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
126,29 €
23/9/2026
331,99
23/9/2026
3
Art. 8
6,22%
23/9/2026
5,87%
23/9/2026
2,46%
23/9/2026
-10,44%
23/9/2026
107,36 USD
23/9/2026
331,99
23/9/2026
-
4
Art. 8
3,11%
23/9/2026
2,33%
23/9/2026
9,61%
23/9/2026
-13,10%
23/9/2026
115,95 €
23/9/2026
331,99
23/9/2026
3
Art. 8
5,44%
23/9/2026
4,81%
23/9/2026
-0,57%
23/9/2026
-14,82%
23/9/2026
101,88 USD
23/9/2026
331,99
23/9/2026
-
4
Art. 8
2,36%
23/9/2026
1,30%
23/9/2026
6,36%
23/9/2026
-17,30%
23/9/2026
136.165,12 €
23/9/2026
331,99
23/9/2026
3
Art. 8
6,98%
23/9/2026
6,92%
23/9/2026
5,40%
23/9/2026
-6,39%
23/9/2026
111,21 €
23/9/2026
331,99
23/9/2026
-
3
Art. 8
6,94%
23/9/2026
6,85%
23/9/2026
5,27%
23/9/2026
-6,52%
23/9/2026
125,96 USD
23/9/2026
331,99
23/9/2026
-
3
Art. 8
3,88%
23/9/2026
3,36%
23/9/2026
12,82%
23/9/2026
-9,06%
23/9/2026
132,40 €
23/9/2026
331,99
23/9/2026
-
3
Art. 8
6,90%
23/9/2026
6,80%
23/9/2026
4,97%
23/9/2026
-7,02%
23/9/2026
-
3
Art. 8
-
-
-
-
116,22 €
23/9/2026
331,99
23/9/2026
3
Art. 8
5,72%
23/9/2026
5,20%
23/9/2026
0,48%
23/9/2026
-13,42%
23/9/2026
 
10