Categoria: BILANCIATI OBBLIGAZIONARI

Fondo Valore Var % Data
AZ F.1 EQ. ESCALATOR B CAP EUR 6,3690 0,14% Data29/12/2025
AZ F.1 EQ. ESCALATOR B DIS EUR 6,3300 0,15% Data29/12/2025
BANCOPOSTA FOCUS AMBIENTE 2027 5,1869 0,18% Data29/12/2025
BANCOPOSTA FOCUS AMBIENTE MARZO 2028 5,4732 0,19% Data29/12/2025
BANCOPOSTA FOCUS NUOVICONSUMI 2028 DIS 5,4391 0,12% Data29/12/2025
BANCOPOSTA FOCUS RILANCIO 2026 DIS 5,2450 0,14% Data29/12/2025
BANCOPOSTA FOCUS RILANCIO GIUGNO 2027 DIS 5,1971 0,14% Data29/12/2025
BANCOPOSTA MIX 2 A CAP 8,7610 0,15% Data29/12/2025
BANCOPOSTA MIX 2 D DIS 5,7168 0,15% Data29/12/2025
BANCOPOSTA RINASCIMENTO A 6,3710 0,09% Data29/12/2025
BANCOPOSTA RINASCIMENTO P 6,3720 0,09% Data29/12/2025
BASE INVESTMENTS SICAV FLEX LOW RISK EXP. CAP EUR 163,0700 0,22% Data29/12/2025
BGF EUROPEAN MULTI-ASSET INCOME AI2 CAP EUR 11,0200 0,18% Data30/12/2025
BGF EUROPEAN MULTI-ASSET INCOME AI5G DIS EUR 10,8411 0,24% Data30/12/2025
BGF EUROPEAN MULTI-ASSET INCOME E2 CAP EUR 10,7400 0,19% Data30/12/2025
BGF EUROPEAN MULTI-ASSET INCOME E5 DIS EUR 10,7298 0,26% Data30/12/2025
BGF EUROPEAN MULTI-ASSET INCOME E6 DIS EUR 10,6906 0,12% Data30/12/2025
BGF EUROPEAN MULTI-ASSET INCOME E9 DIS EUR 10,7450 0,13% Data30/12/2025
BNP PARIBAS SELECTION PRUDENT CLAS EUR 12,7700 -0,16% Data16/12/2025
BNP PARIBAS SUST. MULTI-ASSET STABILITY CLAS DIS EUR 244,7229 0,05% Data24/12/2025
BNP PARIBAS SUST. MULTI-ASSET STABILITY CLAS EUR 448,5400 0,05% Data24/12/2025
BNP PARIBAS SUST. MULTI-ASSET STABILITY CLAS SOL.BE EUR 115,7900 0,04% Data24/12/2025
BNP PARIBAS SUST. MULTI-ASSET STABILITY K CAP EUR 95,4300 0,04% Data24/12/2025
BNP PARIBAS SUST. MULTI-ASSET STABILITY N EUR 106,1000 0,05% Data24/12/2025
BSF EUROPEAN SELECT STRATEGIES AI2 CAP EUR 106,8900 0,07% Data30/12/2025
BSF EUROPEAN SELECT STRATEGIES E2 CAP EUR 110,4200 0,06% Data30/12/2025
BSF EUROPEAN SELECT STRATEGIES E5 DIS EUR 110,4191 0,05% Data30/12/2025
BSF MANAGED INDEX PTFS CONSERVATIVE E2 CAP EUR 114,5900 0,01% Data30/12/2025
BSF MANAGED INDEX PTFS DEFENSIVE E2 CAP EUR 99,4200 -0,01% Data30/12/2025
BUF MULTI ASSET CONSERVATIVE SEL. E CAP EUR 12,0100 Data29/12/2025
CANDRIAM L MULTI-ASSET INCOME C CAP EUR 163,6600 0,02% Data29/12/2025
CANDRIAM L MULTI-ASSET INCOME CQ DIS EUR 172,7209 0,02% Data29/12/2025
CANDRIAM L MULTI-ASSET INCOME N CAP EUR 0
CORE SERIES CORE BALANCED CONSERVATIVE B CAP EUR 4,8430 0,27% Data29/12/2025
CORE SERIES CORE BALANCED CONSERVATIVE E CAP EUR 5,1940 0,29% Data29/12/2025
CORE SERIES CORE BALANCED OPPORTUNITY B CAP EUR 5,1120 0,35% Data29/12/2025
CORE SERIES CORE BALANCED OPPORTUNITY E CAP EUR 6,0530 0,33% Data29/12/2025
CORE SERIES CORE GLOBAL CURRENCIES B CAP EUR 5,0930 0,02% Data29/12/2025
CORE SERIES CORE GLOBAL CURRENCIES E CAP EUR 5,0060 0,04% Data29/12/2025
CORE SERIES CORE TARGET ALL. 25 E CAP EUR 5,4590 0,37% Data29/12/2025
CORE SERIES CORE TARGET ALL. 25 II E CAP EUR 5,4160 0,35% Data29/12/2025
CORE SERIES CORE TARGET ALL. 25 III E CAP EUR 5,3370 0,34% Data29/12/2025
CORE SERIES CORE TARGET ALL. 25 IV E CAP EUR 5,3120 0,36% Data29/12/2025
CORE SERIES CORE TARGET ALL. 50 E CAP EUR 6,3760 0,54% Data29/12/2025
CORE SERIES CORE TARGET ALL. 50 II E CAP EUR 6,2380 0,53% Data29/12/2025
CORE SERIES CORE TARGET ALL. 50 III E CAP EUR 6,2160 0,52% Data29/12/2025
CORE SERIES CORE TARGET ALL. 50 IV E CAP EUR 6,2420 0,53% Data29/12/2025
CPR INVEST DEFENSIVE A EUR 1.014,7900 -0,03% Data29/12/2025
CPR INVEST DEFENSIVE F EUR 1.028,3500 -0,03% Data29/12/2025
DB (SIA) CONSERVATIVE PLUS EUR LDB DIS EUR 95,9305 0,15% Data30/12/2025