DELOS SMALL CAP DOMESTIC EQUITY FUND H.C.M.C. Rule 113/04.03.1999

Risk Profile NBG Asset Management MFMC 103-105 Syngrou Avenue

117 45,

Tel. +30 210 900 7400 Fax.+30 210 900 7499

www.nbgam.gr The investment objective of the Mutual Fund is the highest possible return, through the capital appreciation of its investments. The Mutual Fund mainly invests in a well-diversified equity portfolio, focusing on mid and small market capitalization stocks listed mainly in the Athens Stock Exchange.

Report Date 30/06/2016

FUND INFORMATION PERFORMANCE MUTUAL FUND VS BENCHMARK Currency EUR 3 Years Cumulative Return (30/06/2013- Fund Size (mm) 28,15 30/06/2016) Launch Date 2/4/1999 ISIN GRF000038007 60% 40% Benchmark HELLENIC MID & SMALL CAP INDEX 20% Bloomberg Code DELSCDE GA EQUITY 0%

RETURNS -20% Ytd 1 Year 3 Years (01/01/2016- (30/06/2015- (30/06/2013- -40% 30/06/2016) 30/06/2016) 30/06/2016) -60% FUND BENCH Mutual Fund -7,67% -19,60% -33,30% Benchmark* -4,65% - -26,53% +/- -3,02% - -6,77%

STATISTICAL DATA (3 years rolling) (30/06/2013-30/06/2016) ASSET ALLOCATION Fund Bench Cash/Other Sharpe Ratio -0,37 -0,28 9,8% Annualised Standard Deviation 29,90% 31,56% Maximum Monthly Return 20,39% 26,30% Minimum Monthly Return -17,99% -17,87% Months with Positive Return 15 15 Months with Negative Return 21 20 Top 10 Holdings Equity 90,2% JUMBO SA 5,5% CO-PREF 4,9% Sector Breakdown LAMDA DEVELOPMENT SA 4,5% TITAN CEMENT CO. S.A. 4,4% Industrial 22,2% S.A. 4,2% Consumer, Cyclical 17,2% MOTOR OIL (HELLAS) SA 4,2% Consumer, Non-cyclical 15,5% SARANTIS SA 3,9% Financial 14,6% ATHENS WATER SUPPLY & SEWAGE 3,8% Energy 10,8% SA 3,6% Utilities 8,4% SA 3,6% Technology 0,9% Funds 0,5% Total 10 Holdings 42,7% Communications 0,1% Total 20 Holdings 75,6% Total Number Of Holdings 36 Country Exposure Currency Exposure

GREECE 86,6% EUR 100% 3,6%

*Due to the Banking Holidays and the following restrictions, during the 29th of June and the 31st of July 2015, no comparison has been made between the performance of the Mutual Fund and the Benchmark for the period 30.06.2015 to 06.30.2016 (1 year). The Mutual Fund 's net asset value is possible to have high volatility due to its portfolio composition. Further information about this Mutual Fund, copies of this document, the Regulation, the Key Investor Information Document (KIID), the Prospectus, the Annual and Semi-Annual Report are available free of charge in Greek from the Management Company, the network and are available free of charge in Greek on the website of NBG Asset Management MFMC: www.nbgam.gr. Note that the units of the Mutual Fund are distributed in Greece. Furthermore, this document, Key Investor Information Documents (KIID) and Prospectus are available free of charge in English on the website of NBG Asset Management MFMC: www.nbgam.gr. The material herein is for informational purposes only and does not substitute the mutual funds’ full documentation. Under no circumstances should this information be considered as an offer to sell or a solicitation to buy any security or other financial instrument and under no circumstances should the contents of this document be considered as investment advice, investment research, financial analysis or other form of general recommendation relating to transactions in financial instruments.

UCITS DO NOT HAVE GUARANTEED RETURNS AND PAST PERFORMANCE DOES NOT GUARANTEE FUTURE RETURNS