Categoria: OBB. MISTI

Fondo Valore Var % Data
AZ F.1 BD EURO CORPORATE A CAP EUR 6,2910 0,02% Data13/10/2025
AZ F.1 BD EURO CORPORATE B CAP EUR 6,2880 Data13/10/2025
BANCOPOSTA MIX 1 A CAP 7,4400 0,22% Data13/10/2025
BANCOPOSTA MIX 1 D DIS 5,0877 0,20% Data13/10/2025
BANCOPOSTA UNIVERSO OBBLIGAZIONARIOPIÙ DIS 0
BNP PARIBAS EUROPE CONVERTIBLE CLAS DIS EUR 113,5202 0,24% Data13/10/2025
BNP PARIBAS EUROPE CONVERTIBLE CLAS EUR 172,9900 0,24% Data13/10/2025
BNP PARIBAS EUROPE CONVERTIBLE N DIS EUR 147,2636 0,24% Data13/10/2025
BNP PARIBAS EUROPE CONVERTIBLE N EUR 105,8900 0,24% Data13/10/2025
BNP PARIBAS EUROPE SMALL CAP CONV. CLAS DIS EUR 160,3415 0,28% Data13/10/2025
BNP PARIBAS EUROPE SMALL CAP CONV. CLAS EUR 195,8800 0,29% Data13/10/2025
BNP PARIBAS EUROPE SMALL CAP CONV. N DIS EUR 173,7847 0,29% Data13/10/2025
BNP PARIBAS EUROPE SMALL CAP CONV. N EUR 108,9400 0,28% Data13/10/2025
BNP PARIBAS FLEXI I ABS RET CONV. CLAS $ 138,8100 -0,10% Data13/10/2025
BNP PARIBAS FLEXI I ABS RET CONV. CLAS RH EUR 116,6900 -0,11% Data13/10/2025
BNP PARIBAS GLOBAL CONVERTIBLE CLAS $ 164,2200 0,78% Data13/10/2025
BNP PARIBAS GLOBAL CONVERTIBLE CLAS DIS $ 159,0594 0,78% Data13/10/2025
BNP PARIBAS GLOBAL CONVERTIBLE CLAS DISM $ 151,6520 0,78% Data13/10/2025
BNP PARIBAS GLOBAL CONVERTIBLE CLAS RH DIS EUR 118,3247 0,77% Data13/10/2025
BNP PARIBAS GLOBAL CONVERTIBLE CLAS RH EUR 209,5800 0,77% Data13/10/2025
BNP PARIBAS GLOBAL CONVERTIBLE N $ 144,9300 0,77% Data13/10/2025
BNP PARIBAS GLOBAL CONVERTIBLE N RH DIS EUR 126,9441 0,76% Data13/10/2025
BNP PARIBAS GLOBAL CONVERTIBLE N RH EUR EUR 132,1000 0,76% Data13/10/2025
CARMIGNAC FLEXIBLE BOND A CHF ACC HDG 1.155,9900 -0,03% Data13/10/2025
CARMIGNAC FLEXIBLE BOND A EUR ACC 1.381,3500 -0,01% Data13/10/2025
CARMIGNAC FLEXIBLE BOND A EUR MINC 1.168,6281 -0,01% Data13/10/2025
CARMIGNAC FLEXIBLE BOND A EUR YDIS 1.209,2245 -0,01% Data13/10/2025
CARMIGNAC FLEXIBLE BOND A USD ACC HDG 1.496,4200 -0,01% Data13/10/2025
CARMIGNAC FLEXIBLE BOND E EUR ACC 119,1100 -0,01% Data13/10/2025
CARMIGNAC SÉCURITÉ AW CAP EUR 1.923,0900 0,03% Data13/10/2025
CORE SERIES CORE COUPON B CAP EUR 4,6490 0,06% Data13/10/2025
CORE SERIES CORE COUPON B DIS EUR 4,6600 0,07% Data13/10/2025
CORE SERIES CORE COUPON E CAP EUR 5,1510 0,06% Data13/10/2025
CORE SERIES CORE COUPON E DIS EUR 5,7358 0,07% Data13/10/2025
CORE SERIES CORE INCOME OPPORTUNITY E CAP EUR 5,0040 0,10% Data13/10/2025
CORE SERIES CORE INCOME OPPORTUNITY E DIS EUR 4,9217 0,09% Data13/10/2025
DIADEMA CAPITAL PLUS P CAP EUR 96,7960 0,31% Data13/10/2025
DIADEMA CAPITAL PLUS R CAP EUR 0
DIADEMA CAPITAL PLUS R PREM. CAP EUR 0
DWS CONCEPT DJE ALPHA RENTEN GLOBAL LC CAP EUR 145,6200 0,09% Data14/10/2025
EF ABSOLUTE PRUDENT E CAP EUR 104,8800 -0,01% Data13/10/2025
EF ABSOLUTE PRUDENT R EUR 126,4800 -0,02% Data13/10/2025
EPSILON PROTEZIONE 1 ANNO ED. 4 DIS 0
EPSILON PROTEZIONE 1 ANNO ED. 5 DIS 0
ETICA OBBLIGAZIONARIO MISTO I 8,5260 0,19% Data13/10/2025
ETICA OBBLIGAZIONARIO MISTO R 7,8560 0,18% Data13/10/2025
ETICA OBBLIGAZIONARIO MISTO RD DIS EUR 7,8588 0,18% Data13/10/2025
EURIZON DIVERSIFICATO ETICO 11,2340 0,18% Data13/10/2025
EURIZON INVESTO SMART 10 5,5740 -0,16% Data13/10/2025
EURIZON MANAGER SELECTION FUND MS 10 R EUR 156,6200 0,02% Data13/10/2025