Società: Euromobiliare International Fund SICAV

Fondo Valore Var % Data
EUROFUNDLUX AZIONARIO GLOBALE A CAP EUR 23,0740 0,33% Data01/12/2025
EUROFUNDLUX BALANCED INCOME A CAP EUR 12,9860 0,13% Data01/12/2025
EUROFUNDLUX BALANCED INCOME D DIS EUR 12,9608 0,13% Data01/12/2025
EUROFUNDLUX BOND INCOME A CAP EUR 9,8710 0,05% Data01/12/2025
EUROFUNDLUX BOND INCOME D DIS EUR 10,7786 0,05% Data01/12/2025
EUROFUNDLUX CLEARBRIDGE US EQUITY A 12,5280 0,43% Data01/12/2025
EUROFUNDLUX EMERGING MARKETS EQUITY A CAP EUR 28,3100 -0,21% Data01/12/2025
EUROFUNDLUX EQUITY INCOME A CAP EUR 14,6370 0,43% Data01/12/2025
EUROFUNDLUX EQUITY INCOME ESG D DIS EUR 12,1692 0,44% Data01/12/2025
EUROFUNDLUX EQUITY RETURNS ABSOLUTE A CAP EUR 13,7480 0,31% Data01/12/2025
EUROFUNDLUX EQUITY RETURNS ABSOLUTE G CAP EUR 12,0400 0,32% Data01/12/2025
EUROFUNDLUX EQUITY RETURNS ABSOLUTE P CAP EUR 11,5330 0,31% Data01/12/2025
EUROFUNDLUX EURO SHORT TERM GOVERNMENT BOND A CAP EUR 11,9380 0,01% Data01/12/2025
EUROFUNDLUX EURO SHORT TERM GREEN BOND A CAP EUR 10,7800 Data01/12/2025
EUROFUNDLUX EUROPEAN EQUITY A CAP EUR 12,8200 0,47% Data01/12/2025
EUROFUNDLUX FLOATING RATE A CAP EUR 12,5150 0,01% Data01/12/2025
EUROFUNDLUX GREEN STRATEGY A CAP EUR 11,8660 0,32% Data01/12/2025
EUROFUNDLUX GREEN STRATEGY G CAP EUR 13,6730 0,33% Data01/12/2025
EUROFUNDLUX GREEN STRATEGY P CAP EUR 12,7690 0,32% Data01/12/2025
EUROFUNDLUX OBIETTIVO 2025 A CAP EUR 9,8220 0,02% Data01/12/2025
EUROFUNDLUX OBIETTIVO 2026 A CAP EUR 11,5570 0,01% Data01/12/2025
EUROFUNDLUX OBIETTIVO 2029 A CAP EUR 11,1150 0,05% Data01/12/2025