Categoria: OBB. EURO HIGH YIELD

Fondo Valore Var % Data
ABRDN I EURO HY BOND A CAP $ HDG 24,3778 0,11% Data21/10/2025
ABRDN I EURO HY BOND A CAP EUR 27,5375 0,11% Data21/10/2025
ABRDN I EURO HY BOND A CAP GBP HDG 49,4221 0,11% Data21/10/2025
ABRDN I EURO HY BOND A DISM EUR 25,9066 0,11% Data21/10/2025
ABRDN I EURO HY BOND A DISM GBP 14,5323 0,00% Data21/10/2025
ABRDN I EURO HY BOND A DISM GBP HDG 49,3253 0,11% Data21/10/2025
ABRDN I EURO HY BOND W CAP EUR 12,3234 0,10% Data21/10/2025
ABRDN I EURO HY BOND W DISM EUR 12,3480 0,10% Data21/10/2025
ABRDN I EURO HY BOND X DISM EUR 15,9496 0,11% Data21/10/2025
ALLIANZ EURO HIGH YIELD BOND A DIS EUR 193,5303 0,06% Data21/10/2025
ALLIANZ EURO HIGH YIELD BOND AM DIS EUR 15,3804 0,06% Data21/10/2025
ALLIANZ EURO HIGH YIELD BOND AT CAP EUR 192,6500 0,06% Data21/10/2025
ALLIANZ EURO HIGH YIELD DEFENSIVE AT CAP EUR 146,3000 0,06% Data21/10/2025
AMUNDI F. EURO HIGH YIELD BOND A CZK HDG 3.538,1699 0,08% Data21/10/2025
AMUNDI F. EURO HIGH YIELD BOND A USD HDG 151,6200 0,08% Data21/10/2025
AMUNDI F. EURO HIGH YIELD BOND F DIS EUR 5,3643 0,10% Data21/10/2025
AMUNDI F. EURO HIGH YIELD BOND F EUR 5,3630 0,07% Data21/10/2025
AMUNDI F. EURO HIGH YIELD BOND F2 DIS EUR 129,9113 0,07% Data21/10/2025
AMUNDI F. EURO HIGH YIELD BOND F2 EUR 146,1500 0,08% Data21/10/2025
AMUNDI F. EURO HIGH YIELD BOND G DIS $ HDG 141,6118 0,08% Data21/10/2025
AMUNDI F. EURO HIGH YIELD BOND G DIS EUR 136,2181 0,07% Data21/10/2025
AMUNDI F. EURO HIGH YIELD BOND G EUR 23,6100 0,08% Data21/10/2025
AMUNDI F. EURO HY SHORT TERM BOND A CZK HDG 3.222,6499 0,07% Data21/10/2025
AMUNDI F. EURO HY SHORT TERM BOND F DIS EUR 5,4338 0,07% Data21/10/2025
AMUNDI F. EURO HY SHORT TERM BOND F EUR 5,4280 0,06% Data21/10/2025
AMUNDI F. EURO HY SHORT TERM BOND F2 DIS EUR 112,9674 0,07% Data21/10/2025
AMUNDI F. EURO HY SHORT TERM BOND F2 EUR 112,4900 0,07% Data21/10/2025
AMUNDI F. EURO HY SHORT TERM BOND G DIS EUR 117,3896 0,07% Data21/10/2025
AMUNDI F. EURO HY SHORT TERM BOND G EUR 119,6100 0,07% Data21/10/2025
AMUNDI F. OPTIMAL YIELD A EUR 116,0100 0,06% Data21/10/2025
AMUNDI F. OPTIMAL YIELD E2 DIS EUR 8,9795 0,05% Data21/10/2025
AMUNDI F. OPTIMAL YIELD E2 EUR 12,6580 0,06% Data21/10/2025
AMUNDI F. OPTIMAL YIELD F DIS EUR 7,4253 0,06% Data21/10/2025
AMUNDI F. OPTIMAL YIELD F EUR 10,7400 0,06% Data21/10/2025
AMUNDI F. OPTIMAL YIELD G DIS EUR 5,6168 0,07% Data21/10/2025
AMUNDI F. OPTIMAL YIELD G EUR 5,7640 0,07% Data21/10/2025
ANIMA OBBLIGAZIONARIO HIGH YIELD A 6,2470 0,08% Data20/10/2025
ANIMA OBBLIGAZIONARIO HIGH YIELD AD DIS 6,2539 0,09% Data20/10/2025
ANIMA OBBLIGAZIONARIO HIGH YIELD BD DIS 6,2522 0,09% Data20/10/2025
ANIMA OBBLIGAZIONARIO HIGH YIELD F 6,5110 0,11% Data20/10/2025
ANIMA OBBLIGAZIONARIO HIGH YIELD Y 16,3920 0,10% Data20/10/2025
ANIMA VALORE HIGH YIELD 2027 0
ANIMA VALORE HIGH YIELD 2029 0
AXA IM FIIS EUROP.SH. DUR. HIGH YIELD E $ HDG 145,9300 0,06% Data21/10/2025
AXA IM FIIS EUROP.SH. DUR. HIGH YIELD E CAP EUR 141,5200 0,06% Data21/10/2025
AXA IM FIIS EUROP.SH. DUR. HIGH YIELD F $ HDG 161,4500 0,06% Data21/10/2025
AXA IM FIIS EUROP.SH. DUR. HIGH YIELD F CAP EUR 148,7200 0,06% Data21/10/2025
AXA IM FIIS EUROP.SH. DUR. HIGH YIELD F DIS EUR 127,8551 0,06% Data21/10/2025
BGF EUROPEAN HIGH YIELD BOND E2 CAP EUR 13,5600 0,15% Data21/10/2025
BGF EUROPEAN HIGH YIELD BOND E5 DIS EUR 13,5572 0,10% Data21/10/2025