Categoria: FONDI FLESSIBILI

Fondo Valore Var % Data
CONSULTINVEST MARKET NEUTRAL B EUR 5,6900 0,67% Data29/04/2025
CONSULTINVEST MARKET NEUTRAL BE 5,5310 0,66% Data29/04/2025
CONSULTINVEST MARKET NEUTRAL BS 5,0000 Data29/04/2025
CONSULTINVEST MARKET NEUTRAL C EUR 5,6570 0,66% Data29/04/2025
CONSULTINVEST MEGATREND A 4,4340 0,45% Data29/04/2025
CONSULTINVEST MEGATREND AE 4,8860 0,45% Data29/04/2025
CONSULTINVEST MEGATREND AS 4,8980 0,47% Data29/04/2025
CONSULTINVEST MEGATREND C 4,4120 0,48% Data29/04/2025
CONSULTINVEST MOSAICO FONDO ETICO AE 5,0550 0,06% Data29/04/2025
CONSULTINVEST MOSAICO FONDO ETICO AE1 DIS 5,0903 0,06% Data29/04/2025
CONSULTINVEST MOSAICO FONDO ETICO AS 5,0000 Data29/04/2025
CONSULTINVEST MOSAICO FONDO ETICO AS1 DIS 5,0000 Data29/04/2025
CONSULTINVEST MOSAICO FONDO ETICO CAP A 4,7400 0,06% Data29/04/2025
CONSULTINVEST MOSAICO FONDO ETICO CAP C 4,7240 0,04% Data29/04/2025
CONSULTINVEST MOSAICO FONDO ETICO DIS A1 4,7212 0,07% Data29/04/2025
CONSULTINVEST MOSAICO FONDO ETICO DIS C1 4,7052 0,04% Data29/04/2025
CONSULTINVEST MULTIMANAGER LOW VOLATILITY A 5,1140 0,12% Data29/04/2025
CONSULTINVEST MULTIMANAGER LOW VOLATILITY AE 5,2790 0,11% Data29/04/2025
CONSULTINVEST MULTIMANAGER LOW VOLATILITY AS 5,0750 0,10% Data29/04/2025
CONSULTINVEST MULTIMANAGER LOW VOLATILITY C 5,1030 0,10% Data29/04/2025
CONSULTINVEST MULTIMANAGER LOW VOLATILITY I 5,7110 0,11% Data29/04/2025
CONSULTINVEST MULTIMANAGER MERCATI EMERGENTI A 5,0430 0,14% Data29/04/2025
CONSULTINVEST MULTIMANAGER MERCATI EMERGENTI AE 4,6900 0,15% Data29/04/2025
CONSULTINVEST MULTIMANAGER MERCATI EMERGENTI AS 4,8620 0,14% Data29/04/2025
CONSULTINVEST MULTIMANAGER MERCATI EMERGENTI C 4,4210 0,14% Data29/04/2025
CONSULTINVEST NEXT GENERATION B 4,6610 0,06% Data29/04/2025
CONSULTINVEST NEXT GENERATION BE 4,9480 0,08% Data29/04/2025
CONSULTINVEST NEXT GENERATION BS 5,0000 Data29/04/2025
CONSULTINVEST NEXT GENERATION C 4,6550 0,06% Data29/04/2025
CONSULTINVEST OPPORTUNITIES A 7,1220 -0,06% Data29/04/2025
CONSULTINVEST OPPORTUNITIES AE 5,6940 -0,05% Data29/04/2025
CONSULTINVEST OPPORTUNITIES AS 5,6650 -0,05% Data29/04/2025
CONSULTINVEST OPPORTUNITIES C 7,0400 -0,06% Data29/04/2025
CONSULTINVEST OPPORTUNITIES I 5,4000 -0,06% Data29/04/2025
CONSULTINVEST PLUS A 6,1910 Data29/04/2025
CONSULTINVEST PLUS AE 5,5390 Data29/04/2025
CONSULTINVEST PLUS AS 5,5370 Data29/04/2025
CONSULTINVEST PLUS C 7,4030 Data29/04/2025
CONSULTINVEST PLUS I 6,4400 Data29/04/2025
CONSULTINVEST RISPARMIO ITALIA AR 7,6630 1,18% Data29/04/2025
CONSULTINVEST RISPARMIO ITALIA C 7,3780 1,17% Data29/04/2025
CONSULTINVEST RISPARMIO ITALIA PIR 7,3610 1,18% Data29/04/2025
CONSULTINVEST RISPARMIO ITALIA PIR-E 7,6500 1,18% Data29/04/2025
CONSULTINVEST RITORNO ASSOLUTO A EUR 5,5270 -0,02% Data29/04/2025
CONSULTINVEST RITORNO ASSOLUTO A1 DIS EUR 5,5860 Data29/04/2025
CONSULTINVEST RITORNO ASSOLUTO AE 5,2840 Data29/04/2025
CONSULTINVEST RITORNO ASSOLUTO AS 5,2490 -0,02% Data29/04/2025
CONSULTINVEST RITORNO ASSOLUTO C EUR 5,5080 Data29/04/2025
CONSULTINVEST RITORNO ASSOLUTO C1 DIS EUR 5,1521 Data29/04/2025
CONSULTINVEST RITORNO ASSOLUTO I 5,0000 Data29/04/2025