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
119,24 €
27/8/2026
27.496,38
27/8/2026
-
1
Art. 8
1,42%
27/8/2026
2,15%
27/8/2026
9,34%
27/8/2026
11,26%
27/8/2026
14.734,54 €
27/8/2026
2.012,82
27/8/2026
-
1
Art. 8
1,40%
27/8/2026
2,10%
27/8/2026
9,16%
27/8/2026
11,03%
27/8/2026
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
175,26 €
26/8/2026
60,60
26/8/2026
-
2
Art. 6
4,08%
26/8/2026
2,44%
26/8/2026
6,95%
26/8/2026
21,00%
26/8/2026
117,38 €
26/8/2026
446,70
26/8/2026
-
4
Art. 8
2,35%
26/8/2026
3,55%
26/8/2026
23,22%
26/8/2026
2,03%
26/8/2026
147,37 €
26/8/2026
360,15
26/8/2026
-
5
Art. 8
29,15%
26/8/2026
36,06%
26/8/2026
-
-
151,61 €
26/8/2026
360,15
26/8/2026
5
Art. 8
30,34%
26/8/2026
37,98%
26/8/2026
-
-
144,77 €
26/8/2026
360,15
26/8/2026
-
5
Art. 8
28,29%
26/8/2026
34,69%
26/8/2026
-
-
151,85 €
26/8/2026
360,15
26/8/2026
5
Art. 8
30,39%
26/8/2026
38,13%
26/8/2026
-
-
150,23 €
26/8/2026
360,15
26/8/2026
5
Art. 8
29,96%
26/8/2026
37,37%
26/8/2026
-
-
 
10