I nostri fondi

Nome del fondo
Valore quota (NAV)Patrimonio in gestione (milioni)Report mensilePRIIPS KIDSRISostenibilità (Classificazione SFDR) (1)Performance nette cumulate
YTD
1 anno
3 anni
5 anni
1.610,08 €
2/10/2026
754,46
2/10/2026
4
Art. 8
1,55%
1/10/2026
4,44%
1/10/2026
13,98%
1/10/2026
1,81%
1/10/2026
1.535,56 USD
2/10/2026
754,46
2/10/2026
4
Art. 8
-2,60%
1/10/2026
0,17%
1/10/2026
22,33%
1/10/2026
-1,03%
1/10/2026
1.535,13 USD
2/10/2026
754,46
2/10/2026
-
4
Art. 8
2,69%
1/10/2026
6,16%
1/10/2026
19,13%
1/10/2026
10,57%
1/10/2026
1.468,29 €
2/10/2026
754,46
2/10/2026
4
Art. 8
0,79%
1/10/2026
3,40%
1/10/2026
10,62%
1/10/2026
-2,94%
1/10/2026
148,49 €
2/10/2026
754,46
2/10/2026
-
4
Art. 8
2,23%
1/10/2026
5,36%
1/10/2026
16,78%
1/10/2026
6,36%
1/10/2026
-
4
Art. 8
-
-
-
-
158,08 €
2/10/2026
754,46
2/10/2026
-
4
Art. 8
2,05%
1/10/2026
5,12%
1/10/2026
16,22%
1/10/2026
5,21%
1/10/2026
128,21 €
2/10/2026
754,46
2/10/2026
4
Art. 8
1,06%
1/10/2026
3,76%
1/10/2026
11,79%
1/10/2026
-1,43%
1/10/2026
Codice ISIN LU1103786700
1.688,02 €
1/10/2026
111,93
1/10/2026
4
Art. 8
-0,79%
1/10/2026
2,99%
1/10/2026
24,38%
1/10/2026
14,07%
1/10/2026
Codice ISIN LU1291159710
1.386,35 €
1/10/2026
111,93
1/10/2026
4
Art. 8
-1,56%
1/10/2026
1,93%
1/10/2026
20,67%
1/10/2026
8,47%
1/10/2026
 
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