Volume of property/assets as of 30. 6. 2025
                                    CZK 1,642,340,961
                                 
                            
                                
                                    Own assets as of 30. 6. 2025
                                    CZK 116,296,519
                                 
                            
                                
                                    Focus of the fund
                                    real estate – Pekárenský dvůr, Block A[rt] and B80 development
                                 
                            
                                
                                    Legal form
                                    SICAV, joint-stock company with variable capital
                                 
                            
                                
                                    Fund type
                                    qualified investor fund
                                 
                            
                                
                                    Securities
                                    priority investment shares (PIA)
                                 
                            
                                
                            
                                
                                    Frequency of subscription of investment shares
                                    monthly
                                 
                            
                                
                                    Estimated annual yield on investment shares
                                    9.0–9.1% p.a. in the period of 1/9/2023 – 31/12/2026, thereafter 7.0–7.1% p.a.
                                 
                            
                                
                                    Repurchases of investment shares
                                    up to 4 months
                                 
                            
                                
                                    Fund duration
                                    for indefinite period/until completion of the projects
                                 
                            
                                
                                    Minimal investment
                                    CZK 1 million, in case of AVANT Flex CZK 100,000
                                 
                            
                                
                                    Investment horizon
                                    4 years
                                 
                            
                                
                            
                                
                                    Repurchase fee, according to the conditions specified in the fund status
                                    0% when repurchasing after 36 months
8% when repurchasing earlier than after 36 months
                                 
                            
                                
                                    Fund Manager
                                    FAMILY ACE investiční společnost, a.s.
                                 
                            
                                
                                    Fund Administrator
                                    AVANT investiční společnost, a. s.
                                 
                            
                                
                                    Costs of the fund
                                    maximum 3% p.a. from an average asset value
                                 
                            
                                
                                    Depository
                                    Československá obchodní banka, a.s.
                                 
                            
                                
                                    Auditor
                                    PKF APOGEO Verifica, s.r.o.
                                 
                            
                                
                                    Supervisory body, legal framework
                                    Czech National Bank & the Czech Republic
                                 
                            
                                
                                    Fund appreciation tax
                                    5% of profit
                                 
                            
                                
                                    Taxation of shareholders – natural persons
                                    15% when repurchasing earlier than after 3 years 
0% when repurchasing after 3 and more years
                                 
                            
                                 
                            
                        DOMOPLAN – Pekárenský dvůr SICAV, a.s. is a fund of qualified investors according to Act No. 240/2013 Coll., as amended, on investment companies and investment funds. Only a qualified investor within the meaning of Section 272 of Act No. 240/2013 Coll., on Investment Companies and Investment Funds may become an investor in the Fund. The investment company warns investors that the value of the investment in the fund may go down as well as up and the return of the amount originally invested is not guaranteed.
The performance of the Fund in previous periods does not guarantee the same or better performance in the future. An investment in the Fund is intended to provide a return over the medium and long term and is therefore not suitable for short-term speculation. In particular, potential investors should consider the specific risks that may arise from the Fund's investment objectives as set out in its constitution. The investment objectives are reflected in the recommended investment horizon, as well as in the fees and expenses of the Fund.
The Fund's Key Information Document (KID) is available at www.avantfunds.cz/informacni-povinnost.
For additional important investor information, information on the Common Reporting Standard (CRS) and the Foreign Account Tax Compliance Act (FATCA), please visit https://familyace.cz/upozorneni-pro-investory/.
The information provided is for informational and promotional purposes only and is not an offer, solicitation or recommendation to invest or a proposal to enter into a contract under the provisions of the Civil Code.
 
DOMOPLAN - Pekárenský dvůr SICAV, a.s.
Hvězdova 1716/2b, Nusle, 140 00 Praha 4
ID 09254081; File No. B 25401 registered at the Municipal Court in Prague