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
2.563,64 €
23/9/2026
2.793,85
23/9/2026
5
Art. 8
21,48%
23/9/2026
23,22%
23/9/2026
69,43%
23/9/2026
17,03%
23/9/2026
210,74 €
23/9/2026
2.793,85
23/9/2026
-
5
Art. 8
17,55%
23/9/2026
18,81%
23/9/2026
74,29%
23/9/2026
10,52%
23/9/2026
222,33 €
23/9/2026
2.793,85
23/9/2026
5
Art. 8
21,14%
23/9/2026
22,55%
23/9/2026
65,15%
23/9/2026
11,81%
23/9/2026
195,47 €
23/9/2026
2.793,85
23/9/2026
5
Art. 8
17,26%
23/9/2026
18,21%
23/9/2026
69,72%
23/9/2026
5,52%
23/9/2026
285.337,17 €
23/9/2026
2.793,85
23/9/2026
5
Art. 8
22,51%
23/9/2026
24,67%
23/9/2026
75,55%
23/9/2026
24,12%
23/9/2026
218,92 €
23/9/2026
2.793,85
23/9/2026
-
5
Art. 8
22,96%
23/9/2026
25,08%
23/9/2026
75,59%
23/9/2026
23,77%
23/9/2026
-
5
Art. 8
-
-
-
-
279,10 €
23/9/2026
2.793,85
23/9/2026
5
Art. 8
22,26%
23/9/2026
24,32%
23/9/2026
74,26%
23/9/2026
22,79%
23/9/2026
159,42 €
23/9/2026
2.793,85
23/9/2026
5
Art. 8
21,64%
23/9/2026
23,24%
23/9/2026
67,93%
23/9/2026
14,91%
23/9/2026
 
10