SKY Asset Management

Global opportunities and active management for your savings

We help individuals and businesses make the most of their money. With years of experience in international markets, our team is here to grow your wealth, strengthen your finances, and guide you toward your investment goals.

Contact us

The products and services offered by Sky Asset Management are available only on the territory of Bulgaria. The English version of this website is solely for informational purpose.

Fund Management

Why choose us?

Individuality

Personalized investment strategies

Expertise

Over 15 years of experience in financial markets

Stability

Focus on long-term investment returns

More

Awards

ASSET MANAGEMENT

Mutual Funds

Gain access to global markets with active, professional management. Mutual funds make it easy to invest in a wide range of markets and instruments that are often hard to reach on your own.

Your money. Your plan. Your future. Our mutual funds

“Sky New Shares” and “Sky Finance” help you get more out of your money with a Type B investment plan. You enjoy 0% entry fees and a preferential bonus upon redemption after the third year.

Discretionary Portfolio Management

Discretionary portfolio management gives you a personalized investment service where we build and manage a portfolio tailored to your goals and preferences.

Investment Advisory

Make your own investment decisions with the support of an expert. You stay in control of your portfolio while receiving professional guidance every step of the way.

FUNDS

Prices as of 16.04.2026

SKY New Shares

NAV
per unit

0.9446 EUR

Year
to date

10.66%

Latest
12 months

41.64%

Latest
3 years

91.25%

Standard
deviation

11.41%

SKY Finance

NAV
per unit

0.4547 EUR

Year
to date

7.29%

Latest
12 months

46.35%

Latest
3 years

119.13%

Standard
deviation

13.18%

Prices as of 15.04.2026

SKY Global

NAV
per unit

189.6786 EUR

Year
to date

13.58%

Latest
12 months

46.57%

Latest
3 years

52.69%

Standard
deviation

13.48%

Past performance is not indicative of future performance.

The stated return is cumulative for the respective period, calculated based on the net asset value per unit. The standard deviation is measured on a weekly basis over the latest 52 weeks – higher values indicate higher risk. All results are presented after deducting the management company’s fees.