Società: Eurizon Fund

Fondo Valore Var % Data
EF ABSOLUTE GREEN BONDS R CAP EUR 94,9700 0,24% Data29/12/2025
EF ABSOLUTE GREEN BONDS RD DIS EUR 0
EF ABSOLUTE PRUDENT E CAP EUR 105,0800 0,13% Data29/12/2025
EF ABSOLUTE PRUDENT R CAP EUR 126,5600 0,13% Data29/12/2025
EF ACTIVE ALLOCATION R CAP EUR 130,6700 -0,06% Data29/12/2025
EF ACTIVE ALLOCATION RD DIS EUR 110,0237 -0,06% Data29/12/2025
EF ACTIVE ALLOCATION SD DIS EUR 0
EF ASIAN DEBT OPPORTUNITIES R CAP EUR 109,7700 0,18% Data29/12/2025
EF ASIAN EQUITY OPPORTUNITIES R CAP EUR 98,8700 1,51% Data29/12/2025
EF ASIAN EQUITY OPPORTUNITIES RD DIS EUR 0
EF BOND AGGREGATE EUR R EUR 96,8100 0,25% Data29/12/2025
EF BOND AGGREGATE EUR RD DIS EUR 0
EF BOND AGGREGATE EUR SHORT TERM R CAP EUR 105,7500 0,09% Data29/12/2025
EF BOND AGGREGATE EUR SHORT TERM RD DIS EUR 0
EF BOND AGGREGATE RMB R DIS EUR 124,1361 0,28% Data29/12/2025
EF BOND AGGREGATE RMB R EUR 124,0800 0,27% Data29/12/2025
EF BOND AGGREGATE RMB R2 $ 108,6200 0,20% Data29/12/2025
EF BOND AGGREGATE RMB RH EUR 106,6800 -0,08% Data29/12/2025
EF BOND CORPORATE EUR LTE R CAP EUR 99,7200 0,19% Data29/12/2025
EF BOND CORPORATE EUR R CAP EUR 102,8500 0,18% Data29/12/2025
EF BOND CORPORATE EUR R DIS EUR 98,4433 0,17% Data29/12/2025
EF BOND CORPORATE EUR SHORT TERM R EUR 70,0000 0,07% Data29/12/2025
EF BOND CORPORATE EUR SHORT TERM RD DIS EUR 0
EF BOND EMERGING MARKETS D EUR 326,6774 0,30% Data29/12/2025
EF BOND EMERGING MARKETS D2 $ 383,6087 0,23% Data29/12/2025
EF BOND EMERGING MARKETS R DIS EUR 102,4064 0,30% Data29/12/2025
EF BOND EMERGING MARKETS R EUR 401,2000 0,29% Data29/12/2025
EF BOND EMERGING MARKETS RDH DIS EUR 91,5932 0,23% Data29/12/2025
EF BOND EMERGING MARKETS RH EUR 341,9200 0,22% Data29/12/2025
EF BOND EUR LONG TERM LTE R EUR 213,6300 0,40% Data29/12/2025
EF BOND EUR MEDIUM TERM LTE R EUR 331,0500 0,19% Data29/12/2025
EF BOND EUR SHORT TERM LTE R EUR 141,6700 0,08% Data29/12/2025
EF BOND EURO HIGH YIELD R CAP EUR 112,9600 0,07% Data29/12/2025
EF BOND FLEXIBLE A EUR 100,5000 0,18% Data29/12/2025
EF BOND FLEXIBLE R CAP EUR 99,1100 0,16% Data29/12/2025
EF BOND FLEXIBLE R DIS EUR 98,1191 0,17% Data29/12/2025
EF BOND GBP LTE R EUR 135,2700 0,42% Data29/12/2025
EF BOND GBP LTE RH EUR 136,6600 0,23% Data29/12/2025
EF BOND HIGH YIELD D EUR 198,6905 0,08% Data29/12/2025
EF BOND HIGH YIELD D2 $ 234,9057 0,01% Data29/12/2025
EF BOND HIGH YIELD R DIS EUR 113,8972 0,08% Data29/12/2025
EF BOND HIGH YIELD R EUR 264,3800 0,08% Data29/12/2025
EF BOND HIGH YIELD R2 $ 314,2100 0,01% Data29/12/2025
EF BOND INFLATION LINKED R EUR 139,8100 0,27% Data29/12/2025
EF BOND INFLATION LINKED RD DIS EUR 0
EF BOND ITALY FLOATING RATE LTE R EUR 145,6200 0,09% Data29/12/2025
EF BOND JPY LTE R EUR 63,4700 0,25% Data29/12/2025
EF BOND JPY LTE RH EUR 142,6500 -0,06% Data29/12/2025
EF BOND SHORT TERM EUR T1 A EUR 101,4200 0,06% Data29/12/2025
EF BOND USD LTE R EUR 177,7900 0,43% Data29/12/2025