Categoria: BILANCIATI

Fondo Valore Var % Data
CARMIGNAC PATRIMOINE E EUR ACC 187,4600 0,15% Data19/11/2025
CORE SERIES CORE CHAMPIONS B CAP EUR 5,6120 -0,30% Data19/11/2025
CORE SERIES CORE CHAMPIONS E CAP EUR 7,8170 -0,29% Data19/11/2025
CORE SERIES CORE CHAMPIONS EMERG. MKTS B CAP EUR 5,6490 -0,56% Data19/11/2025
CORE SERIES CORE CHAMPIONS EMERG. MKTS E CAP EUR 6,5920 -0,57% Data19/11/2025
CORE SERIES CORE EMERG. MKTS BOND B CAP EUR 5,2920 0,06% Data19/11/2025
CORE SERIES CORE EMERG. MKTS BOND B DIS EUR 4,8216 0,05% Data19/11/2025
CORE SERIES CORE MULTI-ASSET INCOME B CAP EUR 5,0910 -0,18% Data19/11/2025
CORE SERIES CORE MULTI-ASSET INCOME B DIS EUR 5,2012 -0,18% Data19/11/2025
CORE SERIES CORE MULTI-ASSET INCOME E CAP EUR 5,8120 -0,17% Data19/11/2025
CORE SERIES CORE MULTI-ASSET INCOME E DIS EUR 5,5947 -0,17% Data19/11/2025
CORE SERIES CORE TARGET ALL. 100 E CAP EUR 8,2720 -0,61% Data19/11/2025
CORE SERIES CORE TARGET ALL. 100 II E CAP EUR 8,1740 -0,61% Data19/11/2025
CORE SERIES CORE TARGET ALL. 100 III E CAP EUR 8,0920 -0,60% Data19/11/2025
CORE SERIES CORE TARGET ALL. 100 IV E CAP EUR 7,9230 -0,61% Data19/11/2025
CT (LUX) GL. DYN. REAL RETURN AEC EUR HDG 16,5733 0,12% Data19/11/2025
CT (LUX) GL. DYN. REAL RETURN AEH EUR 29,1879 0,13% Data19/11/2025
CT (LUX) GL. DYN. REAL RETURN AU $ 48,3305 0,14% Data19/11/2025
CT (LUX) GL. DYN. REAL RETURN AU EUR 41,8575 0,44% Data19/11/2025
CT (LUX) GL. DYN. REAL RETURN AUP $ 26,3402 0,14% Data19/11/2025
CT (LUX) GL. DYN. REAL RETURN DEH EUR 20,4450 0,12% Data19/11/2025
CT (LUX) GL. DYN. REAL RETURN DU $ 30,7358 0,14% Data19/11/2025
CT (LUX) GL. DYN. REAL RETURN DU EUR 26,6196 0,44% Data19/11/2025
CT (LUX) GL. DYN. REAL RETURN ZU $ 11,1097 0,14% Data19/11/2025
DB (SIA) BALANCED PLUS EUR LBD DIS EUR 106,2618 0,46% Data20/11/2025
DB (SIA) BALANCED PLUS EUR LBD10 DIS EUR 11.087,2158 0,47% Data20/11/2025
DB (SIA) BALANCED PLUS EUR PFBD DIS EUR 102,3047 0,47% Data20/11/2025
DB (SIA) BALANCED PLUS EUR WAMBD DIS EUR 11.195,4941 0,47% Data20/11/2025
DB (SIA) BALANCED PLUS USD LBD DIS $ 105,3128 0,34% Data20/11/2025
DB (SIA) BALANCED PLUS USD LBD10 DIS $ 11.000,5420 0,35% Data20/11/2025
DB (SIA) BALANCED PLUS USD PFBD DIS $ 102,0566 0,35% Data20/11/2025
DB (SIA) BALANCED PLUS USD WAMBD DIS $ 11.096,0654 0,35% Data20/11/2025
DB AM INVESCO ASIA MEGATRENDS LC CAP EUR 120,3700 -0,01% Data12/11/2025
DB AM INVESCO ASIA MEGATRENDS LD DIS EUR 101,1867 Data12/11/2025
DB AM INVESCO ASIA MEGATRENDS LDQ DIS EUR 97,5178 -0,01% Data12/11/2025
DB AM INVESCO ASIA MEGATRENDS PFC CAP EUR 109,2200 Data12/11/2025
DB AM INVESCO ASIA MEGATRENDS PFD DIS EUR 104,0760 Data12/11/2025
DB AM INVESCO ASIA MEGATRENDS PFDQ DIS EUR 97,7100 Data12/11/2025
DB ESG BALANCED SAA (EUR) LC CAP EUR 118,0800 0,50% Data20/11/2025
DB ESG BALANCED SAA (EUR) LC10 CAP EUR 14.098,8496 0,51% Data20/11/2025
DB ESG BALANCED SAA (EUR) PFC CAP EUR 110,3200 0,50% Data20/11/2025
DB ESG BALANCED SAA (EUR) PLUS LC CAP EUR 120,7400 0,55% Data20/11/2025
DB ESG BALANCED SAA (EUR) PLUS LC10 CAP EUR 14.456,0498 0,56% Data20/11/2025
DB ESG BALANCED SAA (EUR) PLUS PFC CAP EUR 112,3900 0,55% Data20/11/2025
DB ESG BALANCED SAA (EUR) PLUS WAMC CAP EUR 14.615,4404 0,56% Data20/11/2025
DB ESG BALANCED SAA (EUR) WAMC CAP EUR 14.193,5898 0,51% Data20/11/2025
DB ESG BALANCED SAA (USD) PLUS USD LC CAP $ 15.354,8096 0,53% Data20/11/2025
DWS STRATEGIC ESG ALLOCATION BALANCE LC CAP  EUR 144,3300 0,48% Data20/11/2025
DWS STRATEGIC ESG ALLOCATION BALANCE NC CAP EUR 137,9500 0,48% Data20/11/2025
EF GLOBAL ALLOCATION R CAP EUR 116,2600 0,22% Data19/11/2025