<PRIIPsWebsiteInfo version="1" CreationDateAndTime="2023-12-31">
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  <GenericNarratives>
    <GenericNarrative lang="cz">
      <Legend>
        <Fund>Stávající výkonnost produktu</Fund>
        <Index>Index</Index>
        <Simulated>Výkonnost produktu před změnou investiční strategie</Simulated>
      </Legend>
      <PastPerformanceNarrative>
        <Header>Dosavadní výkonnost</Header>
        <BodyText1>&lt;b&gt;Výkonnost se uvádí po odečtení průběžných poplatků. Veškeré vstupní a výstupní poplatky jsou z výpočtu vyloučeny. &lt;/b&gt;</BodyText1>
        <BodyText2>&lt;b&gt;Dosavadní výkonnost není spolehlivým ukazatelem budoucí výkonnosti. Trhy se mohou v budoucnu vyvíjet velmi odlišně. Muže vám pomoci posoudit, jak byl produkt doposud spravován.&lt;/b&gt;</BodyText2>
        <CustBodyText1>
        </CustBodyText1>
      </PastPerformanceNarrative>
      <PerformanceScenarioNarrative>
        <Header>Scénáře Výkonnosti</Header>
        <DropDownYear>Rok</DropDownYear>
        <DropDownMonth>Měsíc</DropDownMonth>
        <JanuaryText>Leden</JanuaryText>
        <FebruaryText>Únor</FebruaryText>
        <MarchText>Březen</MarchText>
        <AprilText>Duben</AprilText>
        <MayText>Květen</MayText>
        <JuneText>Červen</JuneText>
        <JulyText>Červenec</JulyText>
        <AugustText>Srpen</AugustText>
        <SeptemberText>Září</SeptemberText>
        <OctoberText>Říjen</OctoberText>
        <NovemberText>Listopad</NovemberText>
        <DecemberText>Prosinec</DecemberText>
        <ScenarioTitle>Scénáře</ScenarioTitle>
        <StressTitle>Stresový</StressTitle>
        <UnfavorableTitle>Nepříznivý</UnfavorableTitle>
        <ModerateTitle>Umírněný</ModerateTitle>
        <FavorableTitle>Příznivý</FavorableTitle>
        <AmountDesc>Co byste mohli získat zpět po odečtení nákladů</AmountDesc>
        <PercentageDesc>Průměrný každoroční výnos </PercentageDesc>
        <Exit0.25Year>Pokud investici ukončíte po 3 měsíců</Exit0.25Year>
        <CUST_PERF_MIN_TTL>Minimální</CUST_PERF_MIN_TTL>
        <CUST_PERF_MIN_TXT>Minimální výnos není zaručen. Mohli byste přijít o část svých investic nebo o všechny.</CUST_PERF_MIN_TXT>
        <Exit1Year>Pokud investici ukončíte po 1 rok</Exit1Year>
        <Exit2Year>Pokud investici ukončíte po 2 let</Exit2Year>
        <Exit3Year>Pokud investici ukončíte po 3 let</Exit3Year>
        <Exit4Year>Pokud investici ukončíte po 4 let</Exit4Year>
        <Exit5Year>Pokud investici ukončíte po 5 let</Exit5Year>
        <Exit6Year>Pokud investici ukončíte po 6 let</Exit6Year>
        <Exit7Year>Pokud investici ukončíte po 7 let</Exit7Year>
        <Exit8Year>Pokud investici ukončíte po 8 let</Exit8Year>
        <Exit9Year>Pokud investici ukončíte po 9 let</Exit9Year>
        <Exit10Year>Pokud investici ukončíte po 10 let</Exit10Year>
      </PerformanceScenarioNarrative>
    </GenericNarrative>
    <GenericNarrative lang="da">
      <Legend>
        <Fund>Fond</Fund>
        <Index>Indeks</Index>
        <Simulated>Simulated</Simulated>
      </Legend>
      <PastPerformanceNarrative>
        <Header>Tidligere Resultater</Header>
        <BodyText1>&lt;b&gt;Hvis der er vist tidligere resultater, tager de hensyn til løbende gebyrer undtagen relevante indtrædelses-/udtrædelsesgebyrer. &lt;/b&gt;</BodyText1>
        <BodyText2>&lt;b&gt;Hidtidige resultater er ikke en pålidelig indikator for fremtidige resultater. Markederne kan udvikle sig meget forskelligt i fremtiden. Diagrammet kan hjælpe dig med at vurdere, hvordan fonden tidligere er blevet forvaltet.&lt;/b&gt;</BodyText2>
        <CustBodyText1>
        </CustBodyText1>
      </PastPerformanceNarrative>
      <PerformanceScenarioNarrative>
        <Header>Resultater Scenarier</Header>
        <DropDownYear>år</DropDownYear>
        <DropDownMonth>Måned</DropDownMonth>
        <JanuaryText>Januar</JanuaryText>
        <FebruaryText>Februar</FebruaryText>
        <MarchText>Marts</MarchText>
        <AprilText>April</AprilText>
        <MayText>Maj</MayText>
        <JuneText>Juni</JuneText>
        <JulyText>Juli</JulyText>
        <AugustText>August</AugustText>
        <SeptemberText>September</SeptemberText>
        <OctoberText>Oktober</OctoberText>
        <NovemberText>November</NovemberText>
        <DecemberText>December</DecemberText>
        <ScenarioTitle>scenarier</ScenarioTitle>
        <StressTitle>Stress</StressTitle>
        <UnfavorableTitle>Ufordelagtig</UnfavorableTitle>
        <ModerateTitle>Moderat</ModerateTitle>
        <FavorableTitle>Fordelagtig</FavorableTitle>
        <AmountDesc>Hvad du eventuelt får tilbage efter omkostninger</AmountDesc>
        <PercentageDesc>Gennemsnitligt afkast hvert år</PercentageDesc>
        <Exit0.25Year>Ved exit efter 3 måneder</Exit0.25Year>
        <CUST_PERF_MIN_TTL>Minimum</CUST_PERF_MIN_TTL>
        <CUST_PERF_MIN_TXT>Der er ikke noget garanteret minimumsafkast. Du risikerer at miste en del af eller hele din investering.</CUST_PERF_MIN_TXT>
        <Exit1Year>Ved exit efter  1 år</Exit1Year>
        <Exit2Year>Ved exit efter  2 år</Exit2Year>
        <Exit3Year>Ved exit efter  3 år</Exit3Year>
        <Exit4Year>Ved exit efter  4 år</Exit4Year>
        <Exit5Year>Ved exit efter  5 år</Exit5Year>
        <Exit6Year>Ved exit efter  6 år</Exit6Year>
        <Exit7Year>Ved exit efter  7 år</Exit7Year>
        <Exit8Year>Ved exit efter  8 år</Exit8Year>
        <Exit9Year>Ved exit efter  9 år</Exit9Year>
        <Exit10Year>Ved exit efter  10 år</Exit10Year>
      </PerformanceScenarioNarrative>
    </GenericNarrative>
    <GenericNarrative lang="de">
      <Legend>
        <Fund>Fonds</Fund>
        <Index>Index</Index>
        <Simulated>Simulated</Simulated>
      </Legend>
      <PastPerformanceNarrative>
        <Header>Frühere Wertentwicklung</Header>
        <BodyText1>&lt;b&gt;Die Wertentwicklung wird nach Abzug der laufenden Kosten dargestellt. Ein- und Ausstiegskosten werden bei der Berechnung nicht berücksichtigt. &lt;/b&gt;</BodyText1>
        <BodyText2>&lt;b&gt;Die Wertentwicklung in der Vergangenheit ist kein zuverlässiger Indikator für die Wertentwicklung in der Zukunft. Die Märkte könnten sich künftig völlig anders entwickeln. Anhand des Diagramms können Sie bewerten, wie der Fonds in der Vergangenheit verwaltet wurde. &lt;/b&gt;</BodyText2>
        <CustBodyText1>
        </CustBodyText1>
      </PastPerformanceNarrative>
      <PerformanceScenarioNarrative>
        <Header>Performance-Szenarien</Header>
        <DropDownYear>Jahr</DropDownYear>
        <DropDownMonth>Monat</DropDownMonth>
        <JanuaryText>Januar</JanuaryText>
        <FebruaryText>Februar</FebruaryText>
        <MarchText>März</MarchText>
        <AprilText>April</AprilText>
        <MayText>Mai</MayText>
        <JuneText>Juni</JuneText>
        <JulyText>Juli</JulyText>
        <AugustText>August</AugustText>
        <SeptemberText>September</SeptemberText>
        <OctoberText>Oktober</OctoberText>
        <NovemberText>November</NovemberText>
        <DecemberText>Dezember</DecemberText>
        <ScenarioTitle>Szenarien</ScenarioTitle>
        <StressTitle>Stressszenario</StressTitle>
        <UnfavorableTitle>Pessimistisches Szenario</UnfavorableTitle>
        <ModerateTitle>Mittleres Szenario</ModerateTitle>
        <FavorableTitle>Optimistisches Szenario</FavorableTitle>
        <AmountDesc>Was Sie am Ende nach Abzug der Kosten herausbekommen könnten</AmountDesc>
        <PercentageDesc>Jährliche Durchschnittsrendite</PercentageDesc>
        <Exit0.25Year>Wenn Sie nach 3 Monate aussteigen</Exit0.25Year>
        <CUST_PERF_MIN_TTL>Minimum</CUST_PERF_MIN_TTL>
        <CUST_PERF_MIN_TXT>Es gibt keine garantierte Mindestrendite. Sie könnten Ihre Anlage ganz oder teilweise verlieren.</CUST_PERF_MIN_TXT>
        <Exit1Year>Wenn Sie nach 1 Jahr aussteigen</Exit1Year>
        <Exit2Year>Wenn Sie nach 2 Jahre aussteigen</Exit2Year>
        <Exit3Year>Wenn Sie nach 3 Jahre aussteigen</Exit3Year>
        <Exit4Year>Wenn Sie nach 4 Jahre aussteigen</Exit4Year>
        <Exit5Year>Wenn Sie nach 5 Jahre aussteigen</Exit5Year>
        <Exit6Year>Wenn Sie nach 6 Jahre aussteigen</Exit6Year>
        <Exit7Year>Wenn Sie nach 7 Jahre aussteigen</Exit7Year>
        <Exit8Year>Wenn Sie nach 8 Jahren aussteigen</Exit8Year>
        <Exit9Year>Wenn Sie nach 9 Jahre aussteigen</Exit9Year>
        <Exit10Year>Wenn Sie nach 10 Jahre aussteigen</Exit10Year>
      </PerformanceScenarioNarrative>
    </GenericNarrative>
    <GenericNarrative lang="en">
      <Legend>
        <Fund>Product</Fund>
        <Index>Index</Index>
        <Simulated>Simulated data</Simulated>
      </Legend>
      <PastPerformanceNarrative>
        <Header>Past Performance</Header>
        <BodyText1>&lt;b&gt;Performance is shown after deduction of ongoing charges. Any entry and exit charges are excluded from the calculation. &lt;/b&gt;</BodyText1>
        <BodyText2>&lt;b&gt;Past performance is not a reliable indicator of future performance. Markets could develop very differently in the future. It can help you to assess how the product has been managed in the past.&lt;/b&gt;</BodyText2>
        <CustBodyText1>
        </CustBodyText1>
      </PastPerformanceNarrative>
      <PerformanceScenarioNarrative>
        <Header>Performance Scenarios</Header>
        <DropDownYear>Year</DropDownYear>
        <DropDownMonth>Month</DropDownMonth>
        <JanuaryText>January</JanuaryText>
        <FebruaryText>February</FebruaryText>
        <MarchText>March</MarchText>
        <AprilText>April</AprilText>
        <MayText>May</MayText>
        <JuneText>June</JuneText>
        <JulyText>July</JulyText>
        <AugustText>August</AugustText>
        <SeptemberText>September</SeptemberText>
        <OctoberText>October</OctoberText>
        <NovemberText>November</NovemberText>
        <DecemberText>December</DecemberText>
        <ScenarioTitle>Scenarios</ScenarioTitle>
        <StressTitle>Stress</StressTitle>
        <UnfavorableTitle>Unfavourable</UnfavorableTitle>
        <ModerateTitle>Moderate</ModerateTitle>
        <FavorableTitle>Favourable</FavorableTitle>
        <AmountDesc>What you might get back after costs</AmountDesc>
        <PercentageDesc>Average return each year</PercentageDesc>
        <Exit0.25Year>If you exit after 3 months</Exit0.25Year>
        <CUST_PERF_MIN_TTL>Minimum</CUST_PERF_MIN_TTL>
        <CUST_PERF_MIN_TXT>There is no minimum guaranteed return. You could lose some or all of your investment.</CUST_PERF_MIN_TXT>
        <Exit1Year>If you exit after 1 year</Exit1Year>
        <Exit2Year>If you exit after 2 years</Exit2Year>
        <Exit3Year>If you exit after 3 years</Exit3Year>
        <Exit4Year>If you exit after 4 years</Exit4Year>
        <Exit5Year>If you exit after 5 years</Exit5Year>
        <Exit6Year>If you exit after 6 years</Exit6Year>
        <Exit7Year>If you exit after 7 years</Exit7Year>
        <Exit8Year>If you exit after 8 years</Exit8Year>
        <Exit9Year>If you exit after 9 years</Exit9Year>
        <Exit10Year>If you exit after 10 years</Exit10Year>
      </PerformanceScenarioNarrative>
    </GenericNarrative>
    <GenericNarrative lang="es">
      <Legend>
        <Fund>Fondo</Fund>
        <Index>Índice</Index>
        <Simulated>Simulated</Simulated>
      </Legend>
      <PastPerformanceNarrative>
        <Header>Rentabilidad histórica</Header>
        <BodyText1>&lt;b&gt;De la rentabilidad que se presenta se han deducido los gastos corrientes. Se excluyen del cálculo todos los gastos de entrada y salida. &lt;/b&gt;</BodyText1>
        <BodyText2>&lt;b&gt;La rentabilidad histórica no es un indicador fiable de la rentabilidad futura. Los mercados podrían evolucionar de manera muy distinta en el futuro. Puede ayudarle a evaluar cómo se ha gestionado el fondo en el pasado. &lt;/b&gt;</BodyText2>
        <CustBodyText1>
        </CustBodyText1>
      </PastPerformanceNarrative>
      <PerformanceScenarioNarrative>
        <Header>Escenarios de rentabilidad</Header>
        <DropDownYear>Año</DropDownYear>
        <DropDownMonth>Mes</DropDownMonth>
        <JanuaryText>Enero</JanuaryText>
        <FebruaryText>Febrero</FebruaryText>
        <MarchText>Marzo</MarchText>
        <AprilText>Abril</AprilText>
        <MayText>Mayo</MayText>
        <JuneText>Junio</JuneText>
        <JulyText>Julio</JulyText>
        <AugustText>Agosto</AugustText>
        <SeptemberText>Septiembre</SeptemberText>
        <OctoberText>Octubre</OctoberText>
        <NovemberText>Noviembre</NovemberText>
        <DecemberText>Diciembre</DecemberText>
        <ScenarioTitle>Escenarios</ScenarioTitle>
        <StressTitle>Tensión</StressTitle>
        <UnfavorableTitle>Desfavorable</UnfavorableTitle>
        <ModerateTitle>Moderado</ModerateTitle>
        <FavorableTitle>Favorable</FavorableTitle>
        <AmountDesc>Lo que podría recibir tras deducir los costes</AmountDesc>
        <PercentageDesc>Rendimiento medio cada año</PercentageDesc>
        <Exit0.25Year>En caso de salida después de 3 meses</Exit0.25Year>
        <CUST_PERF_MIN_TTL>Minimum</CUST_PERF_MIN_TTL>
        <CUST_PERF_MIN_TXT>No hay un rendimiento mínimo garantizado. Podría perder parte o la totalidad de su inversión.</CUST_PERF_MIN_TXT>
        <Exit1Year>En caso de salida después de 1 año</Exit1Year>
        <Exit2Year>En caso de salida después de 2 años</Exit2Year>
        <Exit3Year>En caso de salida después de 3 años</Exit3Year>
        <Exit4Year>En caso de salida después de 4 años</Exit4Year>
        <Exit5Year>En caso de salida después de 5 años</Exit5Year>
        <Exit6Year>En caso de salida después de 6 años</Exit6Year>
        <Exit7Year>En caso de salida después de 7 años</Exit7Year>
        <Exit8Year>En caso de salida después de 8 años</Exit8Year>
        <Exit9Year>En caso de salida después de 9 años</Exit9Year>
        <Exit10Year>En caso de salida después de 10 años</Exit10Year>
      </PerformanceScenarioNarrative>
    </GenericNarrative>
    <GenericNarrative lang="fi">
      <Legend>
        <Fund>Rahasto</Fund>
        <Index>Indeksi</Index>
        <Simulated>Simulated</Simulated>
      </Legend>
      <PastPerformanceNarrative>
        <Header>Aiempi tuotto tai arvonkehitys</Header>
        <BodyText1>&lt;b&gt;Jos aiempi tuotto- ja arvonkehitys on esitetty, siinä huomioidaan juoksevat kulut lukuun ottamatta mahdollisesti soveltuvia merkintä- ja lunastuspalkkioita.&lt;/b&gt;</BodyText1>
        <BodyText2>&lt;b&gt;Aiempien tuottojen perusteella ei voida muodostaa luotettavia oletuksia tulevasta tuotto- tai arvonkehityksestä. Markkinat voivat kehittyä hyvin eri tavoin tulevaisuudessa. Sen avulla voidaan arvioida, miten rahastoa on hoidettu aiemmin.&lt;/b&gt;</BodyText2>
        <CustBodyText1>
        </CustBodyText1>
      </PastPerformanceNarrative>
      <PerformanceScenarioNarrative>
        <Header>Tuottonäkymät tuottonäkymien</Header>
        <DropDownYear>vuosi</DropDownYear>
        <DropDownMonth>Kuukausi</DropDownMonth>
        <JanuaryText>Tammikuu</JanuaryText>
        <FebruaryText>Helmikuu</FebruaryText>
        <MarchText>Maaliskuu</MarchText>
        <AprilText>Huhtikuu</AprilText>
        <MayText>Toukokuu</MayText>
        <JuneText>Kesäkuu</JuneText>
        <JulyText>Heinäkuu</JulyText>
        <AugustText>Elokuu</AugustText>
        <SeptemberText>Syyskuu</SeptemberText>
        <OctoberText>Lokakuu</OctoberText>
        <NovemberText>Marraskuu</NovemberText>
        <DecemberText>Joulukuu</DecemberText>
        <ScenarioTitle>Näkymät</ScenarioTitle>
        <StressTitle>Stressinäkymä</StressTitle>
        <UnfavorableTitle>Epäsuotuisa näkymä</UnfavorableTitle>
        <ModerateTitle>Kohtuullinen näkymä</ModerateTitle>
        <FavorableTitle>Suotuisa näkymä</FavorableTitle>
        <AmountDesc>Mahdollinen tuotto sijoittajalle kulujen jälkeen</AmountDesc>
        <PercentageDesc>Kesimääräinen tuotto vuosittain</PercentageDesc>
        <Exit0.25Year>Jos sijoittaja irtautuu 3 kuukaudet</Exit0.25Year>
        <CUST_PERF_MIN_TTL>Minimum</CUST_PERF_MIN_TTL>
        <CUST_PERF_MIN_TXT>Vähimmäistuottoa ei ole taattu. Sijoittaja voi menettää sijoituksensa kokonaan tai osittain.</CUST_PERF_MIN_TXT>
        <Exit1Year>Jos sijoittaja irtautuu 1 vuotta</Exit1Year>
        <Exit2Year>Jos sijoittaja irtautuu 2 vuotta</Exit2Year>
        <Exit3Year>Jos sijoittaja irtautuu 3 vuotta</Exit3Year>
        <Exit4Year>Jos sijoittaja irtautuu 4 vuotta</Exit4Year>
        <Exit5Year>Jos sijoittaja irtautuu 5 vuotta</Exit5Year>
        <Exit6Year>Jos sijoittaja irtautuu 6 vuotta</Exit6Year>
        <Exit7Year>Jos sijoittaja irtautuu 7 vuotta</Exit7Year>
        <Exit8Year>Jos sijoittaja irtautuu 8 vuotta</Exit8Year>
        <Exit9Year>Jos sijoittaja irtautuu 9 vuotta</Exit9Year>
        <Exit10Year>Jos sijoittaja irtautuu 10 vuotta</Exit10Year>
      </PerformanceScenarioNarrative>
    </GenericNarrative>
    <GenericNarrative lang="fr">
      <Legend>
        <Fund>Fonds</Fund>
        <Index>Indice</Index>
        <Simulated>Simulated</Simulated>
      </Legend>
      <PastPerformanceNarrative>
        <Header>Performances passées</Header>
        <BodyText1>&lt;b&gt;La performance est affichée après déduction des frais courants. Les frais d’entrée ou de sortie sont exclus du calcul.&lt;/b&gt;</BodyText1>
        <BodyText2>&lt;b&gt;Les performances passées ne constituent pas un indicateur fiable des performances futures. Les marchés pourraient évoluer très différemment à l’avenir. Elles peuvent toutefois vous aider à évaluer comment le fonds a été géré dans le passé.&lt;/b&gt;</BodyText2>
        <CustBodyText1>
        </CustBodyText1>
      </PastPerformanceNarrative>
      <PerformanceScenarioNarrative>
        <Header>Scénarios de performance</Header>
        <DropDownYear>Année</DropDownYear>
        <DropDownMonth>Mois</DropDownMonth>
        <JanuaryText>Janvier</JanuaryText>
        <FebruaryText>Février</FebruaryText>
        <MarchText>Mars</MarchText>
        <AprilText>Avril</AprilText>
        <MayText>Mai</MayText>
        <JuneText>Juin</JuneText>
        <JulyText>Juillet</JulyText>
        <AugustText>Août</AugustText>
        <SeptemberText>Septembre</SeptemberText>
        <OctoberText>Octobre</OctoberText>
        <NovemberText>Novembre</NovemberText>
        <DecemberText>Décembre</DecemberText>
        <ScenarioTitle>Scénarios</ScenarioTitle>
        <StressTitle>Tensions</StressTitle>
        <UnfavorableTitle>Défavorable</UnfavorableTitle>
        <ModerateTitle>Intermédiaire</ModerateTitle>
        <FavorableTitle>Favorable</FavorableTitle>
        <AmountDesc>Ce que vous pourriez obtenir après déduction des coûts</AmountDesc>
        <PercentageDesc>Rendement annuel moyen</PercentageDesc>
        <Exit0.25Year>Si vous sortez après 3 mois</Exit0.25Year>
        <CUST_PERF_MIN_TTL>Minimum</CUST_PERF_MIN_TTL>
        <CUST_PERF_MIN_TXT>Il n’existe aucun rendement minimal garanti. Vous pourriez perdre tout ou une partie de votre investissement.</CUST_PERF_MIN_TXT>
        <Exit1Year>Si vous sortez après 1 an</Exit1Year>
        <Exit2Year>Si vous sortez après 2 années</Exit2Year>
        <Exit3Year>Si vous sortez après 3 années</Exit3Year>
        <Exit4Year>Si vous sortez après 4 années</Exit4Year>
        <Exit5Year>Si vous sortez après 5 années</Exit5Year>
        <Exit6Year>Si vous sortez après 6 années</Exit6Year>
        <Exit7Year>Si vous sortez après 7 années</Exit7Year>
        <Exit8Year>Si vous sortez après 8 années</Exit8Year>
        <Exit9Year>Si vous sortez après 9 années</Exit9Year>
        <Exit10Year>Si vous sortez après 10 années</Exit10Year>
      </PerformanceScenarioNarrative>
    </GenericNarrative>
    <GenericNarrative lang="fr-be">
      <Legend>
        <Fund>Fonds</Fund>
        <Index>Indice</Index>
        <Simulated>Simulated</Simulated>
      </Legend>
      <PastPerformanceNarrative>
        <Header>Performances passées</Header>
        <BodyText1>&lt;b&gt;Les performances sont indiquées après déduction des frais courants. Tous les frais d'entrée et de sortie sont exclus du calcul. &lt;/b&gt;</BodyText1>
        <BodyText2>&lt;b&gt;Les performances passées ne constituent pas une indication des performances futures. Les marchés pourraient évoluer très différemment à l'avenir. Il peut vous aider à évaluer comment le fonds a été géré dans le passé et à le comparer à son indice de référence. &lt;/b&gt;</BodyText2>
        <CustBodyText1>
        </CustBodyText1>
      </PastPerformanceNarrative>
      <PerformanceScenarioNarrative>
        <Header>Scénarios de performance</Header>
        <DropDownYear>Année</DropDownYear>
        <DropDownMonth>Mois</DropDownMonth>
        <JanuaryText>Janvier</JanuaryText>
        <FebruaryText>Février</FebruaryText>
        <MarchText>Mars</MarchText>
        <AprilText>Avril</AprilText>
        <MayText>Mai</MayText>
        <JuneText>Juin</JuneText>
        <JulyText>Juillet</JulyText>
        <AugustText>Août</AugustText>
        <SeptemberText>Septembre</SeptemberText>
        <OctoberText>Octobre</OctoberText>
        <NovemberText>Novembre</NovemberText>
        <DecemberText>Décembre</DecemberText>
        <ScenarioTitle>Scénarios</ScenarioTitle>
        <StressTitle>Tensions</StressTitle>
        <UnfavorableTitle>Défavorable</UnfavorableTitle>
        <ModerateTitle>Intermédiaire</ModerateTitle>
        <FavorableTitle>Favorable</FavorableTitle>
        <AmountDesc>Ce que vous pourriez obtenir après déduction des coûts</AmountDesc>
        <PercentageDesc>Rendement annuel moyen</PercentageDesc>
        <Exit0.25Year>Si vous sortez après 3 mois</Exit0.25Year>
        <CUST_PERF_MIN_TTL>Minimum</CUST_PERF_MIN_TTL>
        <Exit1Year>Si vous sortez après 1 an</Exit1Year>
        <Exit2Year>Si vous sortez après 2 an</Exit2Year>
        <Exit3Year>Si vous sortez après 3 an</Exit3Year>
        <Exit4Year>Si vous sortez après 4 an</Exit4Year>
        <Exit5Year>Si vous sortez après 5 ans</Exit5Year>
        <Exit6Year>Si vous sortez après 6 ans</Exit6Year>
        <Exit7Year>Si vous sortez après 7 ans</Exit7Year>
        <Exit8Year>Si vous sortez après 8 ans</Exit8Year>
        <Exit9Year>Si vous sortez après 9 ans</Exit9Year>
        <Exit10Year>Si vous sortez après 10 ans</Exit10Year>
      </PerformanceScenarioNarrative>
    </GenericNarrative>
    <GenericNarrative lang="hr">
      <Legend>
        <Fund>Fonda</Fund>
        <Index>Indeks</Index>
        <Simulated>Simulated</Simulated>
      </Legend>
      <PastPerformanceNarrative>
        <Header>Povijesni prinosi</Header>
        <BodyText1>&lt;b&gt;Prikazana je uspješnost nakon odbitka kontinuiranih troškova. Svi ulazni i izlazni troškovi isključeni su iz izračuna. &lt;/b&gt;</BodyText1>
        <BodyText2>&lt;b&gt;Povijesni prinosi nisu pouzdani pokazatelj budućih prinosa. Buduća kretanja na tržištu mogla bi se znatno razlikovati od toga. Prikaz vam može pomoći procijeniti kako se fondom upravljalo u prošlosti. &lt;/b&gt;</BodyText2>
        <CustBodyText1>
        </CustBodyText1>
      </PastPerformanceNarrative>
      <PerformanceScenarioNarrative>
        <Header>Scenariji Uspješnosti</Header>
        <DropDownYear>Godina</DropDownYear>
        <DropDownMonth>Mjesec</DropDownMonth>
        <JanuaryText>Siječanj</JanuaryText>
        <FebruaryText>Veljača</FebruaryText>
        <MarchText>Ožujak</MarchText>
        <AprilText>Travanj</AprilText>
        <MayText>Svibanj</MayText>
        <JuneText>Lipanj</JuneText>
        <JulyText>Srpanj</JulyText>
        <AugustText>Kolovoz</AugustText>
        <SeptemberText>Rujan</SeptemberText>
        <OctoberText>Listopad</OctoberText>
        <NovemberText>Studeni</NovemberText>
        <DecemberText>Prosinac</DecemberText>
        <ScenarioTitle>Scenariji</ScenarioTitle>
        <StressTitle>U uvjetima stresa</StressTitle>
        <UnfavorableTitle>Nepovoljni</UnfavorableTitle>
        <ModerateTitle>Umjereni </ModerateTitle>
        <FavorableTitle>Povoljni</FavorableTitle>
        <AmountDesc>Iznos koji biste mogli dobiti nakon odbitka troškova</AmountDesc>
        <PercentageDesc>Prosječni godišnji prinos</PercentageDesc>
        <Exit0.25Year>U slučaju izlaska nakon 3 mjeseci</Exit0.25Year>
        <CUST_PERF_MIN_TTL>Minimum</CUST_PERF_MIN_TTL>
        <CUST_PERF_MIN_TXT>Nije zajamčen minimalni prinos.  Mogli biste izgubiti dio ulaganja ili cjelokupno ulaganje</CUST_PERF_MIN_TXT>
        <Exit1Year>U slučaju izlaska nakon 1 godina</Exit1Year>
        <Exit2Year>U slučaju izlaska nakon 2 godina</Exit2Year>
        <Exit3Year>U slučaju izlaska nakon 3 godina</Exit3Year>
        <Exit4Year>U slučaju izlaska nakon 4 godina</Exit4Year>
        <Exit5Year>U slučaju izlaska nakon 5 godina</Exit5Year>
        <Exit6Year>U slučaju izlaska nakon 6 godina</Exit6Year>
        <Exit7Year>U slučaju izlaska nakon 7 godina</Exit7Year>
        <Exit8Year>U slučaju izlaska nakon 8 godina</Exit8Year>
        <Exit9Year>U slučaju izlaska nakon 9 godina</Exit9Year>
        <Exit10Year>U slučaju izlaska nakon 10 godina</Exit10Year>
      </PerformanceScenarioNarrative>
    </GenericNarrative>
    <GenericNarrative lang="hu">
      <Legend>
        <Fund>Alap</Fund>
        <Index>Index</Index>
        <Simulated>Simulated</Simulated>
      </Legend>
      <PastPerformanceNarrative>
        <Header>Múltbeli teljesítmény</Header>
        <BodyText1>&lt;b&gt;A teljesítményt a folyó költségek levonása után jelenítik meg. A számítás nem veszi figyelembe a belépési és kilépési költségeket. &lt;/b&gt;</BodyText1>
        <BodyText2>&lt;b&gt;A múltbeli teljesítmény nem megbízható mutatója a jövőbeli teljesítménynek. A piacok a jövőben nagyon eltérő módon alakulhatnak. Segíthet Önnek annak értékelésében, hogy a múltban hogyan kezelték az alapot. &lt;/b&gt;</BodyText2>
        <CustBodyText1>
        </CustBodyText1>
      </PastPerformanceNarrative>
      <PerformanceScenarioNarrative>
        <Header>Teljesítmény-Forgatókönyvek</Header>
        <DropDownYear>év </DropDownYear>
        <DropDownMonth>hónap</DropDownMonth>
        <JanuaryText>Január</JanuaryText>
        <FebruaryText>Február</FebruaryText>
        <MarchText>Március</MarchText>
        <AprilText>Április</AprilText>
        <MayText>Május</MayText>
        <JuneText>Június</JuneText>
        <JulyText>Július</JulyText>
        <AugustText>Augusztus</AugustText>
        <SeptemberText>Szeptember</SeptemberText>
        <OctoberText>Október</OctoberText>
        <NovemberText>November</NovemberText>
        <DecemberText>December</DecemberText>
        <ScenarioTitle>forgatókönyvek</ScenarioTitle>
        <StressTitle>Stressz forgatókönyv</StressTitle>
        <UnfavorableTitle>Kedvezőtlen forgatókönyv</UnfavorableTitle>
        <ModerateTitle>Mérsékelt forgatókönyv</ModerateTitle>
        <FavorableTitle>Kedvező forgatókönyv</FavorableTitle>
        <AmountDesc>Ezt az összeget kaphatja vissza a költségek levonása után</AmountDesc>
        <PercentageDesc>Éves átlagos hozam</PercentageDesc>
        <Exit0.25Year>Ha Ön 3 Hónap után kilép</Exit0.25Year>
        <CUST_PERF_MIN_TTL>Minimum</CUST_PERF_MIN_TTL>
        <CUST_PERF_MIN_TXT>Nincs minimális garantált hozam. Ön elveszítheti befektetésének egy részét vagy annak egészét.</CUST_PERF_MIN_TXT>
        <Exit1Year>Ha Ön 1 év után kilép</Exit1Year>
        <Exit2Year>Ha Ön 2 Év után kilépe</Exit2Year>
        <Exit3Year>Ha Ön 3 Év után kilépe</Exit3Year>
        <Exit4Year>Ha Ön 4 Év után kilépe</Exit4Year>
        <Exit5Year>Ha 5 Év után kilép</Exit5Year>
        <Exit6Year>Ha 6 Év után kilép</Exit6Year>
        <Exit7Year>Ha 7 Év után kilép</Exit7Year>
        <Exit8Year>Ha 8 Év után kilép</Exit8Year>
        <Exit9Year>Ha 9 Év után kilép</Exit9Year>
        <Exit10Year>Ha 10 Év után kilép</Exit10Year>
      </PerformanceScenarioNarrative>
    </GenericNarrative>
    <GenericNarrative lang="is">
      <Legend>
        <Fund>sjóður</Fund>
        <Index>vísitala</Index>
        <Simulated>Simulated</Simulated>
      </Legend>
      <PastPerformanceNarrative>
        <Header>Fyrri ávöxtun</Header>
        <BodyText1>&lt;b&gt;Í upplýsingum um fyrri ávöxtun, sé um hana að ræða, er tekið mið af reglulegum gjöldum utan upphafs-/útgöngugjalda.&lt;/b&gt;</BodyText1>
        <BodyText2>&lt;b&gt;Fyrri árangur er ekki áreiðanleg vísbending um framtíðarárangur. Markaðir gætu þróast mjög mismunandi í framtíðinni. Það getur hjálpað þér að meta hvernig sjóðnum hefur verið stjórnað áður og bera það saman við viðmið hans.&lt;/b&gt;</BodyText2>
        <CustBodyText1>
        </CustBodyText1>
      </PastPerformanceNarrative>
      <PerformanceScenarioNarrative>
        <Header>Afkomusviðsmyndir</Header>
        <DropDownYear>ár</DropDownYear>
        <DropDownMonth>Mánuður</DropDownMonth>
        <JanuaryText>Janúar</JanuaryText>
        <FebruaryText>Febrúar</FebruaryText>
        <MarchText>Mars</MarchText>
        <AprilText>Apríl</AprilText>
        <MayText>Maí</MayText>
        <JuneText>Júní</JuneText>
        <JulyText>Júlí</JulyText>
        <AugustText>Ágúst</AugustText>
        <SeptemberText>September</SeptemberText>
        <OctoberText>Október</OctoberText>
        <NovemberText>Nóvember</NovemberText>
        <DecemberText>Desember</DecemberText>
        <ScenarioTitle>Sviðsmyndir</ScenarioTitle>
        <StressTitle>Álag</StressTitle>
        <UnfavorableTitle>Óhagstætt</UnfavorableTitle>
        <ModerateTitle>Miðlungs</ModerateTitle>
        <FavorableTitle>Hagstætt</FavorableTitle>
        <AmountDesc>Það sem þú gætir fengið eftir frádrátt kostnaðar</AmountDesc>
        <PercentageDesc>Meðalarðsemi á hverju ári</PercentageDesc>
        <Exit0.25Year>Ef úttekt fer fram eftir 3 mánuðir</Exit0.25Year>
        <CUST_PERF_MIN_TTL>Minimum</CUST_PERF_MIN_TTL>
        <Exit1Year>Ef úttekt fer fram eftir 1 ár</Exit1Year>
        <Exit2Year>Ef úttekt fer fram eftir 2 ár</Exit2Year>
        <Exit3Year>Ef úttekt fer fram eftir 3 ár</Exit3Year>
        <Exit4Year>Ef úttekt fer fram eftir 4 ár</Exit4Year>
        <Exit5Year>Ef úttekt fer fram eftir 5 ár</Exit5Year>
        <Exit6Year>Ef úttekt fer fram eftir 6 ár</Exit6Year>
        <Exit7Year>Ef úttekt fer fram eftir 7 ár</Exit7Year>
        <Exit8Year>Ef úttekt fer fram eftir 8 ár</Exit8Year>
        <Exit9Year>Ef úttekt fer fram eftir 9 ár</Exit9Year>
        <Exit10Year>Ef úttekt fer fram eftir 10 ár</Exit10Year>
      </PerformanceScenarioNarrative>
    </GenericNarrative>
    <GenericNarrative lang="it">
      <Legend>
        <Fund>Fondo</Fund>
        <Index>Indice</Index>
        <Simulated>Simulated</Simulated>
      </Legend>
      <PastPerformanceNarrative>
        <Header>Performance Passata</Header>
        <BodyText1>&lt;b&gt;Le performance sono indicate al netto delle spese correnti. Le commissioni di ingresso e di uscita sono escluse dal calcolo. &lt;/b&gt;</BodyText1>
        <BodyText2>&lt;b&gt;La performance passata non è un indicatore affidabile della performance futura. Nel futuro i mercati potrebbero avere un andamento molto diverso. I risultati ottenuti nel passato possono aiutare a valutare il modo in cui il fondo è stato precedentemente gestito. &lt;/b&gt;</BodyText2>
        <CustBodyText1>
        </CustBodyText1>
      </PastPerformanceNarrative>
      <PerformanceScenarioNarrative>
        <Header>Scenari di performance</Header>
        <DropDownYear>Anno</DropDownYear>
        <DropDownMonth>Mese</DropDownMonth>
        <JanuaryText>Gennaio</JanuaryText>
        <FebruaryText>Febbraio</FebruaryText>
        <MarchText>Marzo</MarchText>
        <AprilText>Aprile</AprilText>
        <MayText>Maggio</MayText>
        <JuneText>Giugno</JuneText>
        <JulyText>Luglio</JulyText>
        <AugustText>Agosto</AugustText>
        <SeptemberText>Settembre</SeptemberText>
        <OctoberText>Ottobre</OctoberText>
        <NovemberText>Novembre</NovemberText>
        <DecemberText>Dicembre</DecemberText>
        <ScenarioTitle>Scenari</ScenarioTitle>
        <StressTitle>Stress</StressTitle>
        <UnfavorableTitle>Sfavorevole</UnfavorableTitle>
        <ModerateTitle>Moderato</ModerateTitle>
        <FavorableTitle>Favorevole</FavorableTitle>
        <AmountDesc>Possibile rimborso al netto dei costi</AmountDesc>
        <PercentageDesc>Rendimento medio per ciascun anno</PercentageDesc>
        <Exit0.25Year>In caso di uscita dopo 3 mesi</Exit0.25Year>
        <CUST_PERF_MIN_TTL>Minimo</CUST_PERF_MIN_TTL>
        <CUST_PERF_MIN_TXT>Non esiste un rendimento minimo garantito. Potreste perdere il vostro intero investimento o parte di esso.</CUST_PERF_MIN_TXT>
        <Exit1Year>In caso di uscita dopo 1 anno</Exit1Year>
        <Exit2Year>In caso di uscita dopo 2 anni</Exit2Year>
        <Exit3Year>In caso di uscita dopo 3 anni</Exit3Year>
        <Exit4Year>In caso di uscita dopo 4 anni</Exit4Year>
        <Exit5Year>In caso di uscita dopo 5 anni</Exit5Year>
        <Exit6Year>In caso di uscita dopo 6 anni</Exit6Year>
        <Exit7Year>In caso di uscita dopo 7 anni</Exit7Year>
        <Exit8Year>In caso di uscita dopo 8 anni</Exit8Year>
        <Exit9Year>In caso di uscita dopo 9 anni</Exit9Year>
        <Exit10Year>In caso di uscita dopo 10 anni</Exit10Year>
      </PerformanceScenarioNarrative>
    </GenericNarrative>
    <GenericNarrative lang="nl">
      <Legend>
        <Fund>Fonds</Fund>
        <Index>Index</Index>
        <Simulated>Simulated</Simulated>
      </Legend>
      <PastPerformanceNarrative>
        <Header>Prestaties in het verleden</Header>
        <BodyText1>&lt;b&gt;De prestaties worden weergegeven na aftrek van lopende kosten. Eventuele instap- en uitstapkosten worden bij de berekening buiten beschouwing gelaten. &lt;/b&gt;</BodyText1>
        <BodyText2>&lt;b&gt;Prestaties in het verleden zijn geen betrouwbare indicator voor toekomstige prestaties. De markten kunnen zich in de toekomst heel anders ontwikkelen. Het kan u helpen om te beoordelen hoe het fonds in het verleden is beheerd. &lt;/b&gt;</BodyText2>
        <CustBodyText1>
        </CustBodyText1>
      </PastPerformanceNarrative>
      <PerformanceScenarioNarrative>
        <Header>Prestatiescenario’s</Header>
        <DropDownYear>Jaar</DropDownYear>
        <DropDownMonth>Maand</DropDownMonth>
        <JanuaryText>Januari</JanuaryText>
        <FebruaryText>Februari</FebruaryText>
        <MarchText>Maart</MarchText>
        <AprilText>April</AprilText>
        <MayText>Mei</MayText>
        <JuneText>Juni</JuneText>
        <JulyText>Juli</JulyText>
        <AugustText>Augustus</AugustText>
        <SeptemberText>September</SeptemberText>
        <OctoberText>Oktober</OctoberText>
        <NovemberText>November</NovemberText>
        <DecemberText>December</DecemberText>
        <ScenarioTitle>Scenario’s</ScenarioTitle>
        <StressTitle>Stress</StressTitle>
        <UnfavorableTitle>Ongunstig</UnfavorableTitle>
        <ModerateTitle>Gematigd</ModerateTitle>
        <FavorableTitle>Gunstig</FavorableTitle>
        <AmountDesc>Wat u kunt terugkrijgen na kosten</AmountDesc>
        <PercentageDesc>Gemiddeld rendement per jaar</PercentageDesc>
        <Exit0.25Year>Als u uitstapt na 3 maanden</Exit0.25Year>
        <CUST_PERF_MIN_TTL>Minimum</CUST_PERF_MIN_TTL>
        <CUST_PERF_MIN_TXT>Er is geen minimaal gegarandeerd rendement. U kunt uw belegging geheel of gedeeltelijk verliezen.</CUST_PERF_MIN_TXT>
        <Exit1Year>Als u uitstapt na 1 jaar</Exit1Year>
        <Exit2Year>Als u uitstapt na 2 jaren</Exit2Year>
        <Exit3Year>Als u uitstapt na 3 jaren</Exit3Year>
        <Exit4Year>Als u uitstapt na 4 jaren</Exit4Year>
        <Exit5Year>Als u uitstapt na 5 jaren</Exit5Year>
        <Exit6Year>Als u uitstapt na 6 jaren</Exit6Year>
        <Exit7Year>Als u uitstapt na 7 jaren</Exit7Year>
        <Exit8Year>Als u uitstapt na 8 jaren</Exit8Year>
        <Exit9Year>Als u uitstapt na 9 jaren</Exit9Year>
        <Exit10Year>Als u uitstapt na 10 jaren</Exit10Year>
      </PerformanceScenarioNarrative>
    </GenericNarrative>
    <GenericNarrative lang="nl-be">
      <Legend>
        <Fund>Fonds</Fund>
        <Index>Index</Index>
        <Simulated>Simulated</Simulated>
      </Legend>
      <PastPerformanceNarrative>
        <Header>Prestaties in het verleden</Header>
        <BodyText1>&lt;b&gt;De prestaties worden weergegeven na aftrek van lopende kosten. Eventuele instap- en uitstapkosten worden bij de berekening buiten beschouwing gelaten. &lt;/b&gt;</BodyText1>
        <BodyText2>&lt;b&gt;Prestaties in het verleden zijn geen betrouwbare indicator voor toekomstige prestaties. De markten kunnen zich in de toekomst heel anders ontwikkelen. Het kan u helpen om te beoordelen hoe het fonds in het verleden is beheerd. &lt;/b&gt;</BodyText2>
        <CustBodyText1>
        </CustBodyText1>
      </PastPerformanceNarrative>
      <PerformanceScenarioNarrative>
        <Header>Prestatiescenario’s</Header>
        <DropDownYear>Jaar</DropDownYear>
        <DropDownMonth>Maand</DropDownMonth>
        <JanuaryText>Januari</JanuaryText>
        <FebruaryText>Februari</FebruaryText>
        <MarchText>Maart</MarchText>
        <AprilText>April</AprilText>
        <MayText>Mei</MayText>
        <JuneText>Juni</JuneText>
        <JulyText>Juli</JulyText>
        <AugustText>Augustus</AugustText>
        <SeptemberText>September</SeptemberText>
        <OctoberText>October</OctoberText>
        <NovemberText>November</NovemberText>
        <DecemberText>December</DecemberText>
        <ScenarioTitle>Scenario’s</ScenarioTitle>
        <StressTitle>Stress</StressTitle>
        <UnfavorableTitle>Ongunstig</UnfavorableTitle>
        <ModerateTitle>Gematigd</ModerateTitle>
        <FavorableTitle>Gunstig</FavorableTitle>
        <AmountDesc>Wat u kunt terugkrijgen na kosten</AmountDesc>
        <PercentageDesc>Gemiddeld rendement per jaar</PercentageDesc>
        <Exit0.25Year>Als u uitstapt na 3 maand</Exit0.25Year>
        <CUST_PERF_MIN_TTL>Minimum</CUST_PERF_MIN_TTL>
        <Exit1Year>Als u uitstapt na 1 jaar</Exit1Year>
        <Exit2Year>Als u uitstapt na 2 jaar</Exit2Year>
        <Exit3Year>Als u uitstapt na 3 jaar</Exit3Year>
        <Exit4Year>Als u uitstapt na 4 jaar</Exit4Year>
        <Exit5Year>Als u uitstapt na 5 jaar</Exit5Year>
        <Exit6Year>Als u uitstapt na 6 jaar</Exit6Year>
        <Exit7Year>Als u uitstapt na 7 jaar</Exit7Year>
        <Exit8Year>Als u uitstapt na 8 jaar</Exit8Year>
        <Exit9Year>Als u uitstapt na 9 jaar</Exit9Year>
        <Exit10Year>Als u uitstapt na 10 jaar</Exit10Year>
      </PerformanceScenarioNarrative>
    </GenericNarrative>
    <GenericNarrative lang="no">
      <Legend>
        <Fund>Fond</Fund>
        <Index>Indeks</Index>
        <Simulated>Simulated</Simulated>
      </Legend>
      <PastPerformanceNarrative>
        <Header>Tidligere resultat</Header>
        <BodyText1>&lt;b&gt;De eventuelle tidligere resultatene som vises, tar hensyn til pågående gebyrer med unntak av gjeldende inntaks-/uttaksgebyrer. &lt;/b&gt;</BodyText1>
        <BodyText2>&lt;b&gt;Tidligere resultater er ikke en pålitelig indikator på fremtidige resultater. Markedene kan utvikle seg veldig annerledes i fremtiden. Det kan hjelpe deg med å vurdere hvordan fondet har blitt forvaltet tidligere og sammenligne det med referanseindeksen.&lt;/b&gt;</BodyText2>
        <CustBodyText1>
        </CustBodyText1>
      </PastPerformanceNarrative>
      <PerformanceScenarioNarrative>
        <Header>Resultatscenarioer</Header>
        <DropDownYear>år</DropDownYear>
        <DropDownMonth>Måned</DropDownMonth>
        <JanuaryText>Januar</JanuaryText>
        <FebruaryText>Februar</FebruaryText>
        <MarchText>Mars</MarchText>
        <AprilText>April</AprilText>
        <MayText>Mai</MayText>
        <JuneText>Juni</JuneText>
        <JulyText>Juli</JulyText>
        <AugustText>August</AugustText>
        <SeptemberText>September</SeptemberText>
        <OctoberText>Oktober</OctoberText>
        <NovemberText>November</NovemberText>
        <DecemberText>Desember</DecemberText>
        <ScenarioTitle>Scenarioer</ScenarioTitle>
        <StressTitle>Stress</StressTitle>
        <UnfavorableTitle>Ugunstig</UnfavorableTitle>
        <ModerateTitle>Moderat</ModerateTitle>
        <FavorableTitle>Gunstig</FavorableTitle>
        <AmountDesc>Hva du kan få tilbake etter kostnader</AmountDesc>
        <PercentageDesc>Gjennomsnittlig avkastning hvert år</PercentageDesc>
        <Exit0.25Year>Hvis du avslutter etter 3 måneder</Exit0.25Year>
        <CUST_PERF_MIN_TTL>Minimum</CUST_PERF_MIN_TTL>
        <Exit1Year>Hvis du avslutter etter 1 år</Exit1Year>
        <Exit2Year>Hvis du avslutter etter 2 år</Exit2Year>
        <Exit3Year>Hvis du avslutter etter 3 år</Exit3Year>
        <Exit4Year>Hvis du avslutter etter 4 år</Exit4Year>
        <Exit5Year>Hvis du avslutter etter 5 år</Exit5Year>
        <Exit6Year>Hvis du avslutter etter 6 år</Exit6Year>
        <Exit7Year>Hvis du avslutter etter 7 år</Exit7Year>
        <Exit8Year>Hvis du avslutter etter 8 år</Exit8Year>
        <Exit9Year>Hvis du avslutter etter 9 år</Exit9Year>
        <Exit10Year>Hvis du avslutter etter 10 år</Exit10Year>
      </PerformanceScenarioNarrative>
    </GenericNarrative>
    <GenericNarrative lang="pl">
      <Legend>
        <Fund>Produkt</Fund>
        <Index>Indeks</Index>
        <Simulated>Symulowane wartości</Simulated>
      </Legend>
      <PastPerformanceNarrative>
        <Header>Wyniki osiągnięte w przeszłości</Header>
        <BodyText1>&lt;b&gt;Wyniki przedstawia się po odliczeniu opłat bieżących. Wszelkie opłaty za wejście i wyjście są wyłączone z obliczeń. &lt;/b&gt;</BodyText1>
        <BodyText2>&lt;b&gt;Wyniki osiągnięte w przeszłości nie są wiarygodnym wskaźnikiem przyszłych wyników. W przyszłości sytuacja na rynkach może kształtować się w zgoła odmienny sposób. Dotychczasowe wyniki mogą jednak pomóc ocenić, w jaki sposób produkt zarządzano w przeszłości. &lt;/b&gt;</BodyText2>
        <CustBodyText1>
        </CustBodyText1>
      </PastPerformanceNarrative>
      <PerformanceScenarioNarrative>
        <Header>Scenariusze Dotyczące Wyników</Header>
        <DropDownYear>Rok</DropDownYear>
        <DropDownMonth>Miesiąc</DropDownMonth>
        <JanuaryText>Styczeń</JanuaryText>
        <FebruaryText>Luty</FebruaryText>
        <MarchText>Marzec</MarchText>
        <AprilText>Kwiecień</AprilText>
        <MayText>Maj</MayText>
        <JuneText>Czerwiec</JuneText>
        <JulyText>Lipiec</JulyText>
        <AugustText>Sierpień</AugustText>
        <SeptemberText>Wrzesień</SeptemberText>
        <OctoberText>Październik</OctoberText>
        <NovemberText>Listopad</NovemberText>
        <DecemberText>Grudzień</DecemberText>
        <ScenarioTitle>Scenariusze</ScenarioTitle>
        <StressTitle>Warunki skrajne</StressTitle>
        <UnfavorableTitle>Niekorzystny</UnfavorableTitle>
        <ModerateTitle>Umiarkowany</ModerateTitle>
        <FavorableTitle>Korzystny</FavorableTitle>
        <AmountDesc>Końcowa wartość inwestycji po odliczeniu kosztów</AmountDesc>
        <PercentageDesc>Średnia roczna stopa zwrotu</PercentageDesc>
        <Exit0.25Year>Jeżeli oszczędzający wyjdzie z programu po 3 miesięcy</Exit0.25Year>
        <CUST_PERF_MIN_TTL>Minimum</CUST_PERF_MIN_TTL>
        <CUST_PERF_MIN_TXT>Nie ma minimalnego gwarantowanego zwrotu. Oszczędzający może stracić część lub całość swojej inwestycji.</CUST_PERF_MIN_TXT>
        <Exit1Year>Jeżeli oszczędzający wyjdzie z programu po roku</Exit1Year>
        <Exit2Year>Jeżeli oszczędzający wyjdzie z programu po 1 rok</Exit2Year>
        <Exit3Year>Jeżeli oszczędzający wyjdzie z programu po 3 lat</Exit3Year>
        <Exit4Year>Jeżeli oszczędzający wyjdzie z programu po 4 lat</Exit4Year>
        <Exit5Year>Jeśli oszczędzający odejdziez z program po 5 lat</Exit5Year>
        <Exit6Year>Jeśli oszczędzający odejdziez z program po 6 lat</Exit6Year>
        <Exit7Year>Jeśli oszczędzający odejdziez z program po 7 lat</Exit7Year>
        <Exit8Year>Jeśli oszczędzający odejdziez z program po 8 lat</Exit8Year>
        <Exit9Year>Jeśli oszczędzający odejdziez z program po 9 lat</Exit9Year>
        <Exit10Year>Jeśli oszczędzający odejdzie z program po 10 lat</Exit10Year>
      </PerformanceScenarioNarrative>
    </GenericNarrative>
    <GenericNarrative lang="pt">
      <Legend>
        <Fund>Fundo</Fund>
        <Index>Índice</Index>
        <Simulated>Simulated</Simulated>
      </Legend>
      <PastPerformanceNarrative>
        <Header>O desempenho passado</Header>
        <BodyText1>&lt;b&gt;O desempenho é apresentado após dedução dos custos recorrentes. Todos os encargos de entrada e saída estão excluídos do cálculo. &lt;/b&gt;</BodyText1>
        <BodyText2>&lt;b&gt;O desempenho passado não é indicativo do desempenho futuro. Os mercados poderão evoluir de forma muito diferente no futuro. Pode ajudá-lo a avaliar a forma como o fundo tem sido gerido no passado. &lt;/b&gt;</BodyText2>
        <CustBodyText1>
        </CustBodyText1>
      </PastPerformanceNarrative>
      <PerformanceScenarioNarrative>
        <Header>Cenários De Desempenho</Header>
        <DropDownYear>Ano</DropDownYear>
        <DropDownMonth>Mês</DropDownMonth>
        <JanuaryText>Janeiro</JanuaryText>
        <FebruaryText>Fevereiro</FebruaryText>
        <MarchText>Março</MarchText>
        <AprilText>Abril</AprilText>
        <MayText>Maio</MayText>
        <JuneText>Junho</JuneText>
        <JulyText>Julho</JulyText>
        <AugustText>Agosto</AugustText>
        <SeptemberText>Setembro</SeptemberText>
        <OctoberText>Outubro</OctoberText>
        <NovemberText>Novembro</NovemberText>
        <DecemberText>Dezembro</DecemberText>
        <ScenarioTitle>Cenários</ScenarioTitle>
        <StressTitle>Stress</StressTitle>
        <UnfavorableTitle>Desfavorável</UnfavorableTitle>
        <ModerateTitle>Moderado</ModerateTitle>
        <FavorableTitle>Favorável </FavorableTitle>
        <AmountDesc>Valor que poderá receber após dedução dos custos</AmountDesc>
        <PercentageDesc>Retorno médio anual</PercentageDesc>
        <Exit0.25Year>Se sair após 3 meses</Exit0.25Year>
        <CUST_PERF_MIN_TTL>Minimum</CUST_PERF_MIN_TTL>
        <CUST_PERF_MIN_TXT>Não existe retorno mínimo garantido. Pode perder parte ou a totalidade do seu investimento.</CUST_PERF_MIN_TXT>
        <Exit1Year>Se sair após 1 ano</Exit1Year>
        <Exit2Year>Se sair após 2 anos</Exit2Year>
        <Exit3Year>Se sair após 3 anos</Exit3Year>
        <Exit4Year>Se sair após 4 anos</Exit4Year>
        <Exit5Year>Se sair depois de 5 anos</Exit5Year>
        <Exit6Year>Se sair depois de 6 anos</Exit6Year>
        <Exit7Year>Se sair depois de 7 anos</Exit7Year>
        <Exit8Year>Se sair depois de 8 anos</Exit8Year>
        <Exit9Year>Se sair depois de 9 anos</Exit9Year>
        <Exit10Year>Se sair depois de 10 anos</Exit10Year>
      </PerformanceScenarioNarrative>
    </GenericNarrative>
    <GenericNarrative lang="ro">
      <Legend>
        <Fund>Fond</Fund>
        <Index>Indice</Index>
        <Simulated>Simulated</Simulated>
      </Legend>
      <PastPerformanceNarrative>
        <Header>Performanța anterioară</Header>
        <BodyText1>&lt;b&gt;Performanța este prezentată după deducerea cheltuielilor curente. Comisioanele de intrare și de ieșire sunt excluse din calcul. &lt;/b&gt;</BodyText1>
        <BodyText2>&lt;b&gt;Performanța anterioară nu este un indicator fiabil al performanței viitoare. Piețele ar putea evolua foarte diferit în viitor. Este util să evaluați modul în care fondul a fost administrat în trecut.&lt;/b&gt;</BodyText2>
        <CustBodyText1>
        </CustBodyText1>
      </PastPerformanceNarrative>
      <PerformanceScenarioNarrative>
        <Header>Scenarii De Performanță</Header>
        <DropDownYear>An</DropDownYear>
        <DropDownMonth>Lună</DropDownMonth>
        <JanuaryText>Ianuarie</JanuaryText>
        <FebruaryText>Februarie</FebruaryText>
        <MarchText>Martie</MarchText>
        <AprilText>Aprilie</AprilText>
        <MayText>Mai</MayText>
        <JuneText>Iunie</JuneText>
        <JulyText>Iulie</JulyText>
        <AugustText>August</AugustText>
        <SeptemberText>Septembrie</SeptemberText>
        <OctoberText>Octombrie</OctoberText>
        <NovemberText>Noiembrie</NovemberText>
        <DecemberText>Decembrie</DecemberText>
        <ScenarioTitle>Scenarii</ScenarioTitle>
        <StressTitle>Scenariul de criză</StressTitle>
        <UnfavorableTitle>Scenariul nefavorabil</UnfavorableTitle>
        <ModerateTitle>Scenariul moderat</ModerateTitle>
        <FavorableTitle>Scenariul favorabil</FavorableTitle>
        <AmountDesc>Ce ați putea obține după deducerea costurilor</AmountDesc>
        <PercentageDesc>Randamentul mediu în fiecare an</PercentageDesc>
        <Exit0.25Year>Dacă ieșiți după 3 luni</Exit0.25Year>
        <CUST_PERF_MIN_TTL>Minimum</CUST_PERF_MIN_TTL>
        <CUST_PERF_MIN_TXT>Nu există un randament minim garantat. Ați putea pierde toată investiția dumneavoastră sau o parte din aceasta.</CUST_PERF_MIN_TXT>
        <Exit1Year>Dacă ieșiți după 1 an</Exit1Year>
        <Exit2Year>Dacă ieșiți după 2 ani</Exit2Year>
        <Exit3Year>Dacă ieșiți după 3 ani</Exit3Year>
        <Exit4Year>Dacă ieșiți după 4 ani</Exit4Year>
        <Exit5Year>Dacă ieșiți afară după 5 ani</Exit5Year>
        <Exit6Year>Dacă ieșiți după 6 ani</Exit6Year>
        <Exit7Year>Dacă ieșiți după 7 ani</Exit7Year>
        <Exit8Year>Dacă ieșiți după 8 ani</Exit8Year>
        <Exit9Year>Dacă ieșiți după 9 ani</Exit9Year>
        <Exit10Year>Dacă ieșiți după 10 ani</Exit10Year>
      </PerformanceScenarioNarrative>
    </GenericNarrative>
    <GenericNarrative lang="sk">
      <Legend>
        <Fund>Produkt</Fund>
        <Index>Index</Index>
        <Simulated>Simulované hodnoty</Simulated>
      </Legend>
      <PastPerformanceNarrative>
        <Header>Minulá výkonnosť</Header>
        <BodyText1>&lt;b&gt;Výkonnosť sa uvádza po odpočítaní priebežných poplatkov. Prípadné vstupné a výstupné poplatky sa vo výpočte nezohľadňujú. &lt;/b&gt;</BodyText1>
        <BodyText2>&lt;b&gt;Minulá výkonnost nie je spolahlivým ukazovatelom budúcej výkonnosti. Vývoj na trhu môže byt v budúcnosti velmi odlišný. Podla tejto informácie môžete posúdit, ako bol produkt v minulosti spravovaný.&lt;/b&gt;</BodyText2>
        <CustBodyText1>
        </CustBodyText1>
      </PastPerformanceNarrative>
      <PerformanceScenarioNarrative>
        <Header>Scenáre Výkonnosti</Header>
        <DropDownYear>Rok</DropDownYear>
        <DropDownMonth>Mesiac</DropDownMonth>
        <JanuaryText>Január</JanuaryText>
        <FebruaryText>Február</FebruaryText>
        <MarchText>Marec</MarchText>
        <AprilText>Apríl</AprilText>
        <MayText>Máj</MayText>
        <JuneText>Jún</JuneText>
        <JulyText>Júl</JulyText>
        <AugustText>August</AugustText>
        <SeptemberText>September</SeptemberText>
        <OctoberText>Október</OctoberText>
        <NovemberText>November</NovemberText>
        <DecemberText>December</DecemberText>
        <ScenarioTitle>Scenáre</ScenarioTitle>
        <StressTitle>Stresový</StressTitle>
        <UnfavorableTitle>Nepriaznivý</UnfavorableTitle>
        <ModerateTitle>Neutrálny</ModerateTitle>
        <FavorableTitle>Priaznivý</FavorableTitle>
        <AmountDesc>Čo môžete dostať po odpočítaní nákladov </AmountDesc>
        <PercentageDesc>Priemerný ročný výnos</PercentageDesc>
        <Exit0.25Year>Ukončenie po 3 mesiacov</Exit0.25Year>
        <CUST_PERF_MIN_TTL>Minimum</CUST_PERF_MIN_TTL>
        <CUST_PERF_MIN_TXT>Nie je zaručený žiadny minimálny výnos. Môžete prísť o celú svoju investíciu alebo jej časť.</CUST_PERF_MIN_TXT>
        <Exit1Year>Ukončenie po 1 rok</Exit1Year>
        <Exit2Year>Ukončenie po 2 rokov</Exit2Year>
        <Exit3Year>Ukončenie po 3 rokov</Exit3Year>
        <Exit4Year>Ukončenie po 4 rokov</Exit4Year>
        <Exit5Year>Ukončenie po 5 rokov</Exit5Year>
        <Exit6Year>Ukončenie po 6 rokov</Exit6Year>
        <Exit7Year>Ukončenie po 7 rokov</Exit7Year>
        <Exit8Year>Ukončenie po 8 rokov</Exit8Year>
        <Exit9Year>Ukončenie po 9 rokov</Exit9Year>
        <Exit10Year>Ukončenie po 10 rokov</Exit10Year>
      </PerformanceScenarioNarrative>
    </GenericNarrative>
    <GenericNarrative lang="sv">
      <Legend>
        <Fund>Fond</Fund>
        <Index>Index</Index>
        <Simulated>Simulated</Simulated>
      </Legend>
      <PastPerformanceNarrative>
        <Header>Tidigare resultat</Header>
        <BodyText1>&lt;b&gt;Eventuella visade tidigare resultat tar hänsyn till årliga avgifter med undantag för eventuella tecknings- och inlösensavgifter.,&lt;/b&gt;</BodyText1>
        <BodyText2>&lt;b&gt;Tidigare resultat utgör inte någon tillförlitlig indikation på framtida resultat. Marknaderna kan utvecklas helt annorlunda i framtiden. De kan hjälpa dig att bedöma hur fonden har förvaltats tidigare.&lt;/b&gt;</BodyText2>
        <CustBodyText1>
        </CustBodyText1>
      </PastPerformanceNarrative>
      <PerformanceScenarioNarrative>
        <Header>Resultat-scenarier</Header>
        <DropDownYear>år</DropDownYear>
        <DropDownMonth>Månad</DropDownMonth>
        <JanuaryText>Januari</JanuaryText>
        <FebruaryText>Februari</FebruaryText>
        <MarchText>Mars</MarchText>
        <AprilText>April</AprilText>
        <MayText>Maj</MayText>
        <JuneText>Juni</JuneText>
        <JulyText>Juli</JulyText>
        <AugustText>Augusti</AugustText>
        <SeptemberText>September</SeptemberText>
        <OctoberText>Oktober</OctoberText>
        <NovemberText>November</NovemberText>
        <DecemberText>December</DecemberText>
        <ScenarioTitle>Scenarier</ScenarioTitle>
        <StressTitle>Stress</StressTitle>
        <UnfavorableTitle>Negativt</UnfavorableTitle>
        <ModerateTitle>Neutralt</ModerateTitle>
        <FavorableTitle>Positivt</FavorableTitle>
        <AmountDesc>Vad du kan få tillbaka efter avdrag för kostnader</AmountDesc>
        <PercentageDesc>Genomsnittlig avkastning per år</PercentageDesc>
        <Exit0.25Year>Om du löser in efter 3 måneder</Exit0.25Year>
        <CUST_PERF_MIN_TTL>Minimum</CUST_PERF_MIN_TTL>
        <CUST_PERF_MIN_TXT>Det finns ingen garanterad minsta avkastning. Du kan förlora hela eller delar av din investering.</CUST_PERF_MIN_TXT>
        <Exit1Year>Om du löser in efter 1 år</Exit1Year>
        <Exit2Year>Om du löser in efter 2 år</Exit2Year>
        <Exit3Year>Om du löser in efter 3 år</Exit3Year>
        <Exit4Year>Om du löser in efter 4 år</Exit4Year>
        <Exit5Year>Om du löser in efter 5 år</Exit5Year>
        <Exit6Year>Om du löser in efter 6 år</Exit6Year>
        <Exit7Year>Om du löser in efter 7 år</Exit7Year>
        <Exit8Year>Om du löser in efter 8 år</Exit8Year>
        <Exit9Year>Om du löser in efter 9 år</Exit9Year>
        <Exit10Year>Om du löser in efter 10 år</Exit10Year>
      </PerformanceScenarioNarrative>
    </GenericNarrative>
  </GenericNarratives>
  <ReportingDate>2023-11-30</ReportingDate>
  <FundRecordInfo>
    <FundStatic>
      <FundName>Fond vyvážený, otevřený podílový fond Generali Investments CEE, investiční společnost, a.s.</FundName>
      <FundCurrency>CZK</FundCurrency>
      <FundLaunchDate>2015-07-01</FundLaunchDate>
    </FundStatic>
    <ShareClassInfo>
      <ShareClassStatic>
        <ShareClassName>Fond vyvážený, otevřený podílový fond Generali Investments CEE, investiční společnost, a.s. CZK R</ShareClassName>
        <BenchmarkName>
        </BenchmarkName>
        <Benchmark2Name>
        </Benchmark2Name>
        <ShareClassID>CZ0008474806</ShareClassID>
        <ShareclassCurrency>CZK</ShareclassCurrency>
        <ShareClassISIN>CZ0008474806</ShareClassISIN>
        <RISK_RHP>3</RISK_RHP>
        <PF_BENCHMARK_ID>N</PF_BENCHMARK_ID>
      </ShareClassStatic>
      <PastPerformanceInfo>
        <PastPerformance>
          <Year>2016</Year>
          <ShareClassReturn>1.44%</ShareClassReturn>
          <BenchmarkReturn>
          </BenchmarkReturn>
          <Benchmar2kReturn>
          </Benchmar2kReturn>
          <SimulationFlag>Y</SimulationFlag>
        </PastPerformance>
        <PastPerformance>
          <Year>2017</Year>
          <ShareClassReturn>0.79%</ShareClassReturn>
          <BenchmarkReturn>
          </BenchmarkReturn>
          <Benchmar2kReturn>
          </Benchmar2kReturn>
          <SimulationFlag>Y</SimulationFlag>
        </PastPerformance>
        <PastPerformance>
          <Year>2018</Year>
          <ShareClassReturn>-1.58%</ShareClassReturn>
          <BenchmarkReturn>
          </BenchmarkReturn>
          <Benchmar2kReturn>
          </Benchmar2kReturn>
          <SimulationFlag>Y</SimulationFlag>
        </PastPerformance>
        <PastPerformance>
          <Year>2019</Year>
          <ShareClassReturn>3.55%</ShareClassReturn>
          <BenchmarkReturn>
          </BenchmarkReturn>
          <Benchmar2kReturn>
          </Benchmar2kReturn>
          <SimulationFlag>Y</SimulationFlag>
        </PastPerformance>
        <PastPerformance>
          <Year>2020</Year>
          <ShareClassReturn>1.51%</ShareClassReturn>
          <BenchmarkReturn>
          </BenchmarkReturn>
          <Benchmar2kReturn>
          </Benchmar2kReturn>
          <SimulationFlag>Y</SimulationFlag>
        </PastPerformance>
        <PastPerformance>
          <Year>2021</Year>
          <ShareClassReturn>-0.97%</ShareClassReturn>
          <BenchmarkReturn>
          </BenchmarkReturn>
          <Benchmar2kReturn>
          </Benchmar2kReturn>
          <SimulationFlag>Y</SimulationFlag>
        </PastPerformance>
        <PastPerformance>
          <Year>2022</Year>
          <ShareClassReturn>-0.25%</ShareClassReturn>
          <BenchmarkReturn>
          </BenchmarkReturn>
          <Benchmar2kReturn>
          </Benchmar2kReturn>
          <SimulationFlag>Y</SimulationFlag>
        </PastPerformance>
	<PastPerformance>
          <Year>2023</Year>
          <ShareClassReturn>8.25%</ShareClassReturn>
          <BenchmarkReturn>
          </BenchmarkReturn>
          <Benchmar2kReturn>
          </Benchmar2kReturn>
          <SimulationFlag>N</SimulationFlag>
        </PastPerformance>
	<PastPerformance>
          <Year>2024</Year>
          <ShareClassReturn>2.64%</ShareClassReturn>
          <BenchmarkReturn>
          </BenchmarkReturn>
          <Benchmar2kReturn>
          </Benchmar2kReturn>
          <SimulationFlag>N</SimulationFlag>
        </PastPerformance>
        <PastPerformance>
          <Year>2025</Year>
          <ShareClassReturn>2.39%</ShareClassReturn>
          <BenchmarkReturn>
          </BenchmarkReturn>
          <Benchmar2kReturn>
          </Benchmar2kReturn>
          <SimulationFlag>N</SimulationFlag>
        </PastPerformance>
        <Narratives>
          <Narrative lang="cz">
            <NarrativeChart>&lt;b&gt;Tento graf znázorňuje výkonnost produktu jako roční procentní ztrátu nebo zisk za posledních 9 let.&lt;/b&gt;</NarrativeChart>
            <NarrativeChart_Data_Y01>&lt;b&gt;Tento graf znázorňuje výkonnost produktu jako roční procentní ztrátu nebo zisk za posledních 9 let.&lt;/b&gt;</NarrativeChart_Data_Y01>
            <NarrativeChart_Data_Y02>&lt;b&gt;Tento graf znázorňuje výkonnost produktu jako roční procentní ztrátu nebo zisk za posledních 9 let.&lt;/b&gt;</NarrativeChart_Data_Y02>
            <NarrativeChart_Data_Y03>&lt;b&gt;Tento graf znázorňuje výkonnost produktu jako roční procentní ztrátu nebo zisk za poslední 3 roky.&lt;/b&gt;</NarrativeChart_Data_Y03>
            <NarrativeChart_Data_Y04>&lt;b&gt;Tento graf znázorňuje výkonnost produktu jako roční procentní ztrátu nebo zisk za poslední 4 roky.&lt;/b&gt;</NarrativeChart_Data_Y04>
            <NarrativeChart_Data_Y05>&lt;b&gt;Tento graf znázorňuje výkonnost produktu jako roční procentní ztrátu nebo zisk za posledních 5 let.&lt;/b&gt;</NarrativeChart_Data_Y05>
            <NarrativeChart_Data_Y06>&lt;b&gt;Tento graf znázorňuje výkonnost produktu jako roční procentní ztrátu nebo zisk za posledních 6 let.&lt;/b&gt;</NarrativeChart_Data_Y06>
            <NarrativeChart_Data_Y07>&lt;b&gt;Tento graf znázorňuje výkonnost produktu jako roční procentní ztrátu nebo zisk za posledních 7 let.&lt;/b&gt;</NarrativeChart_Data_Y07>
            <NarrativeChart_Data_Y08>&lt;b&gt;Tento graf znázorňuje výkonnost produktu jako roční procentní ztrátu nebo zisk za posledních 8 let.&lt;/b&gt;</NarrativeChart_Data_Y08>
            <NarrativeChart_Data_Y09>&lt;b&gt;Tento graf znázorňuje výkonnost produktu jako roční procentní ztrátu nebo zisk za posledních 9 let.&lt;/b&gt;</NarrativeChart_Data_Y09>
            <NarrativeChart_Data_Y10>&lt;b&gt;Tento graf znázorňuje výkonnost produktu jako roční procentní ztrátu nebo zisk za posledních 10 let.&lt;/b&gt;</NarrativeChart_Data_Y10>
            <LaunchDateText>Produkt byl spuštěn v roce 2015.</LaunchDateText>
            <CurrencyText>Dosavadní výkonnost byla vypočtena v CZK.</CurrencyText>
            <RecommendedHoldingPeriod>Doporučená doba držení: 3 roky</RecommendedHoldingPeriod>
            <ExampleInvestment>Příklad investice: 250 000 CZK</ExampleInvestment>
            <PERF_PER_1_TXT>Pokud investici ukončíte po uplynutí  1 roku</PERF_PER_1_TXT>
            <PERF_PER_2_TXT>Pokud investici ukončíte po uplynutí  2 let</PERF_PER_2_TXT>
            <PERF_PER_3_TXT>Pokud investici ukončíte po uplynutí  3 let (RHP)</PERF_PER_3_TXT>
            <NO_DATA_STC>&lt;b&gt;Dostatečné údaje, které by poskytly užitečný obraz o dosavadní výkonnosti, nejsou k dispozici.&lt;/b&gt;</NO_DATA_STC>
            <PAST_PERF_REPRESS_TXT>Během období zachyceného grafem s dosavadní výkonností došlo k podstatné změně cílů a investiční politiky produktu. Období před uvedenou změnou je v grafu vyznačeno šedou barvou. Dané výkonnosti bylo dosaženo za okolností, které již neplatí.</PAST_PERF_REPRESS_TXT>
          </Narrative>
          <Narrative lang="da">
            <NarrativeChart>&lt;b&gt;Dette diagram viser fondens resultater som det procentvise tab eller den procentvise gevinst pr. år i løbet af de seneste 7 år.&lt;/b&gt;</NarrativeChart>
            <NarrativeChart_Data_Y01>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last year.&lt;/b&gt;</NarrativeChart_Data_Y01>
            <NarrativeChart_Data_Y02>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 2 years.&lt;/b&gt;</NarrativeChart_Data_Y02>
            <NarrativeChart_Data_Y03>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 3 years.&lt;/b&gt;</NarrativeChart_Data_Y03>
            <NarrativeChart_Data_Y04>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 4 years.&lt;/b&gt;</NarrativeChart_Data_Y04>
            <NarrativeChart_Data_Y05>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 5 years.&lt;/b&gt;</NarrativeChart_Data_Y05>
            <NarrativeChart_Data_Y06>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 6 years.&lt;/b&gt;</NarrativeChart_Data_Y06>
            <NarrativeChart_Data_Y07>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 7 years.&lt;/b&gt;</NarrativeChart_Data_Y07>
            <NarrativeChart_Data_Y08>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 8 years.&lt;/b&gt;</NarrativeChart_Data_Y08>
            <NarrativeChart_Data_Y09>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 9 years.&lt;/b&gt;</NarrativeChart_Data_Y09>
            <NarrativeChart_Data_Y10>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 10 years.&lt;/b&gt;</NarrativeChart_Data_Y10>
            <LaunchDateText>Afdelingen blev lanceret den 2015. </LaunchDateText>
            <CurrencyText>Tidligere resultater er beregnet i &lt;&lt;CCY&gt;&gt;.</CurrencyText>
            <ExampleInvestment>Eksempel på investering 10 000 CZK</ExampleInvestment>
            <NO_DATA_STC>&lt;b&gt;Der foreligger ikke tilstrækkelige data til at give investor nyttige oplysninger om tidligere resultater.&lt;/b&gt;</NO_DATA_STC>
          </Narrative>
          <Narrative lang="de">
            <NarrativeChart>&lt;b&gt;Dieses Diagramm zeigt die Wertentwicklung des Fonds als prozentualen Verlust oder Gewinn pro Jahr über die letzten 7 Jahre.&lt;/b&gt;</NarrativeChart>
            <NarrativeChart_Data_Y01>&lt;b&gt;Dieses Diagramm zeigt die Wertentwicklung des Fonds als prozentualen Verlust oder Gewinn pro Jahr über die letzten Jahr.&lt;/b&gt;</NarrativeChart_Data_Y01>
            <NarrativeChart_Data_Y02>&lt;b&gt;Dieses Diagramm zeigt die Wertentwicklung des Fonds als prozentualen Verlust oder Gewinn pro Jahr über die letzten 2 Jahre.&lt;/b&gt;</NarrativeChart_Data_Y02>
            <NarrativeChart_Data_Y03>&lt;b&gt;Dieses Diagramm zeigt die Wertentwicklung des Fonds als prozentualen Verlust oder Gewinn pro Jahr über die letzten 3 Jahre.&lt;/b&gt;</NarrativeChart_Data_Y03>
            <NarrativeChart_Data_Y04>&lt;b&gt;Dieses Diagramm zeigt die Wertentwicklung des Fonds als prozentualen Verlust oder Gewinn pro Jahr über die letzten 4 Jahre.&lt;/b&gt;</NarrativeChart_Data_Y04>
            <NarrativeChart_Data_Y05>&lt;b&gt;Dieses Diagramm zeigt die Wertentwicklung des Fonds als prozentualen Verlust oder Gewinn pro Jahr über die letzten 5 Jahre.&lt;/b&gt;</NarrativeChart_Data_Y05>
            <NarrativeChart_Data_Y06>&lt;b&gt;Dieses Diagramm zeigt die Wertentwicklung des Fonds als prozentualen Verlust oder Gewinn pro Jahr über die letzten 6 Jahre.&lt;/b&gt;</NarrativeChart_Data_Y06>
            <NarrativeChart_Data_Y07>&lt;b&gt;Dieses Diagramm zeigt die Wertentwicklung des Fonds als prozentualen Verlust oder Gewinn pro Jahr über die letzten 7 Jahre.&lt;/b&gt;</NarrativeChart_Data_Y07>
            <NarrativeChart_Data_Y08>&lt;b&gt;Dieses Diagramm zeigt die Wertentwicklung des Fonds als prozentualen Verlust oder Gewinn pro Jahr über die letzten 8 Jahre.&lt;/b&gt;</NarrativeChart_Data_Y08>
            <NarrativeChart_Data_Y09>&lt;b&gt;Dieses Diagramm zeigt die Wertentwicklung des Fonds als prozentualen Verlust oder Gewinn pro Jahr über die letzten 9 Jahre.&lt;/b&gt;</NarrativeChart_Data_Y09>
            <NarrativeChart_Data_Y10>&lt;b&gt;Dieses Diagramm zeigt die Wertentwicklung des Fonds als prozentualen Verlust oder Gewinn pro Jahr über die letzten 10 Jahre.&lt;/b&gt;</NarrativeChart_Data_Y10>
            <LaunchDateText>Der Fonds wurde am 2015 aufgelegt .</LaunchDateText>
            <CurrencyText>Die frühere Wertentwicklung wurde in CZK berechnet. </CurrencyText>
            <ExampleInvestment>Anlagebeispiel 10 000 CZK</ExampleInvestment>
            <NO_DATA_STC>&lt;b&gt;Es sind noch keine ausreichenden Daten vorhanden, um den Anlegern nützliche Angaben über die frühere Wertentwicklung zu machen.&lt;/b&gt;</NO_DATA_STC>
          </Narrative>
          <Narrative lang="en">
            <NarrativeChart>&lt;b&gt;This chart shows the product’s performance as the percentage loss or gain per year over the last 7 years.&lt;/b&gt;</NarrativeChart>
            <NarrativeChart_Data_Y01>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last year.&lt;/b&gt;</NarrativeChart_Data_Y01>
            <NarrativeChart_Data_Y02>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 2 years.&lt;/b&gt;</NarrativeChart_Data_Y02>
            <NarrativeChart_Data_Y03>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 3 years.&lt;/b&gt;</NarrativeChart_Data_Y03>
            <NarrativeChart_Data_Y04>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 4 years.&lt;/b&gt;</NarrativeChart_Data_Y04>
            <NarrativeChart_Data_Y05>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 5 years.&lt;/b&gt;</NarrativeChart_Data_Y05>
            <NarrativeChart_Data_Y06>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 6 years.&lt;/b&gt;</NarrativeChart_Data_Y06>
            <NarrativeChart_Data_Y07>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 7 years.&lt;/b&gt;</NarrativeChart_Data_Y07>
            <NarrativeChart_Data_Y08>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 8 years.&lt;/b&gt;</NarrativeChart_Data_Y08>
            <NarrativeChart_Data_Y09>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 9 years.&lt;/b&gt;</NarrativeChart_Data_Y09>
            <NarrativeChart_Data_Y10>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 10 years.&lt;/b&gt;</NarrativeChart_Data_Y10>
            <LaunchDateText>The product was launched in year 2015.</LaunchDateText>
            <CurrencyText>Past performance has been calculated in CZK. </CurrencyText>
            <ExampleInvestment>Example Investment CZK 10 000</ExampleInvestment>
            <NO_DATA_STC>&lt;b&gt;There is insufficient data to provide a useful indication of past performance.&lt;/b&gt;</NO_DATA_STC>
          </Narrative>
          <Narrative lang="es">
            <NarrativeChart>&lt;b&gt;Este diagrama muestra la rentabilidad del fondo como pérdida o ganancia porcentual anual durante los últimos 7 años.&lt;/b&gt;</NarrativeChart>
            <NarrativeChart_Data_Y01>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last year.&lt;/b&gt;</NarrativeChart_Data_Y01>
            <NarrativeChart_Data_Y02>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 2 years.&lt;/b&gt;</NarrativeChart_Data_Y02>
            <NarrativeChart_Data_Y03>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 3 years.&lt;/b&gt;</NarrativeChart_Data_Y03>
            <NarrativeChart_Data_Y04>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 4 years.&lt;/b&gt;</NarrativeChart_Data_Y04>
            <NarrativeChart_Data_Y05>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 5 years.&lt;/b&gt;</NarrativeChart_Data_Y05>
            <NarrativeChart_Data_Y06>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 6 years.&lt;/b&gt;</NarrativeChart_Data_Y06>
            <NarrativeChart_Data_Y07>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 7 years.&lt;/b&gt;</NarrativeChart_Data_Y07>
            <NarrativeChart_Data_Y08>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 8 years.&lt;/b&gt;</NarrativeChart_Data_Y08>
            <NarrativeChart_Data_Y09>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 9 years.&lt;/b&gt;</NarrativeChart_Data_Y09>
            <NarrativeChart_Data_Y10>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 10 years.&lt;/b&gt;</NarrativeChart_Data_Y10>
            <LaunchDateText>El Subfondo se creó el 2015. </LaunchDateText>
            <CurrencyText>El cálculo de la rentabilidad histórica se ha efectuado en CZK. </CurrencyText>
            <ExampleInvestment>Ejemplo de inversión 10 000 CZK</ExampleInvestment>
            <NO_DATA_STC>&lt;b&gt;Los datos disponibles son insuficientes para dar al inversor una indicación de la rentabilidad histórica que resulte de utilidad.&lt;/b&gt;</NO_DATA_STC>
          </Narrative>
          <Narrative lang="fi">
            <NarrativeChart>&lt;b&gt;Tässä kaaviossa esitetään rahaston tuotto prosentuaalisena tappiona tai voittona vuodessa viimeisten 7 vuoden aikana.&lt;/b&gt;</NarrativeChart>
            <NarrativeChart_Data_Y01>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last year.&lt;/b&gt;</NarrativeChart_Data_Y01>
            <NarrativeChart_Data_Y02>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 2 years.&lt;/b&gt;</NarrativeChart_Data_Y02>
            <NarrativeChart_Data_Y03>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 3 years.&lt;/b&gt;</NarrativeChart_Data_Y03>
            <NarrativeChart_Data_Y04>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 4 years.&lt;/b&gt;</NarrativeChart_Data_Y04>
            <NarrativeChart_Data_Y05>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 5 years.&lt;/b&gt;</NarrativeChart_Data_Y05>
            <NarrativeChart_Data_Y06>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 6 years.&lt;/b&gt;</NarrativeChart_Data_Y06>
            <NarrativeChart_Data_Y07>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 7 years.&lt;/b&gt;</NarrativeChart_Data_Y07>
            <NarrativeChart_Data_Y08>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 8 years.&lt;/b&gt;</NarrativeChart_Data_Y08>
            <NarrativeChart_Data_Y09>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 9 years.&lt;/b&gt;</NarrativeChart_Data_Y09>
            <NarrativeChart_Data_Y10>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 10 years.&lt;/b&gt;</NarrativeChart_Data_Y10>
            <LaunchDateText>Rahasto on avattu 2015. </LaunchDateText>
            <CurrencyText>Aiempi tuotto- ja arvonkehitys on laskettu valuutassa &lt;&lt;CCY&gt;&gt;.</CurrencyText>
            <ExampleInvestment>Esimerkki sijoituksesta 10 000 CZK</ExampleInvestment>
            <NO_DATA_STC>&lt;b&gt;Tiedot ovat riittämättömiä, jotta sijoittajat voisivat niiden perusteella saada hyödyllistä osviittaa aiemmasta tuotto- tai arvonkehityksestä.&lt;/b&gt;</NO_DATA_STC>
          </Narrative>
          <Narrative lang="fr">
            <NarrativeChart>&lt;b&gt;Ce diagramme affiche la performance du fonds en pourcentage de perte ou de gain par an au cours des 7 dernières années.&lt;/b&gt;</NarrativeChart>
            <NarrativeChart_Data_Y01>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last year.&lt;/b&gt;</NarrativeChart_Data_Y01>
            <NarrativeChart_Data_Y02>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 2 years.&lt;/b&gt;</NarrativeChart_Data_Y02>
            <NarrativeChart_Data_Y03>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 3 years.&lt;/b&gt;</NarrativeChart_Data_Y03>
            <NarrativeChart_Data_Y04>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 4 years.&lt;/b&gt;</NarrativeChart_Data_Y04>
            <NarrativeChart_Data_Y05>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 5 years.&lt;/b&gt;</NarrativeChart_Data_Y05>
            <NarrativeChart_Data_Y06>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 6 years.&lt;/b&gt;</NarrativeChart_Data_Y06>
            <NarrativeChart_Data_Y07>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 7 years.&lt;/b&gt;</NarrativeChart_Data_Y07>
            <NarrativeChart_Data_Y08>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 8 years.&lt;/b&gt;</NarrativeChart_Data_Y08>
            <NarrativeChart_Data_Y09>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 9 years.&lt;/b&gt;</NarrativeChart_Data_Y09>
            <NarrativeChart_Data_Y10>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 10 years.&lt;/b&gt;</NarrativeChart_Data_Y10>
            <LaunchDateText>Le Compartiment a été lancé le 2015.</LaunchDateText>
            <CurrencyText>Les performances passées ont été calculées en CZK. </CurrencyText>
            <ExampleInvestment>Exemple d’investissement 10 000 &lt;PRO_CCY</ExampleInvestment>
            <NO_DATA_STC>&lt;b&gt;Il existe trop peu de données pour fournir aux investisseurs des indications utiles sur les performances passées.&lt;/b&gt;</NO_DATA_STC>
          </Narrative>
          <Narrative lang="fr-be">
            <NarrativeChart>&lt;b&gt;Ce diagramme affiche la performance du fonds en pourcentage de perte ou de gain par an au cours des 7 dernières années.&lt;/b&gt;</NarrativeChart>
            <NarrativeChart_Data_Y01>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last year.&lt;/b&gt;</NarrativeChart_Data_Y01>
            <NarrativeChart_Data_Y02>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 2 years.&lt;/b&gt;</NarrativeChart_Data_Y02>
            <NarrativeChart_Data_Y03>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 3 years.&lt;/b&gt;</NarrativeChart_Data_Y03>
            <NarrativeChart_Data_Y04>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 4 years.&lt;/b&gt;</NarrativeChart_Data_Y04>
            <NarrativeChart_Data_Y05>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 5 years.&lt;/b&gt;</NarrativeChart_Data_Y05>
            <NarrativeChart_Data_Y06>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 6 years.&lt;/b&gt;</NarrativeChart_Data_Y06>
            <NarrativeChart_Data_Y07>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 7 years.&lt;/b&gt;</NarrativeChart_Data_Y07>
            <NarrativeChart_Data_Y08>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 8 years.&lt;/b&gt;</NarrativeChart_Data_Y08>
            <NarrativeChart_Data_Y09>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 9 years.&lt;/b&gt;</NarrativeChart_Data_Y09>
            <NarrativeChart_Data_Y10>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 10 years.&lt;/b&gt;</NarrativeChart_Data_Y10>
            <LaunchDateText>Le Compartiment a été lancé le 2015. </LaunchDateText>
            <CurrencyText>Les performances passées ont été calculées en CZK. </CurrencyText>
            <ExampleInvestment>Investissement de 10 000 &lt;PRO_CCY</ExampleInvestment>
            <NO_DATA_STC>&lt;b&gt;Il existe trop peu de données pour fournir aux investisseurs des indications utiles sur les performances passées.&lt;/b&gt;</NO_DATA_STC>
          </Narrative>
          <Narrative lang="hr">
            <NarrativeChart>&lt;b&gt;Ovaj grafikon prikazuje uspješnost fonda u obliku postotnog gubitka ili dobiti po godini za posljednjih 7 godina.&lt;/b&gt;</NarrativeChart>
            <NarrativeChart_Data_Y01>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last year.&lt;/b&gt;</NarrativeChart_Data_Y01>
            <NarrativeChart_Data_Y02>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 2 years.&lt;/b&gt;</NarrativeChart_Data_Y02>
            <NarrativeChart_Data_Y03>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 3 years.&lt;/b&gt;</NarrativeChart_Data_Y03>
            <NarrativeChart_Data_Y04>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 4 years.&lt;/b&gt;</NarrativeChart_Data_Y04>
            <NarrativeChart_Data_Y05>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 5 years.&lt;/b&gt;</NarrativeChart_Data_Y05>
            <NarrativeChart_Data_Y06>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 6 years.&lt;/b&gt;</NarrativeChart_Data_Y06>
            <NarrativeChart_Data_Y07>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 7 years.&lt;/b&gt;</NarrativeChart_Data_Y07>
            <NarrativeChart_Data_Y08>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 8 years.&lt;/b&gt;</NarrativeChart_Data_Y08>
            <NarrativeChart_Data_Y09>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 9 years.&lt;/b&gt;</NarrativeChart_Data_Y09>
            <NarrativeChart_Data_Y10>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 10 years.&lt;/b&gt;</NarrativeChart_Data_Y10>
            <LaunchDateText>Fond je utemeljen 2015. </LaunchDateText>
            <CurrencyText>Povijesni se prinosi računaju u CZK. </CurrencyText>
            <ExampleInvestment>Primjer ulaganja 10 000 CZK</ExampleInvestment>
            <NO_DATA_STC>&lt;b&gt;Nema dovoljno podataka za pružanje korisnih pokazatelja povijesnih prinosa ulagateljima.&lt;/b&gt;</NO_DATA_STC>
          </Narrative>
          <Narrative lang="hu">
            <NarrativeChart>&lt;b&gt;Ez a diagram az alap teljesítményét az utolsó 7 év veszteségének vagy nyereségének százalékos arányaként mutatja.&lt;/b&gt;</NarrativeChart>
            <NarrativeChart_Data_Y01>&lt;b&gt;Ez a diagram az alap teljesítményét az utolsó év veszteségének vagy nyereségének százalékos arányaként mutatja.&lt;/b&gt;</NarrativeChart_Data_Y01>
            <NarrativeChart_Data_Y02>&lt;b&gt;Ez a diagram az alap teljesítményét az utolsó 2 év veszteségének vagy nyereségének százalékos arányaként mutatja.&lt;/b&gt;</NarrativeChart_Data_Y02>
            <NarrativeChart_Data_Y03>&lt;b&gt;Ez a diagram az alap teljesítményét az utolsó 3 év veszteségének vagy nyereségének százalékos arányaként mutatja.&lt;/b&gt;</NarrativeChart_Data_Y03>
            <NarrativeChart_Data_Y04>&lt;b&gt;Ez a diagram az alap teljesítményét az utolsó 4 év veszteségének vagy nyereségének százalékos arányaként mutatja.&lt;/b&gt;</NarrativeChart_Data_Y04>
            <NarrativeChart_Data_Y05>&lt;b&gt;Ez a diagram az alap teljesítményét az utolsó 5 év veszteségének vagy nyereségének százalékos arányaként mutatja.&lt;/b&gt;</NarrativeChart_Data_Y05>
            <NarrativeChart_Data_Y06>&lt;b&gt;Ez a diagram az alap teljesítményét az utolsó 6 év veszteségének vagy nyereségének százalékos arányaként mutatja.&lt;/b&gt;</NarrativeChart_Data_Y06>
            <NarrativeChart_Data_Y07>&lt;b&gt;Ez a diagram az alap teljesítményét az utolsó 7 év veszteségének vagy nyereségének százalékos arányaként mutatja.&lt;/b&gt;</NarrativeChart_Data_Y07>
            <NarrativeChart_Data_Y08>&lt;b&gt;Ez a diagram az alap teljesítményét az utolsó 8 év veszteségének vagy nyereségének százalékos arányaként mutatja.&lt;/b&gt;</NarrativeChart_Data_Y08>
            <NarrativeChart_Data_Y09>&lt;b&gt;Ez a diagram az alap teljesítményét az utolsó 9 év veszteségének vagy nyereségének százalékos arányaként mutatja.&lt;/b&gt;</NarrativeChart_Data_Y09>
            <NarrativeChart_Data_Y10>&lt;b&gt;Ez a diagram az alap teljesítményét az utolsó 10 év veszteségének vagy nyereségének százalékos arányaként mutatja.&lt;/b&gt;</NarrativeChart_Data_Y10>
            <LaunchDateText>Az alap létrehozásának időpontja 2015. </LaunchDateText>
            <CurrencyText>A múltbeli teljesítmény kiszámítása a következő devizában történt CZK. </CurrencyText>
            <ExampleInvestment>Befektetés (példa) 10 000 CZK</ExampleInvestment>
            <NO_DATA_STC>&lt;b&gt;Még nem áll rendelkezésre elegendő adat ahhoz, hogy a befektetők számára a múltbeli teljesítményről hasznos tájékoztatást adjunk.&lt;/b&gt;</NO_DATA_STC>
          </Narrative>
          <Narrative lang="is">
            <NarrativeChart>&lt;b&gt;Þessi mynd sýnir frammistöðu sjóðsins hvað varðar árlegt tap eða hagnað undanfarin 7 ár.&lt;/b&gt;</NarrativeChart>
            <NarrativeChart_Data_Y01>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last year.&lt;/b&gt;</NarrativeChart_Data_Y01>
            <NarrativeChart_Data_Y02>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 2 years.&lt;/b&gt;</NarrativeChart_Data_Y02>
            <NarrativeChart_Data_Y03>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 3 years.&lt;/b&gt;</NarrativeChart_Data_Y03>
            <NarrativeChart_Data_Y04>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 4 years.&lt;/b&gt;</NarrativeChart_Data_Y04>
            <NarrativeChart_Data_Y05>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 5 years.&lt;/b&gt;</NarrativeChart_Data_Y05>
            <NarrativeChart_Data_Y06>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 6 years.&lt;/b&gt;</NarrativeChart_Data_Y06>
            <NarrativeChart_Data_Y07>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 7 years.&lt;/b&gt;</NarrativeChart_Data_Y07>
            <NarrativeChart_Data_Y08>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 8 years.&lt;/b&gt;</NarrativeChart_Data_Y08>
            <NarrativeChart_Data_Y09>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 9 years.&lt;/b&gt;</NarrativeChart_Data_Y09>
            <NarrativeChart_Data_Y10>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 10 years.&lt;/b&gt;</NarrativeChart_Data_Y10>
            <LaunchDateText>Sjóðurinn var stofnaður 2015.</LaunchDateText>
            <CurrencyText>Fyrri ávöxtun hefur verið reiknuð í &lt;&lt;CCY&gt;&gt;.</CurrencyText>
            <ExampleInvestment>Dæmi um fjárfestingu 10 000 CZK</ExampleInvestment>
            <NO_DATA_STC>&lt;b&gt;Ekki eru næg gögn tiltæk til að gefa fjárfestum nægilega glögga mynd af fyrri ávöxtun.&lt;/b&gt;</NO_DATA_STC>
          </Narrative>
          <Narrative lang="it">
            <NarrativeChart>&lt;b&gt;Il presente grafico mostra la performance del fondo in termini di percentuale annua di perdite o di guadagni negli ultimi 7 anni.&lt;/b&gt;</NarrativeChart>
            <NarrativeChart_Data_Y01>&lt;b&gt;Il presente grafico mostra la performance del fondo in termini di percentuale annua di perdite o di guadagni negli ultimi anno.&lt;/b&gt;</NarrativeChart_Data_Y01>
            <NarrativeChart_Data_Y02>&lt;b&gt;Il presente grafico mostra la performance del fondo in termini di percentuale annua di perdite o di guadagni negli ultimi 2 anni.&lt;/b&gt;</NarrativeChart_Data_Y02>
            <NarrativeChart_Data_Y03>&lt;b&gt;Il presente grafico mostra la performance del fondo in termini di percentuale annua di perdite o di guadagni negli ultimi 3 anni.&lt;/b&gt;</NarrativeChart_Data_Y03>
            <NarrativeChart_Data_Y04>&lt;b&gt;Il presente grafico mostra la performance del fondo in termini di percentuale annua di perdite o di guadagni negli ultimi 4 anni.&lt;/b&gt;</NarrativeChart_Data_Y04>
            <NarrativeChart_Data_Y05>&lt;b&gt;Il presente grafico mostra la performance del fondo in termini di percentuale annua di perdite o di guadagni negli ultimi 5 anni.&lt;/b&gt;</NarrativeChart_Data_Y05>
            <NarrativeChart_Data_Y06>&lt;b&gt;Il presente grafico mostra la performance del fondo in termini di percentuale annua di perdite o di guadagni negli ultimi 6 anni.&lt;/b&gt;</NarrativeChart_Data_Y06>
            <NarrativeChart_Data_Y07>&lt;b&gt;Il presente grafico mostra la performance del fondo in termini di percentuale annua di perdite o di guadagni negli ultimi 7 anni.&lt;/b&gt;</NarrativeChart_Data_Y07>
            <NarrativeChart_Data_Y08>&lt;b&gt;Il presente grafico mostra la performance del fondo in termini di percentuale annua di perdite o di guadagni negli ultimi 8 anni.&lt;/b&gt;</NarrativeChart_Data_Y08>
            <NarrativeChart_Data_Y09>&lt;b&gt;Il presente grafico mostra la performance del fondo in termini di percentuale annua di perdite o di guadagni negli ultimi 9 anni.&lt;/b&gt;</NarrativeChart_Data_Y09>
            <NarrativeChart_Data_Y10>&lt;b&gt;Il presente grafico mostra la performance del fondo in termini di percentuale annua di perdite o di guadagni negli ultimi 10 anni.&lt;/b&gt;</NarrativeChart_Data_Y10>
            <LaunchDateText>Il fondo è stato lanciato il 2015. </LaunchDateText>
            <CurrencyText>Sono state calcolate le performance passate in CZK. </CurrencyText>
            <ExampleInvestment>Esempio di investimento 10 000 CZK</ExampleInvestment>
            <NO_DATA_STC>&lt;b&gt;Non ci sono dati sufficienti per fornire agli investitori un’indicazione utile sui risultati ottenuti nel passato.&lt;/b&gt;</NO_DATA_STC>
          </Narrative>
          <Narrative lang="nl">
            <NarrativeChart>&lt;b&gt;Deze grafiek toont de prestaties van het fonds als percentage van het verlies of de winst per jaar gedurende de afgelopen 7 jaar.&lt;/b&gt;</NarrativeChart>
            <NarrativeChart_Data_Y01>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last year.&lt;/b&gt;</NarrativeChart_Data_Y01>
            <NarrativeChart_Data_Y02>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 2 years.&lt;/b&gt;</NarrativeChart_Data_Y02>
            <NarrativeChart_Data_Y03>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 3 years.&lt;/b&gt;</NarrativeChart_Data_Y03>
            <NarrativeChart_Data_Y04>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 4 years.&lt;/b&gt;</NarrativeChart_Data_Y04>
            <NarrativeChart_Data_Y05>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 5 years.&lt;/b&gt;</NarrativeChart_Data_Y05>
            <NarrativeChart_Data_Y06>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 6 years.&lt;/b&gt;</NarrativeChart_Data_Y06>
            <NarrativeChart_Data_Y07>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 7 years.&lt;/b&gt;</NarrativeChart_Data_Y07>
            <NarrativeChart_Data_Y08>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 8 years.&lt;/b&gt;</NarrativeChart_Data_Y08>
            <NarrativeChart_Data_Y09>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 9 years.&lt;/b&gt;</NarrativeChart_Data_Y09>
            <NarrativeChart_Data_Y10>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 10 years.&lt;/b&gt;</NarrativeChart_Data_Y10>
            <LaunchDateText>Het fonds is geïntroduceerd op  2015. </LaunchDateText>
            <CurrencyText>Prestaties in het verleden zijn berekend in CZK. </CurrencyText>
            <ExampleInvestment>Voorbeeld belegging 10 000 CZK</ExampleInvestment>
            <NO_DATA_STC>&lt;b&gt;Er zijn onvoldoende gegevens om beleggers een bruikbare aanwijzing van de in het verleden behaalde resultaten te verschaffen.&lt;/b&gt;</NO_DATA_STC>
          </Narrative>
          <Narrative lang="nl-be">
            <NarrativeChart>&lt;b&gt;Deze grafiek toont de prestaties van het fonds als percentage van het verlies of de winst per jaar gedurende de afgelopen 7 jaar.&lt;/b&gt;</NarrativeChart>
            <NarrativeChart_Data_Y01>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last year.&lt;/b&gt;</NarrativeChart_Data_Y01>
            <NarrativeChart_Data_Y02>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 2 years.&lt;/b&gt;</NarrativeChart_Data_Y02>
            <NarrativeChart_Data_Y03>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 3 years.&lt;/b&gt;</NarrativeChart_Data_Y03>
            <NarrativeChart_Data_Y04>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 4 years.&lt;/b&gt;</NarrativeChart_Data_Y04>
            <NarrativeChart_Data_Y05>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 5 years.&lt;/b&gt;</NarrativeChart_Data_Y05>
            <NarrativeChart_Data_Y06>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 6 years.&lt;/b&gt;</NarrativeChart_Data_Y06>
            <NarrativeChart_Data_Y07>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 7 years.&lt;/b&gt;</NarrativeChart_Data_Y07>
            <NarrativeChart_Data_Y08>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 8 years.&lt;/b&gt;</NarrativeChart_Data_Y08>
            <NarrativeChart_Data_Y09>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 9 years.&lt;/b&gt;</NarrativeChart_Data_Y09>
            <NarrativeChart_Data_Y10>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 10 years.&lt;/b&gt;</NarrativeChart_Data_Y10>
            <LaunchDateText>Het fonds is geïntroduceerd op  2015. </LaunchDateText>
            <CurrencyText>De in het verleden behaalde resultaten zijn berekend in CZK. </CurrencyText>
            <ExampleInvestment>Belegging 10 000 CZK</ExampleInvestment>
            <NO_DATA_STC>&lt;b&gt;Er zijn onvoldoende gegevens om beleggers een bruikbare aanwijzing van de in het verleden behaalde resultaten te verschaffen.&lt;/b&gt;</NO_DATA_STC>
          </Narrative>
          <Narrative lang="no">
            <NarrativeChart>&lt;b&gt;Dette diagrammet viser fondets resultater i form av årlige prosentvise tap eller gevinster de siste 7 årene.&lt;/b&gt;</NarrativeChart>
            <NarrativeChart_Data_Y01>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last year.&lt;/b&gt;</NarrativeChart_Data_Y01>
            <NarrativeChart_Data_Y02>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 2 years.&lt;/b&gt;</NarrativeChart_Data_Y02>
            <NarrativeChart_Data_Y03>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 3 years.&lt;/b&gt;</NarrativeChart_Data_Y03>
            <NarrativeChart_Data_Y04>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 4 years.&lt;/b&gt;</NarrativeChart_Data_Y04>
            <NarrativeChart_Data_Y05>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 5 years.&lt;/b&gt;</NarrativeChart_Data_Y05>
            <NarrativeChart_Data_Y06>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 6 years.&lt;/b&gt;</NarrativeChart_Data_Y06>
            <NarrativeChart_Data_Y07>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 7 years.&lt;/b&gt;</NarrativeChart_Data_Y07>
            <NarrativeChart_Data_Y08>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 8 years.&lt;/b&gt;</NarrativeChart_Data_Y08>
            <NarrativeChart_Data_Y09>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 9 years.&lt;/b&gt;</NarrativeChart_Data_Y09>
            <NarrativeChart_Data_Y10>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 10 years.&lt;/b&gt;</NarrativeChart_Data_Y10>
            <LaunchDateText>Fondet ble lansert den 2015. </LaunchDateText>
            <CurrencyText>Tidligere resultater er beregnet i &lt;&lt;CCY&gt;&gt;.</CurrencyText>
            <ExampleInvestment>Eksempel på investering 10 000 CZK</ExampleInvestment>
            <NO_DATA_STC>&lt;b&gt;Det foreligger ikke tilstrekkelige data til å gi en brukbar indikasjon på tidligere resultater til investorer.&lt;/b&gt;</NO_DATA_STC>
          </Narrative>
          <Narrative lang="pl">
            <NarrativeChart>&lt;b&gt;Ten wykres przedstawia wyniki produktu jako procentową stratę lub procentowy zysk w skali roku w ciągu ostatnich 7 lat.&lt;/b&gt;</NarrativeChart>
            <NarrativeChart_Data_Y01>&lt;b&gt;Ten wykres przedstawia wyniki produktu jako procentową stratę lub procentowy zysk w skali roku w ciągu ostatniego 1 roku.&lt;/b&gt;</NarrativeChart_Data_Y01>
            <NarrativeChart_Data_Y02>&lt;b&gt;Ten wykres przedstawia wyniki produktu jako procentową stratę lub procentowy zysk w skali roku w ciągu ostatnich 2 lat.&lt;/b&gt;</NarrativeChart_Data_Y02>
            <NarrativeChart_Data_Y03>&lt;b&gt;Ten wykres przedstawia wyniki produktu jako procentową stratę lub procentowy zysk w skali roku w ciągu ostatnich 3 lat.&lt;/b&gt;</NarrativeChart_Data_Y03>
            <NarrativeChart_Data_Y04>&lt;b&gt;Ten wykres przedstawia wyniki produktu jako procentową stratę lub procentowy zysk w skali roku w ciągu ostatnich 4 lat.&lt;/b&gt;</NarrativeChart_Data_Y04>
            <NarrativeChart_Data_Y05>&lt;b&gt;Ten wykres przedstawia wyniki produktu jako procentową stratę lub procentowy zysk w skali roku w ciągu ostatnich 5 lat.&lt;/b&gt;</NarrativeChart_Data_Y05>
            <NarrativeChart_Data_Y06>&lt;b&gt;Ten wykres przedstawia wyniki produktu jako procentową stratę lub procentowy zysk w skali roku w ciągu ostatnich 6 lat.&lt;/b&gt;</NarrativeChart_Data_Y06>
            <NarrativeChart_Data_Y07>&lt;b&gt;Ten wykres przedstawia wyniki produktu jako procentową stratę lub procentowy zysk w skali roku w ciągu ostatnich 7 lat.&lt;/b&gt;</NarrativeChart_Data_Y07>
            <NarrativeChart_Data_Y08>&lt;b&gt;Ten wykres przedstawia wyniki produktu jako procentową stratę lub procentowy zysk w skali roku w ciągu ostatnich 8 lat.&lt;/b&gt;</NarrativeChart_Data_Y08>
            <NarrativeChart_Data_Y09>&lt;b&gt;Ten wykres przedstawia wyniki produktu jako procentową stratę lub procentowy zysk w skali roku w ciągu ostatnich 9 lat.&lt;/b&gt;</NarrativeChart_Data_Y09>
            <NarrativeChart_Data_Y10>&lt;b&gt;Ten wykres przedstawia wyniki produktu jako procentową stratę lub procentowy zysk w skali roku w ciągu ostatnich 10 lat.&lt;/b&gt;</NarrativeChart_Data_Y10>
            <LaunchDateText>Ten produkt został uruchomiony w 2015 roku.</LaunchDateText>
            <CurrencyText>Wyniki historyczne obliczono w CZK. </CurrencyText>
            <ExampleInvestment>Przykładowa inwestycja 10 000 CZK</ExampleInvestment>
            <NO_DATA_STC>&lt;b&gt;Brakuje dostatecznych danych, aby możliwe było podanie wyników osiągniętych w przeszłości.&lt;/b&gt;</NO_DATA_STC>
          </Narrative>
          <Narrative lang="pt">
            <NarrativeChart>&lt;b&gt;Este gráfico mostra o desempenho do fundo sob a forma de perda ou ganho percentual anual durante os últimos 7 anos.&lt;/b&gt;</NarrativeChart>
            <NarrativeChart_Data_Y01>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last year.&lt;/b&gt;</NarrativeChart_Data_Y01>
            <NarrativeChart_Data_Y02>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 2 years.&lt;/b&gt;</NarrativeChart_Data_Y02>
            <NarrativeChart_Data_Y03>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 3 years.&lt;/b&gt;</NarrativeChart_Data_Y03>
            <NarrativeChart_Data_Y04>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 4 years.&lt;/b&gt;</NarrativeChart_Data_Y04>
            <NarrativeChart_Data_Y05>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 5 years.&lt;/b&gt;</NarrativeChart_Data_Y05>
            <NarrativeChart_Data_Y06>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 6 years.&lt;/b&gt;</NarrativeChart_Data_Y06>
            <NarrativeChart_Data_Y07>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 7 years.&lt;/b&gt;</NarrativeChart_Data_Y07>
            <NarrativeChart_Data_Y08>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 8 years.&lt;/b&gt;</NarrativeChart_Data_Y08>
            <NarrativeChart_Data_Y09>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 9 years.&lt;/b&gt;</NarrativeChart_Data_Y09>
            <NarrativeChart_Data_Y10>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 10 years.&lt;/b&gt;</NarrativeChart_Data_Y10>
            <LaunchDateText>O fundo foi lançado a 2015. </LaunchDateText>
            <CurrencyText>Os resultados anteriores foram calculados em CZK. </CurrencyText>
            <ExampleInvestment>Exemplo de investimento 10 000 CZK</ExampleInvestment>
            <NO_DATA_STC>&lt;b&gt;Os dados são insuficientes para fornecer uma indicação útil aos investidores acerca dos resultados anteriores.&lt;/b&gt;</NO_DATA_STC>
          </Narrative>
          <Narrative lang="ro">
            <NarrativeChart>&lt;b&gt;Acest grafic prezintă performanța fondului ca procent din pierderea sau câștigul anual din ultimii 7 ani.&lt;/b&gt;</NarrativeChart>
            <NarrativeChart_Data_Y01>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last year.&lt;/b&gt;</NarrativeChart_Data_Y01>
            <NarrativeChart_Data_Y02>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 2 years.&lt;/b&gt;</NarrativeChart_Data_Y02>
            <NarrativeChart_Data_Y03>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 3 years.&lt;/b&gt;</NarrativeChart_Data_Y03>
            <NarrativeChart_Data_Y04>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 4 years.&lt;/b&gt;</NarrativeChart_Data_Y04>
            <NarrativeChart_Data_Y05>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 5 years.&lt;/b&gt;</NarrativeChart_Data_Y05>
            <NarrativeChart_Data_Y06>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 6 years.&lt;/b&gt;</NarrativeChart_Data_Y06>
            <NarrativeChart_Data_Y07>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 7 years.&lt;/b&gt;</NarrativeChart_Data_Y07>
            <NarrativeChart_Data_Y08>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 8 years.&lt;/b&gt;</NarrativeChart_Data_Y08>
            <NarrativeChart_Data_Y09>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 9 years.&lt;/b&gt;</NarrativeChart_Data_Y09>
            <NarrativeChart_Data_Y10>&lt;b&gt;This chart shows the product's performance as the percentage loss or gain per year over last 10 years.&lt;/b&gt;</NarrativeChart_Data_Y10>
            <LaunchDateText>Fondul a fost lansat la data de 2015. </LaunchDateText>
            <CurrencyText>Performanțele anterioare au fost calculate în CZK. </CurrencyText>
            <ExampleInvestment>Exemplu Investiție 10 000 CZK</ExampleInvestment>
            <NO_DATA_STC>&lt;b&gt;Nu există date suficiente pentru a oferi investitorilor o indicație utilă privind performanțele anterioare.&lt;/b&gt;</NO_DATA_STC>
          </Narrative>
          <Narrative lang="sk">
            <NarrativeChart>&lt;b&gt;Tento graf zobrazuje výkonnosť produktu ako percentuálny podiel ročnej straty alebo ročného zisku za posledných 7 rokov.&lt;/b&gt;</NarrativeChart>
            <NarrativeChart_Data_Y01>&lt;b&gt;Tento graf zobrazuje výkonnosť produktu ako percentuálny podiel ročnej straty alebo ročného zisku za posledný 1 rok. &lt;/b&gt;</NarrativeChart_Data_Y01>
            <NarrativeChart_Data_Y02>&lt;b&gt;Tento graf zobrazuje výkonnosť produktu ako percentuálny podiel ročnej straty alebo ročného zisku za posledné 2 roky. &lt;/b&gt;</NarrativeChart_Data_Y02>
            <NarrativeChart_Data_Y03>&lt;b&gt;Tento graf zobrazuje výkonnosť produktu ako percentuálny podiel ročnej straty alebo ročného zisku za posledné 3 roky. &lt;/b&gt;</NarrativeChart_Data_Y03>
            <NarrativeChart_Data_Y04>&lt;b&gt;Tento graf zobrazuje výkonnosť produktu ako percentuálny podiel ročnej straty alebo ročného zisku za posledné 4 roky. &lt;/b&gt;</NarrativeChart_Data_Y04>
            <NarrativeChart_Data_Y05>&lt;b&gt;Tento graf zobrazuje výkonnosť produktu ako percentuálny podiel ročnej straty alebo ročného zisku za posledných 5 rokov. &lt;/b&gt;</NarrativeChart_Data_Y05>
            <NarrativeChart_Data_Y06>&lt;b&gt;Tento graf zobrazuje výkonnosť produktu ako percentuálny podiel ročnej straty alebo ročného zisku za posledných 6 rokov. &lt;/b&gt;</NarrativeChart_Data_Y06>
            <NarrativeChart_Data_Y07>&lt;b&gt;Tento graf zobrazuje výkonnosť produktu ako percentuálny podiel ročnej straty alebo ročného zisku za posledných 7 rokov. &lt;/b&gt;</NarrativeChart_Data_Y07>
            <NarrativeChart_Data_Y08>&lt;b&gt;Tento graf zobrazuje výkonnosť produktu ako percentuálny podiel ročnej straty alebo ročného zisku za posledných 8 rokov. &lt;/b&gt;</NarrativeChart_Data_Y08>
            <NarrativeChart_Data_Y09>&lt;b&gt;Tento graf zobrazuje výkonnosť produktu ako percentuálny podiel ročnej straty alebo ročného zisku za posledných 9 rokov. &lt;/b&gt;</NarrativeChart_Data_Y09>
            <NarrativeChart_Data_Y10>&lt;b&gt;Tento graf zobrazuje výkonnosť produktu ako percentuálny podiel ročnej straty alebo ročného zisku za posledných 10 rokov. &lt;/b&gt;</NarrativeChart_Data_Y10>
            <LaunchDateText>Produkt bol spustený v roku 2015.</LaunchDateText>
            <CurrencyText>Minulá výnosnosť bola vypočítaná v CZK. </CurrencyText>
            <ExampleInvestment>Príklad investície 10 000 CZK</ExampleInvestment>
            <NO_DATA_STC>&lt;b&gt;Nie je dostatok údajov na to, aby bolo možné poskytnúť užitočné informácie o minulej výkonnosti.&lt;/b&gt;</NO_DATA_STC>
          </Narrative>
          <Narrative lang="sv">
            <NarrativeChart>&lt;b&gt;Detta diagram visar fondens resultat som förlust eller vinst i procent per år för de senaste 7 åren.&lt;/b&gt;</NarrativeChart>
            <NarrativeChart_Data_Y01>&lt;b&gt;Detta diagram visar fondens resultat som förlust eller vinst i procent per år för de senaste år.&lt;/b&gt;</NarrativeChart_Data_Y01>
            <NarrativeChart_Data_Y02>&lt;b&gt;Detta diagram visar fondens resultat som förlust eller vinst i procent per år för de senaste 2 åren.&lt;/b&gt;</NarrativeChart_Data_Y02>
            <NarrativeChart_Data_Y03>&lt;b&gt;Detta diagram visar fondens resultat som förlust eller vinst i procent per år för de senaste 3 åren.&lt;/b&gt;</NarrativeChart_Data_Y03>
            <NarrativeChart_Data_Y04>&lt;b&gt;Detta diagram visar fondens resultat som förlust eller vinst i procent per år för de senaste 4 åren.&lt;/b&gt;</NarrativeChart_Data_Y04>
            <NarrativeChart_Data_Y05>&lt;b&gt;Detta diagram visar fondens resultat som förlust eller vinst i procent per år för de senaste 5 åren.&lt;/b&gt;</NarrativeChart_Data_Y05>
            <NarrativeChart_Data_Y06>&lt;b&gt;Detta diagram visar fondens resultat som förlust eller vinst i procent per år för de senaste 6 åren.&lt;/b&gt;</NarrativeChart_Data_Y06>
            <NarrativeChart_Data_Y07>&lt;b&gt;Detta diagram visar fondens resultat som förlust eller vinst i procent per år för de senaste 7 åren.&lt;/b&gt;</NarrativeChart_Data_Y07>
            <NarrativeChart_Data_Y08>&lt;b&gt;Detta diagram visar fondens resultat som förlust eller vinst i procent per år för de senaste 8 åren.&lt;/b&gt;</NarrativeChart_Data_Y08>
            <NarrativeChart_Data_Y09>&lt;b&gt;Detta diagram visar fondens resultat som förlust eller vinst i procent per år för de senaste 9 åren.&lt;/b&gt;</NarrativeChart_Data_Y09>
            <NarrativeChart_Data_Y10>&lt;b&gt;Detta diagram visar fondens resultat som förlust eller vinst i procent per år för de senaste 10 åren.&lt;/b&gt;</NarrativeChart_Data_Y10>
            <LaunchDateText>Fonden lanserades den 2015.</LaunchDateText>
            <CurrencyText>Tidigare resultat har beräknats i &lt;&lt;CCY&gt;&gt;.</CurrencyText>
            <ExampleInvestment>Exempel på investering 10 000 CZK</ExampleInvestment>
            <NO_DATA_STC>&lt;b&gt;Det saknas uppgifter för att kunna ge investerare en bild av tidigare resultat.&lt;/b&gt;</NO_DATA_STC>
          </Narrative>
        </Narratives>
      </PastPerformanceInfo>
      <PRIIPPerformanceInfo>
        <Scenarios>
          <RefDate>2022-11-30</RefDate>
          <Year>1</Year>
          <FavorableAmount>254980</FavorableAmount>
          <ModerateAmount>246800</ModerateAmount>
          <UnfavorableAmount>236040</UnfavorableAmount>
          <StressAmount>226060</StressAmount>
          <FavorablePercentage>2.0%</FavorablePercentage>
          <ModeratePercentage>-1.3%</ModeratePercentage>
          <UnfavorablePercentage>-5.6%</UnfavorablePercentage>
          <StressPercentage>-9.6%</StressPercentage>
        </Scenarios>
        <Scenarios>
          <RefDate>2022-11-30</RefDate>
          <Year>2</Year>
          <FavorableAmount>257900</FavorableAmount>
          <ModerateAmount>248550</ModerateAmount>
          <UnfavorableAmount>237790</UnfavorableAmount>
          <StressAmount>231070</StressAmount>
          <FavorablePercentage>1.6%</FavorablePercentage>
          <ModeratePercentage>-0.3%</ModeratePercentage>
          <UnfavorablePercentage>-2.5%</UnfavorablePercentage>
          <StressPercentage>-3.9%</StressPercentage>
        </Scenarios>
        <Scenarios>
          <RefDate>2022-11-30</RefDate>
          <Year>3</Year>
          <FavorableAmount>257140</FavorableAmount>
          <ModerateAmount>250540</ModerateAmount>
          <UnfavorableAmount>240950</UnfavorableAmount>
          <StressAmount>228020</StressAmount>
          <FavorablePercentage>0.9%</FavorablePercentage>
          <ModeratePercentage>0.1%</ModeratePercentage>
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