performance for Profi |
||
|---|---|---|
| data as of 30. 4. 2026 | Total cumulative performance of the fund (class Profi) | |
1M |
4,85% |
|
3M |
1,93% |
|
6M |
4,17% |
|
12M |
14,09% |
|
for the last 3 years |
0,00% |
|
for the last 5 years |
0,00% |
|
for the year 2022 |
3,87% |
|
since the establishment of the fund |
10,61% |
|
| Price per Certificate Unit třídy Profi | |
|---|---|
| Data as of | 30. 4. 2026 (class Profi) |
Value of a unit certificate |
1,1061 CZK |
Fund capital |
54 187 721,53 CZK |
Current number of unit certificates issued |
48 986 578pcs |
Total number of unit certificates issued |
50 350 794pcs |
Total number of unit certificates redeemed |
1 364 216pcs |
| Data as of | 01.04.2026 - 30.04.2026 (class Profi) |
|---|---|
Number of unit certificates issued for the period |
5 819 180pcs |
Number of unit certificates redeemed for the period |
61 091pcs |
Amount for which the unit certificates were issued |
6 280 477,51 CZK |
Amount for which the unit certificates were redeemed |
65 434,28 CZK |
| Asset structure of the FUND | |
|---|---|
| Structure of assets as of | 30. 4. 2026 (whole fund) |
Fund capital |
0,00 CZK |
Total assets |
0,00 CZK |
Of which: |
|
Interests in real estate companies |
0,00% |
Loans to real estate companies (including interest on loans) |
0,00% |
Deposits in banks |
0,00% |
Investment instruments |
0,00% |
Other |
0,00% |
|
Fund class performance for Profi |
||
|---|---|---|
| data as of 31. 3. 2026 | Total cumulative performance of the fund (class Profi) | |
1M |
-3,96% |
|
3M |
-0,94% |
|
6M |
2,00% |
|
12M |
4,80% |
|
for the last 3 years |
0,00% |
|
for the last 5 years |
0,00% |
|
for the year 2022 |
-0,94% |
|
since the establishment of the fund |
5,49% |
|
| Price per Certificate Unit třídy Profi | |
|---|---|
| Data as of | 31. 3. 2026 (class Profi) |
Value of a unit certificate |
1,0549 CZK |
Fund capital |
45 602 114,04 CZK |
Current number of unit certificates issued |
43 228 489pcs |
Total number of unit certificates issued |
44 531 614pcs |
Total number of unit certificates redeemed |
1 303 125pcs |
| Data as of | 01.03.2026 - 31.03.2026 (class Profi) |
|---|---|
Number of unit certificates issued for the period |
2 640 330pcs |
Number of unit certificates redeemed for the period |
488 350pcs |
Amount for which the unit certificates were issued |
2 854 377,99 CZK |
Amount for which the unit certificates were redeemed |
525 533,52 CZK |
| Asset structure of the FUND | |
|---|---|
| Structure of assets as of | 31. 3. 2026 (whole fund) |
Fund capital |
0,00 CZK |
Total assets |
0,00 CZK |
Of which: |
|
Interests in real estate companies |
0,00% |
Loans to real estate companies (including interest on loans) |
0,00% |
Deposits in banks |
0,00% |
Investment instruments |
0,00% |
Other |
0,00% |
|
Fund class performance for Profi |
||
|---|---|---|
| data as of 27. 2. 2026 | Total cumulative performance of the fund (class Profi) | |
1M |
0,93% |
|
3M |
4,31% |
|
6M |
6,53% |
|
12M |
9,84% |
|
for the last 3 years |
0,00% |
|
for the last 5 years |
0,00% |
|
for the year 2022 |
3,15% |
|
since the establishment of the fund |
9,84% |
|
| Price per Certificate Unit třídy Profi | |
|---|---|
| Data as of | 27. 2. 2026 (class Profi) |
Value of a unit certificate |
1,0984 CZK |
Fund capital |
45 118 777,60 CZK |
Current number of unit certificates issued |
41 076 509pcs |
Total number of unit certificates issued |
41 891 284pcs |
Total number of unit certificates redeemed |
814 775pcs |
| Data as of | 01.02.2026 - 27.02.2026 (class Profi) |
|---|---|
Number of unit certificates issued for the period |
2 771 616pcs |
Number of unit certificates redeemed for the period |
39 825pcs |
Amount for which the unit certificates were issued |
3 017 794,08 CZK |
Amount for which the unit certificates were redeemed |
43 340,61 CZK |
| Asset structure of the FUND | |
|---|---|
| Structure of assets as of | 27. 2. 2026 (whole fund) |
Fund capital |
0,00 CZK |
Total assets |
0,00 CZK |
Of which: |
|
Interests in real estate companies |
0,00% |
Loans to real estate companies (including interest on loans) |
0,00% |
Deposits in banks |
0,00% |
Investment instruments |
0,00% |
Other |
0,00% |
|
Fund class performance for Profi |
||
|---|---|---|
| data as of 30. 1. 2026 | Total cumulative performance of the fund (class Profi) | |
1M |
1,77% |
|
3M |
1,89% |
|
6M |
5,92% |
|
12M |
8,52% |
|
for the last 3 years |
0,00% |
|
for the last 5 years |
0,00% |
|
for the year 2022 |
1,91% |
|
since the establishment of the fund |
8,52% |
|
| Price per Certificate Unit třídy Profi | |
|---|---|
| Data as of | 30. 1. 2026 (class Profi) |
Value of a unit certificate |
1,0852 CZK |
Fund capital |
41 613 292,09 CZK |
Current number of unit certificates issued |
38 344 718pcs |
Total number of unit certificates issued |
39 119 668pcs |
Total number of unit certificates redeemed |
774 950pcs |
| Data as of | 01.01.2026 - 30.01.2026 (class Profi) |
|---|---|
Number of unit certificates issued for the period |
4 053 927pcs |
Number of unit certificates redeemed for the period |
402 154pcs |
Amount for which the unit certificates were issued |
4 404 799,22 CZK |
Amount for which the unit certificates were redeemed |
437 392,94 CZK |
| Asset structure of the FUND | |
|---|---|
| Structure of assets as of | 30. 1. 2026 (whole fund) |
Fund capital |
0,00 CZK |
Total assets |
0,00 CZK |
Of which: |
|
Interests in real estate companies |
0,00% |
Loans to real estate companies (including interest on loans) |
0,00% |
Deposits in banks |
0,00% |
Investment instruments |
0,00% |
Other |
0,00% |
Documents to download
VÝROČNÍ ZPRÁVA 2023 Broker Consulting SICAV, a.s.
VÝROČNÍ ZPRÁVA 2023 OK Smart ETF, podfond Broker Consulting SICAV, a.s.
VÝROČNÍ ZPRÁVA 2021 Broker Consulting Sicav, a.s. a jeho podfond OK Smart Bond a OK Smart ETF
VÝROČNÍ ZPRÁVA 2020 Broker Consulting Sicav, a.s. a jeho podfond OK Smart Bond a OK Smart ETF
Pololetní zprávy
POLOLETNÍ ZPRÁVA 2024 OK Smart ETF, podfond Broker Consulting SICAV, a.s.
POLOLETNÍ ZPRÁVA 2024 Broker Consulting SICAV, a.s.
POLOLETNÍ ZPRÁVA 2021 Broker Consulting Sicav, a.s. a jeho podfond OK Smart Bond a OK Smart ETF
Statut Broker Consulting SICAV, a.s. - platný od 1. 8. 2024
Statut OK Smart ETF, 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 (třída EUR)
Žádost o odkup cenných papírů - DIP
Klíčové informace pro investory (třída CZK) - platné od 24. 1. 2025
Klíčové informace pro investory (třída EUR) - platné od 24. 1. 2025
Klíčové informace pro investory - platné od 1. 8. 2024 (třída CZK)
Klíčové informace pro investory - platné od 1. 8. 2024 (třída EUR)
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 ETF, podfond Broker Consulting SICAV, a.s.
VÝROČNÍ ZPRÁVA 2021 Broker Consulting Sicav, a.s. a jeho podfond OK Smart Bond a OK Smart ETF
VÝROČNÍ ZPRÁVA 2020 Broker Consulting Sicav, a.s. a jeho podfond OK Smart Bond a OK Smart ETF
Pololetní zprávy
POLOLETNÍ ZPRÁVA 2025 OK Smart ETF, podfond Broker Consulting SICAV, a.s.
POLOLETNÍ ZPRÁVA 2024 OK Smart ETF, podfond Broker Consulting SICAV, a.s.
POLOLETNÍ ZPRÁVA 2021 Broker Consulting Sicav, a.s. a jeho podfond OK Smart Bond a OK Smart ETF