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
Codice ISIN FR0010599399
119,40 €
17/9/2026
26.037,49
17/9/2026
-
1
Art. 8
1,56%
17/9/2026
2,17%
17/9/2026
9,25%
17/9/2026
11,45%
17/9/2026
14.754,26 €
17/9/2026
1.971,18
17/9/2026
-
1
Art. 8
1,54%
17/9/2026
2,12%
17/9/2026
9,08%
17/9/2026
11,22%
17/9/2026
Codice ISIN FR0011052844
19.726,28 €
29/1/2026
37,10
29/1/2026
-
4
Art. 8
1,92%
29/1/2026
13,94%
29/1/2026
39,22%
29/1/2026
63,98%
29/1/2026
Codice ISIN FR0010838722
175,73 €
16/9/2026
47,11
16/9/2026
-
2
Art. 6
-
-
-
-
114,99 €
16/9/2026
427,98
16/9/2026
-
4
Art. 8
0,27%
16/9/2026
1,57%
16/9/2026
19,43%
16/9/2026
0,82%
16/9/2026
147,47 €
16/9/2026
351,11
16/9/2026
-
5
Art. 8
29,23%
16/9/2026
30,63%
16/9/2026
-
-
152,07 €
16/9/2026
351,11
16/9/2026
5
Art. 8
30,73%
16/9/2026
32,67%
16/9/2026
-
-
144,98 €
16/9/2026
351,11
16/9/2026
-
5
Art. 8
28,47%
16/9/2026
29,49%
16/9/2026
-
-
152,32 €
16/9/2026
351,11
16/9/2026
5
Art. 8
30,79%
16/9/2026
32,83%
16/9/2026
-
-
150,35 €
16/9/2026
351,11
16/9/2026
5
Art. 8
30,06%
16/9/2026
31,84%
16/9/2026
-
-
 
10