Allfunds, piattaforma WealthTech B2B attiva nell'industria dei fondi con 1,5 mila miliardi di euro di asset under administration, ha nominato Pascal Duval a aenior advisor per la Francia e il...
Variazione % a 12, 36 e 60 mesi degli indici Fideuram di categoria
Categoria | 12 mesi | 36 mesi | 60 mesi | Rischio | Trend breve | Trend medio | Trend lungo |
---|---|---|---|---|---|---|---|
Azionari Italia | 17,79 | 36,50 | 52,44 | 15,67 % | |||
Azionari area euro | 9,17 | 17,13 | 38,29 | 15,05 % | |||
Azionari Europa | 9,86 | 15,06 | 35,69 | 13,51 % | |||
Azionari America | 27,63 | 45,35 | 86,03 | 15,56 % | |||
Azionari Pacifico | 14,78 | 9,03 | 17,78 | 13,24 % | |||
Azionari paesi emergenti | 15,13 | -1,21 | 10,54 | 14,22 % | |||
Azionari internazionali | 20,05 | 33,91 | 61,20 | 12,95 % |
Categoria | 12 mesi | 36 mesi | 60 mesi | Rischio | Trend breve | Trend medio | Trend lungo |
---|---|---|---|---|---|---|---|
Bilanciati bilanciati | 9,18 | 8,23 | 16,71 | 7,42 % | |||
Bilanciati obbligazionari | 6,76 | 5,07 | 8,68 | 5,66 % | |||
Obbligazionari misti | 4,25 | -2,39 | -1,56 | 5,14 % | |||
Obbl euro gov medio/lungo ter. | 1,54 | -10,24 | -11,59 | 6,20 % | |||
Obbl paesi emergenti | 8,35 | -3,12 | -9,59 | 8,06 % | |||
Obbl internaz govern | 2,44 | -8,65 | -11,20 | 6,02 % | |||
Obbligazionari area dollaro | 7,24 | 12,04 | 9,03 | 6,79 % |
Categoria | 12 mesi | 36 mesi | 60 mesi | Rischio | Trend breve | Trend medio | Trend lungo |
---|---|---|---|---|---|---|---|
Obbl euro gov breve ter. | 3,94 | 3,99 | 4,45 | 1,76 % | |||
Obbl euro corp invest grade | 4,24 | -3,65 | -5,14 | 4,82 % | |||
Obbl altre specializzaz | 4,68 | -0,09 | 0,07 | 3,65 % | |||
Obbl flessibili | 4,40 | 3,04 | 1,22 | 3,04 % |
Descrizione | Quot. | Perf.12m |
---|---|---|
Fonditalia Euro Fina | 10,583 | 30,881% |
Fonditalia Euro Fina | 9,441 | 29,898% |
Interf Int Sec New E | 231,877 | 28,071% |
Fonditalia Eq. USA B | 14,929 | 26,829% |
Anima Iniz Italia Y | 15,137 | 26,447% |
Anima Iniziativa Ita | 15,319 | 26,134% |
Interf Equity USA H | 17,134 | 25,285% |
Anima Italia F EUR | 46,397 | 24,955% |
Anima Iniz Italia AP | 14,053 | 24,893% |
Anima Iniziativa Ita | 14,317 | 24,876% |
Anima Iniziativa Ita | 11,180 | 24,872% |
Allianz Az. America | 55,509 | 24,627% |
Fonditalia Eq. USA B | 41,473 | 23,963% |
Anima Italia A EUR | 41,590 | 23,842% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Perf.12m |
---|---|---|
Epsilon US Equity Va | 6,406 | 19,270% |
Arca Bond Paesi Emer | 18,928 | 18,086% |
Arca Bd P Emergenti | 17,961 | 17,262% |
Symphonia Obb Rend P | 6,715 | 15,676% |
AcomeA Breve Termine | 16,645 | 15,382% |
AcomeA B. Termine Q2 | 16,361 | 15,210% |
Symphonia Obb Rend I | 6,530 | 15,208% |
AcomeA Breve Termine | 15,820 | 14,896% |
Symphonia Obbl Rend | 6,156 | 14,488% |
Eurom Pictet Emergin | 4,712 | 14,230% |
Amundi Ob P Em Dis B | 5,126 | 14,183% |
Amundi Obbl P Em Di | 10,140 | 14,080% |
Interf Bond Glb Em M | 14,450 | 14,013% |
Fonditalia Fin Credi | 10,244 | 13,738% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Perf.12m |
---|---|---|
Euromobiliare Flessi | 5,639 | 16,029% |
Eurizon Progetto Ita | 8,011 | 15,516% |
Eurizon Progetto Ita | 7,999 | 15,492% |
Euregio+ Gen Dynamic | 148,039 | 15,290% |
Anima Bil Megatr Peo | 6,322 | 14,281% |
Azimut Trading | 1,741 | 14,239% |
Anima Bil Megatr Peo | 6,326 | 14,188% |
Arca Oxygen Plus 60 | 5,339 | 14,057% |
Sella Inv Bil Int C | 25,843 | 14,032% |
Euregio+ Gen Dynamic | 136,112 | 13,931% |
Euregio+ Gen Dynamic | 135,673 | 13,929% |
Sella Bil Ambiente C | 9,914 | 13,465% |
Amundi Elite M Asset | 5,352 | 13,465% |
Anima Bil Megatr Peo | 6,141 | 13,428% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Perf.12m |
---|---|---|
Euromobiliare Digita | 6,172 | 22,899% |
Euromobiliare Fless | 8,220 | 19,930% |
Eurom Next Gen ESG A | 5,084 | 18,896% |
Eurom Pictet Action | 6,024 | 18,723% |
Mediolanum Fles Fut | 35,614 | 18,429% |
Azimut Trend America | 28,212 | 18,091% |
Euromobiliare Pictet | 5,918 | 17,818% |
Arca Opport Glob 202 | 6,190 | 17,815% |
Arca Opport Glob 202 | 6,169 | 17,774% |
Mediolanum Fles Fut | 33,200 | 17,489% |
Arca Opport Glob 202 | 6,054 | 17,235% |
Arca Opport Glob 202 | 6,035 | 17,184% |
Euromobiliare Cities | 6,268 | 16,810% |
Euromobiliare Flessi | 5,835 | 16,467% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Perf.12m |
---|---|---|
Fideuram Risp Attivo | 14,026 | 4,027% |
Anima Liquid Euro FM | 51,556 | 3,684% |
Anima Liq Euro IM Ca | 51,277 | 3,584% |
Eurizon Tesoreria Eu | 15,425 | 3,572% |
Eurizon Tesoreria Eu | 15,426 | 3,572% |
Anima Liq Euro AM Ca | 50,726 | 3,377% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Perf.12m |
---|---|---|
BGF World Technology | 24,200 | 38,049% |
Janus Hend Hor Glb T | 109,560 | 37,379% |
INVESCO India Equity | 110,890 | 37,155% |
Janus Hend Gl Tech I | 25,350 | 35,489% |
BGF World Technology | 87,860 | 34,734% |
JPM Global Growth EU | 18,840 | 34,668% |
BNP Paribas Nordic S | 252,350 | 34,608% |
Franklin Gold and Pr | 5,400 | 33,995% |
BGF World Technology | 78,200 | 33,721% |
JPM Global Growth EU | 15,930 | 33,417% |
JPM Global Growth EU | 14,350 | 33,336% |
Schroder ISF Emergin | 33,789 | 33,134% |
BGF World Technology | 70,260 | 33,068% |
Invesco Gl Founders | 18,560 | 33,047% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Perf.12m |
---|---|---|
Amundi F. Global Sub | 5,469 | 22,486% |
Neu.Berman Em. M Deb | 7,330 | 18,779% |
KIS Financial Incom | 140,540 | 18,519% |
Aberd Frontier Mkts | 15,100 | 17,699% |
BGF Emerging Markets | 7,580 | 17,250% |
BGF Emerging Markets | 10,440 | 17,172% |
EIS Euro Eq. Ins Cap | 669,930 | 16,991% |
Candriam Bonds Em Mk | 1.436,460 | 16,742% |
Candriam Bonds Emerg | 1.255,270 | 16,731% |
KIS Financial Incom | 124,550 | 16,631% |
Kairos Int. Financia | 125,880 | 16,620% |
MS Emerg Mkts Debt A | 59,140 | 16,578% |
Kairos Int. Financia | 124,610 | 16,512% |
Kairos Int. Financia | 126,670 | 16,318% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Perf.12m |
---|---|---|
Algebris Financial I | 116,090 | 21,193% |
Janus Balanc Fund I | 27,180 | 18,794% |
JWF Balanced Fund A | 39,310 | 17,589% |
Janus Hend. Balanced | 11,050 | 17,219% |
Franklin Global Fund | 8,720 | 15,192% |
BGF Global Allocatio | 50,910 | 15,181% |
Raiffeisen Dachfonds | 233,480 | 15,015% |
CT(Lux) Gl Asset All | 28,424 | 14,772% |
GS V Patr Aggr X Cap | 1.082,740 | 14,765% |
Allianz Dyn M Asset | 1.713,320 | 14,740% |
Eurofundlux Equity I | 17,006 | 14,712% |
ING Direct Pr. Dinam | 110,280 | 14,600% |
Eurizon Manager Fund | 245,660 | 14,591% |
Franklin Global Fund | 7,350 | 14,486% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Perf.12m |
---|---|---|
Eurofundlux Green St | 12,940 | 22,099% |
BSF Systematic Globa | 183,380 | 21,123% |
Eurofundlux Green St | 12,109 | 20,668% |
BSF Syst. Gl Eq Abs | 109,760 | 19,538% |
BSF Systematic Globa | 226,510 | 18,648% |
Invesco Sustainable | 12,899 | 17,637% |
Invesco Sustainable | 12,619 | 17,162% |
Dnca Invest Evolutif | 236,940 | 16,823% |
Fidelity Target TM 2 | 48,890 | 16,544% |
Fidelity Target TM 2 | 49,860 | 16,539% |
Fidelity Target TM 2 | 51,510 | 16,539% |
Fidelity Target TM 2 | 47,340 | 16,533% |
GIS World Equity DX | 232,134 | 16,492% |
AZ F.1 Equity Americ | 5,940 | 16,425% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Perf.12m |
---|---|---|
Nordea 1 Swedish ShT | 18,164 | 11,121% |
Nordea 1 Swedish ShT | 15,572 | 10,293% |
Nordea 1 Balanced In | 112,484 | 8,562% |
Nordea 1 Balanced In | 102,409 | 7,753% |
Amundi ABS I EUR | 273.976,270 | 6,818% |
AZ F.1 Bd In Dyn A-A | 6,429 | 5,879% |
AZ F.1 Bd In Dyn B-A | 6,430 | 5,879% |
Vontobel Euro Short | 76,850 | 4,988% |
Vontobel Euro Short | 138,230 | 4,982% |
DWS Euro Ultra S Fix | 80,970 | 4,856% |
PIMCO Euro Short Ter | 12,750 | 4,852% |
DWS Floating Rate No | 81,810 | 4,674% |
Invesco Euro Ultra-S | 345,162 | 4,396% |
CoRe Series CoRe Cas | 5,126 | 4,378% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Perf.36m |
---|---|---|
Fonditalia Euro Fina | 10,583 | 57,415% |
Fonditalia Euro Fina | 9,441 | 53,913% |
Anima Italia F EUR | 46,397 | 53,526% |
Anima Italia A EUR | 41,590 | 49,346% |
Anima Italia AD | 32,980 | 48,958% |
Anima Italia B | 39,980 | 48,310% |
Anima Italia BD | 31,687 | 47,964% |
Euromobiliare Az Ita | 10,627 | 44,762% |
Anima Iniz Italia Y | 15,137 | 42,991% |
Fideuram Italia R | 78,593 | 42,539% |
Allianz Az It All St | 9,120 | 42,145% |
Eurizon Az En Mat Pr | 16,716 | 42,107% |
Anima Iniziativa Ita | 15,319 | 41,790% |
Eurizon Azioni Itali | 31,859 | 41,269% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Perf.36m |
---|---|---|
Anima Riserva Dollar | 6,423 | 15,356% |
Anima Riserva Dollar | 6,352 | 15,052% |
Anima Riserva Dollar | 6,138 | 14,026% |
Interfund Em Market | 13,063 | 12,013% |
Eurizon Obb Dollaro | 15,981 | 11,896% |
Fonditalia Em Mark L | 11,308 | 11,015% |
Fonditalia Em Mark L | 10,618 | 9,929% |
Fonditalia Em Mark L | 6,900 | 9,890% |
Eurizon Obbl Usd 5/2 | 5,760 | 9,236% |
Eurizon Obbl Usd 5/2 | 5,233 | 9,223% |
Alpi Soluz Prudente A | 8,660 | 8,986% |
Euromob Corp Euro H | 5,848 | 8,296% |
Amundi Ob Gl HYield | 5,324 | 7,660% |
Amundi Ob Gl HiYield | 5,316 | 7,304% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Perf.36m |
---|---|---|
Euregio+ Gen Dynamic | 148,039 | 22,907% |
Eurizon Progetto Ita | 8,011 | 18,629% |
Euregio+ Gen Dynamic | 135,673 | 18,566% |
Euregio+ Gen Dynamic | 136,112 | 18,563% |
Eurizon Progetto Ita | 7,999 | 18,556% |
Euromobiliare Flessi | 5,639 | 13,119% |
Fideuram Bilanciato | 19,113 | 13,041% |
Fideuram Piano Bil I | 13,820 | 12,596% |
Fideuram Piano Bilan | 13,856 | 12,595% |
Fideuram Piano Bil I | 13,856 | 12,595% |
Gen Alto Bilanciato | 23,861 | 12,308% |
Sella Inv Bil Int C | 25,843 | 11,773% |
Mediob MFS Prudent C | 5,610 | 11,243% |
Gen Alto Bilanciato | 17,032 | 9,955% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Perf.36m |
---|---|---|
Mediolanum Fles Fut | 35,614 | 27,754% |
Azimut Trend America | 28,212 | 24,628% |
Mediolanum Fles Fut | 33,200 | 24,247% |
Azimut Trend Italia | 29,964 | 21,765% |
Euromobiliare Fless | 8,220 | 19,651% |
Open Capital Opportu | 128,233 | 17,524% |
Symphonia Azion Tren | 18,317 | 16,595% |
Azimut Trend | 57,483 | 15,917% |
Investi Piazza Affari | 7,755 | 15,746% |
Euromobiliare Gl Equ | 5,096 | 15,644% |
Consultinvest Alto D | 7,058 | 15,233% |
Consultinvest Alto D | 4,534 | 15,158% |
Consultinvest Alto D | 5,318 | 14,686% |
Consultinvest Alto D | 2,989 | 14,534% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Perf.36m |
---|---|---|
Anima Liquid Euro FM | 51,556 | 4,525% |
Anima Liq Euro IM Ca | 51,277 | 4,211% |
Eurizon Tesoreria Eu | 15,426 | 4,195% |
Eurizon Tesoreria Eu | 15,425 | 4,181% |
Anima Liq Euro AM Ca | 50,726 | 3,592% |
Fideuram Risp Attivo | 14,026 | -1,551% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Perf.36m |
---|---|---|
HSBC GIF Turkey Conv | 57,084 | 197,003% |
HSBC GIF Turkey Conv | 52,391 | 192,573% |
BNP Paribas Turkey E | 308,260 | 159,828% |
BNP Paribas Turkey E | 268,500 | 154,045% |
GS III Gl. Env Trn E | 1.042,760 | 90,514% |
BGF World Energy Fun | 25,690 | 84,687% |
BGF World Energy CL | 22,340 | 80,452% |
BGF World Energy CL | 19,880 | 77,818% |
Schroder ISF Global | 15,785 | 74,582% |
BGF World Energy Fun | 16,670 | 73,827% |
Algebris Financial E | 226,500 | 71,021% |
Algebris Financial E | 196,450 | 65,963% |
Franklin Natural Res | 8,730 | 65,655% |
BGF World Energy (Eu | 6,890 | 63,270% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Perf.36m |
---|---|---|
EIS Euro Eq. Ins Cap | 669,930 | 27,429% |
AZ F.1 International | 6,679 | 22,125% |
SISF US Dollar Liqui | 127,930 | 16,034% |
UBS Fund Mgmt (Luxem | 116,200 | 14,970% |
Fidelity Glb Sh Dur | 7,655 | 14,600% |
Fidelity Glb Sh Dur | 12,250 | 14,593% |
Fidelity Glb Sh Dur | 8,920 | 14,560% |
BNY Mellon Abs. Ret | 120,700 | 14,372% |
Algebris Glb Cr Opp | 147,820 | 13,629% |
Fidelity Glb Sh Dur | 7,656 | 13,558% |
Mellon Euro Glb High | 3,158 | 12,528% |
Algebris Glb Cr Opp | 116,580 | 12,248% |
Algebris Glb Cr Opp | 143,240 | 12,003% |
Amundi Star 2 I2 EUR | 251.822,150 | 11,925% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Perf.36m |
---|---|---|
Algebris Financial I | 116,090 | 26,218% |
AZ F.1 Allocation Ba | 8,518 | 21,391% |
AZ F.1 Allocation Ba | 8,506 | 21,237% |
Eurofundlux Equity I | 17,006 | 16,336% |
CoRe S Core Tgt Allo | 7,354 | 15,884% |
CoRe S Core Tgt Allo | 7,676 | 15,864% |
CoRe S Core Tgt Allo | 7,583 | 15,824% |
CoRe S Core Tgt Allo | 7,514 | 15,689% |
Templeton Glb Balanc | 34,580 | 13,451% |
M&G (Lux) Global Tar | 11,670 | 12,854% |
Templeton Glb Balanc | 23,340 | 11,728% |
AZ F.1 Allocation Co | 6,130 | 11,617% |
AZ F.1 Allocation Co | 6,135 | 11,606% |
Allianz Dyn M Asset | 1.713,320 | 10,721% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Perf.36m |
---|---|---|
BSF Systematic Globa | 226,510 | 23,237% |
AZ F.1 International | 6,678 | 22,106% |
BSF System St Fact E | 116,960 | 20,329% |
GIS World Equity DX | 232,134 | 18,669% |
BSF Syst. Gl Eq Abs | 109,760 | 16,210% |
Kairos Int. Patriot | 181,610 | 15,867% |
Dnca Invest Evolutif | 236,940 | 14,171% |
GS III Alt Beta X Ca | 504,900 | 13,883% |
Fidelity Target TM 2 | 21,800 | 13,129% |
Fidelity Target TM 2 | 21,780 | 13,084% |
Fidelity Target TM 2 | 49,860 | 12,422% |
Fidelity Target TM 2 | 51,510 | 12,418% |
Dnca Invest Eurose I | 204,160 | 12,417% |
LUX IM ESG Flex Gl E | 137,894 | 12,326% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Perf.36m |
---|---|---|
CH Liquidity US Doll | 5,174 | 12,772% |
CH Liquidity US Doll | 10,264 | 12,421% |
AZ F1 Alt Cap En A-A | 6,306 | 9,365% |
DWS Floating Rate No | 81,810 | 6,682% |
PIMCO Euro Short Ter | 12,750 | 6,339% |
Amundi Euro Liq-Rtd | 1.108.188,115 | 6,203% |
BNP Paribas InstiCas | 145,717 | 5,993% |
Abrdn LF (Lux) Euro | 10,357 | 5,962% |
Abrdn LF (Lux) Euro | 1.119,518 | 5,903% |
Abrdn LF (Lux) Euro | 1.262,413 | 5,876% |
Pictet-S-T Money M E | 145,123 | 5,875% |
Abrdn LF (Lux) Euro | 460,462 | 5,800% |
DWS I ESG Euro Money | 14.569,250 | 5,773% |
GS VI Liquid Euro A | 1.284,100 | 5,765% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Volatilità |
---|---|---|
Anima Tesoreria FM | 52,677 | 0,509% |
Anima Ob Emerg.Mkt A | 16,426 | 3,175% |
OTF European Equity R | 104,985 | 4,713% |
OTF European Equity L | 105,267 | 4,715% |
Gestielle Europa | 8,985 | 4,991% |
Bancoposta Azion Fle | 5,916 | 5,130% |
Anima Quant Gl AD Dis | 5,298 | 5,608% |
Anima Obiettivo Int A | 23,976 | 5,616% |
Mediobanca P N Cons | 5,104 | 7,423% |
Mediobanca Pictet Ne | 5,011 | 7,570% |
Mediobanca P N Cons | 5,197 | 7,694% |
Investitori Longevit | 6,490 | 8,211% |
Investitori Longevit | 6,538 | 8,219% |
Fonditalia Eq Global | 11,362 | 8,444% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Volatilità |
---|---|---|
Epsilon Protez 1 Ann | 5,100 | 0,396% |
Epsilon Prot 1 Anno | 5,083 | 0,401% |
Epsilon Prot Plus 1 | 5,134 | 0,462% |
Epsilon Protetto Plu | 5,179 | 0,469% |
Epsilon Protez 1 Ann | 5,070 | 0,491% |
Epsilon Prot Plus 1 | 5,155 | 0,495% |
Epsilon Pr Plus 1 An | 5,153 | 0,496% |
Anima Reddito Flessi | 5,155 | 0,498% |
Anima Reddito Flessi | 5,155 | 0,498% |
Fondersel Sh Term As | 102,861 | 0,503% |
Anima Reddito Flessi | 5,169 | 0,516% |
Anima Reddito Flessi | 5,179 | 0,527% |
Acomea Risparmio A1 | 5,242 | 0,528% |
Epsilon Italy Bond S | 6,546 | 0,529% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Volatilità |
---|---|---|
Anima Fondo Imprese | 4,958 | 2,942% |
Finint Econ Reale It | 544,951 | 3,335% |
Finint Economia Real | 540,199 | 3,349% |
Finint Economia Real | 540,199 | 3,349% |
Arca Econ Reale Bil | 5,286 | 3,474% |
Arca Econ.Reale Bil | 5,282 | 3,493% |
BancoPosta Focus Ben | 5,045 | 3,497% |
Eurizon Progetto Ita | 5,777 | 3,844% |
BancoPosta Focus Ben | 4,948 | 3,863% |
Eurizon Progetto Ita | 5,783 | 3,863% |
Investiper SPAC 10 | 5,683 | 3,905% |
Sella Bil Az R-co Va | 10,801 | 4,200% |
Anima Vespuci R | 4,984 | 4,200% |
Anima Vespucci RD Dis | 4,746 | 4,202% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Volatilità |
---|---|---|
Epsilon Progressione | 5,083 | 0,557% |
Eurizon Investi Prot | 5,036 | 0,587% |
Euromobiliare Obiet | 5,070 | 0,814% |
Investiper Cedola 12 | 5,034 | 0,953% |
Epsilon Dif 100 Ris | 5,149 | 1,136% |
Epsilon Difesa 100 R | 5,124 | 1,290% |
Fonditalia Flex Euro | 8,015 | 1,301% |
Eurom Obiettivo 2030 | 5,543 | 1,312% |
Fonditalia Flex Euro | 8,719 | 1,323% |
Eurizon Val Obbl 3 a | 5,211 | 1,365% |
Eurizon Val Obbl 3 a | 5,210 | 1,373% |
Eurizon Obb Euro Cor | 8,479 | 1,490% |
EurizAM Goal | 5,086 | 1,507% |
Consultinvest Reddit | 5,124 | 1,662% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Volatilità |
---|---|---|
Anima Liq Euro AM Ca | 50,726 | 0,474% |
Anima Liq Euro IM Ca | 51,277 | 0,500% |
Eurizon Tesoreria Eu | 15,425 | 0,506% |
Eurizon Tesoreria Eu | 15,426 | 0,506% |
Anima Liquid Euro FM | 51,556 | 0,513% |
Fideuram Risp Attivo | 14,026 | 1,505% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Volatilità |
---|---|---|
MUZ Em. Mkt Short Du | 100,100 | 1,997% |
MUZ Em. Mkt Short Du | 104,700 | 2,032% |
MUZ Em. Mkt Short Du | 112,000 | 2,048% |
BSF Global Event Dri | 136,890 | 4,730% |
BSF Global Event Dri | 112,570 | 4,797% |
JPM Global Gov Bond | 86,880 | 5,156% |
BSF Syst. Asia Pacif | 154,450 | 5,348% |
SISF Europ Alpha Abs | 93,585 | 6,096% |
SISF Europ Alpha Abs | 93,042 | 6,101% |
SISF European Alpha | 85,391 | 6,151% |
SISF European Alpha | 93,603 | 6,151% |
SISF European Alpha | 81,302 | 6,159% |
BG C. I. Vontobel Gl | 172,536 | 6,201% |
JPM Europe Eq. Absol | 132,040 | 6,494% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Volatilità |
---|---|---|
Sisf Euro Liquidity | 120,699 | 0,519% |
Sisf Euro Liquidity | 116,915 | 0,519% |
Sisf Euro Liquidity | 122,505 | 0,519% |
Sisf Euro Liquidity | 128,748 | 0,522% |
DWS Vorsorge Geld LC | 138,460 | 0,535% |
TM Euro Fixed Income | 11,549 | 0,566% |
TM Euro Fixed Income | 8,880 | 0,567% |
TM Euro Fixed Income | 4,610 | 0,583% |
TM Euro Fixed Income | 6,033 | 0,586% |
FF Euro Bond Short T | 12,327 | 0,638% |
LUX IM VER Capital S | 105,087 | 0,654% |
LUX IM VER Capital S | 105,127 | 0,655% |
Eurofundlux Floating | 12,113 | 0,715% |
GIS Euro Short Term | 125,319 | 0,722% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Volatilità |
---|---|---|
LUX IM Dama DXL Cap | 100,811 | 2,220% |
Allianz Gl Multi-A C | 101,740 | 2,295% |
AZ F.1 Bond Target 2 | 5,234 | 3,000% |
AZ F.1 Bond Target 2 | 5,234 | 3,001% |
AZ F.1 Bond Tt 2026 | 5,560 | 3,006% |
AZ F.1 Bond Target 2 | 5,560 | 3,010% |
CoRe S CoRe Global C | 4,977 | 3,146% |
New Millennium Marke | 110,260 | 3,371% |
New Millennium Marke | 122,950 | 3,423% |
GAM Multi Asset Stra | 107,895 | 3,566% |
GAM Multi Asset Stra | 5,803 | 3,567% |
Mediolanum BB Pre Co | 12,298 | 3,704% |
Mediolanum BB Premiu | 6,443 | 3,707% |
Carmignac Abs Ret Eu | 422,120 | 3,810% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Volatilità |
---|---|---|
Fidelity Target TM 2 | 40,300 | 0,476% |
Fidelity Target TM 2 | 14,570 | 0,484% |
CH Provident 5-Med P | 10,070 | 0,524% |
Candriam Index Arbit | 1.499,930 | 0,988% |
Candriam Index Arbit | 167,200 | 0,996% |
Amundi F. Abs Return | 92,180 | 1,203% |
Amundi F. Abs Return | 99,110 | 1,215% |
Amundi F. Abs Return | 97,460 | 1,221% |
Amundi F. Abs Return | 1.047,550 | 1,241% |
Amundi F. Abs Return | 103,640 | 1,245% |
Candriam Risk Arbitr | 2.603,270 | 1,655% |
Candriam Risk Arbitr | 1.577,370 | 1,662% |
Carmignac S AW EUR Y | 97,840 | 1,800% |
Carmignac S AW EUR A | 1.853,210 | 1,804% |
Elaborazioni aggiornate al 18/09/2024
Descrizione | Quot. | Volatilità |
---|---|---|
JPM EUR Money Market | 110,560 | 0,450% |
UBS (Lux) Money Mkt | 855,410 | 0,480% |
Anima Liquidity Silv | 5,376 | 0,484% |
Inst. Euro Liquidity | 105,860 | 0,484% |
Anima Liquidity A EUR | 6,348 | 0,485% |
Amundi F. Cash EUR F | 102,800 | 0,487% |
Pictet-Sovereign Sho | 101,455 | 0,487% |
JPM EUR Money Market | 109,900 | 0,488% |
Carmignac Court Term | 3.891,250 | 0,489% |
Epsilon F Euro Cash | 110,660 | 0,490% |
Amundi Euro Liq Sh T | 1.027,587 | 0,490% |
CH Liquidity Euro-Me | 12,742 | 0,491% |
Amundi F. Cash EUR G | 103,130 | 0,492% |
Amundi F. Cash EUR A | 98,100 | 0,493% |
Elaborazioni aggiornate al 18/09/2024