Categoria: FONDI DI MERCATO MONETARIO EURO

Fondo Valore Var % Data
ABRDN LF (LUX) EURO A2 CAP EUR 473,6007 0,01% Data08/12/2025
AMUNDI ABS RESPONSIBLE I EUR 286.559,5000 0,01% Data05/12/2025
AMUNDI EURO LIQUIDITY SELECT M EUR 215.244,9688 0,01% Data08/12/2025
AMUNDI EURO LIQUIDITY-RATED RESPONSIBLE DP EUR 786.794,0625 0,01% Data19/07/2024
AMUNDI EURO LIQUIDITY-RATED RESPONSIBLE M EUR 807.521,3750 0,02% Data08/12/2025
AMUNDI EURO LIQUIDITY-RATED RESPONSIBLE U EUR 21.565,1074 0,02% Data08/12/2025
AMUNDI F. CASH EUR A2 EUR 105,7700 Data05/12/2025
AMUNDI F. CASH EUR F2 EUR 105,2100 Data05/12/2025
AMUNDI F. CASH USD A2 $ 127,8600 0,02% Data08/12/2025
AMUNDI F. CASH USD F2 $ 127,2100 0,02% Data08/12/2025
ANIMA LIQUIDITÀ EURO AM 51,9930 0,01% Data04/12/2025
ANIMA LIQUIDITÀ EURO FM 53,0360 0,01% Data04/12/2025
ANIMA LIQUIDITÀ EURO IM 52,6850 0,01% Data04/12/2025
ANIMA LIQUIDITY A EUR 6,5053 Data05/12/2025
ANIMA LIQUIDITY PRESTIGE EUR 5,1590 Data05/12/2025
ANIMA LIQUIDITY SILVER EUR 5,5107 Data05/12/2025
ANIMA TESORERIA AM 0
ANIMA TESORERIA FM 54,1660 0,01% Data04/12/2025
ANIMA TESORERIA IM 50,4090 -0,18% Data30/05/2023
AZ F.1 ALT. CAPITAL ENHANCED A CAP EUR 6,0980 0,02% Data05/12/2025
AZ F.1 ALT. CAPITAL ENHANCED A DIS EUR 6,0932 0,02% Data05/12/2025
AZ F.1 ALT. CAPITAL ENHANCED B CAP EUR 6,1010 0,02% Data05/12/2025
AZ F.1 ALT. CAPITAL ENHANCED B DIS EUR 5,5739 0,02% Data05/12/2025
AZ F.1 ALT. CAPITAL ENHANCED L CAP EUR 0
BGF EURO RESERVE C2 CAP EUR 73,8325 0,01% Data08/12/2025
BGF EURO RESERVE E2 CAP EUR 72,4500 0,01% Data08/12/2025
BNP PARIBAS BOND 6M CLAS CAP EUR 253,7875 0,00% Data05/12/2025
BNP PARIBAS BOND 6M R CAP EUR 222,9789 0,00% Data05/12/2025
BNP PARIBAS EURO MONEY MARKET CLAS DIS EUR 110,0711 0,00% Data05/12/2025
BNP PARIBAS EURO MONEY MARKET CLAS EUR 223,0342 0,00% Data05/12/2025
BNP PARIBAS INSTICASH EUR 1D LNAV CLAS EUR 122,8767 0,01% Data08/12/2025
BNP PARIBAS INSTICASH EUR 3M CLAS EUR 108,1625 0,01% Data08/12/2025
CANDRIAM MONEY MARKET EURO AAA C CAP EUR 110,3300 0,01% Data08/12/2025
CANDRIAM MONEY MARKET EURO C CAP. EUR 550,7500 0,01% Data05/12/2025
CANDRIAM SUST. MONEY MARKET EURO C EUR 1.194,3900 0,00% Data05/12/2025
CARMIGNAC COURT TERME A EUR ACC 3.993,9900 0,00% Data05/12/2025
CORE SERIES FAM PARK E CAP EUR 5,2910 Data05/12/2025
CORE SERIES FAM PARK V CAP EUR 5,4000 0,02% Data05/12/2025
DB PLATINUM IV CORPORATE CASH R1C-A EUR 100,0000 Data21/09/2009
EF CASH EUR A EUR 120,4700 Data05/12/2025
EF CASH EUR R EUR 116,0900 0,01% Data05/12/2025
EF CASH EUR RD DIS EUR 0
EF II EURO CASH R CAP EUR 113,6800 Data05/12/2025
EF MONEY MARKET EUR T1 A CAP EUR 101,4400 Data05/12/2025
EURIZON TESORERIA EURO AM 15,8480 0,01% Data04/12/2025
EURIZON TESORERIA EURO BM 15,8500 0,01% Data04/12/2025