Società: Consultinvest Asset Management SGR S.p.A.

Fondo Valore Var % Data
CONSULTINVEST RITORNO ASSOLUTO AS 5,5240 0,04% Data08/09/2025
CONSULTINVEST RITORNO ASSOLUTO C EUR 5,7970 0,05% Data08/09/2025
CONSULTINVEST RITORNO ASSOLUTO C1 DIS EUR 5,4215 0,05% Data08/09/2025
CONSULTINVEST RITORNO ASSOLUTO I 5,0000 Data08/09/2025
CONSULTINVEST SMART PORTFOLIO B 5,4440 0,11% Data08/09/2025
CONSULTINVEST SMART PORTFOLIO BE 5,3520 0,11% Data08/09/2025
CONSULTINVEST SMART PORTFOLIO BS 5,4690 0,11% Data08/09/2025
CONSULTINVEST SMART PORTFOLIO C 5,4220 0,11% Data08/09/2025
CONSULTINVEST SMART PORTFOLIO P 5,6640 0,11% Data08/09/2025
CONSULTINVEST YIELD PLUS BE 5,2920 0,11% Data08/09/2025
CONSULTINVEST YIELD PLUS BS 5,2920 0,11% Data08/09/2025
CONSULTINVEST YIELD PLUS C 5,2780 0,11% Data08/09/2025
CONSULTINVEST YIELD PLUS I 5,0000 Data08/09/2025