Società: Euromobiliare International Fund SICAV

Fondo Valore Var % Data
EUROFUNDLUX AZIONARIO GLOBALE A CAP EUR 23,0820 0,22% Data29/12/2025
EUROFUNDLUX BALANCED INCOME A CAP EUR 12,9200 0,08% Data29/12/2025
EUROFUNDLUX BALANCED INCOME D DIS EUR 12,8953 0,08% Data29/12/2025
EUROFUNDLUX BOND INCOME A CAP EUR 9,8850 0,13% Data29/12/2025
EUROFUNDLUX BOND INCOME D DIS EUR 10,7943 0,13% Data29/12/2025
EUROFUNDLUX CLEARBRIDGE US EQUITY A 12,3190 0,35% Data29/12/2025
EUROFUNDLUX EMERGING MARKETS EQUITY A CAP EUR 28,7850 1,26% Data29/12/2025
EUROFUNDLUX EQUITY INCOME A CAP EUR 14,5190 0,14% Data29/12/2025
EUROFUNDLUX EQUITY INCOME ESG D DIS EUR 12,0697 0,15% Data29/12/2025
EUROFUNDLUX EQUITY RETURNS ABSOLUTE A CAP EUR 13,8340 0,04% Data29/12/2025
EUROFUNDLUX EQUITY RETURNS ABSOLUTE G CAP EUR 12,1230 0,05% Data29/12/2025
EUROFUNDLUX EQUITY RETURNS ABSOLUTE P CAP EUR 11,6110 0,04% Data29/12/2025
EUROFUNDLUX EURO SHORT TERM GOVERNMENT BOND A CAP EUR 11,9300 0,03% Data29/12/2025
EUROFUNDLUX EURO SHORT TERM GREEN BOND A CAP EUR 10,7800 0,11% Data29/12/2025
EUROFUNDLUX EUROPEAN EQUITY A CAP EUR 12,9820 0,01% Data29/12/2025
EUROFUNDLUX FLOATING RATE A CAP EUR 12,5390 0,07% Data29/12/2025
EUROFUNDLUX GREEN STRATEGY A CAP EUR 11,7770 0,24% Data29/12/2025
EUROFUNDLUX GREEN STRATEGY G CAP EUR 13,5790 0,24% Data29/12/2025
EUROFUNDLUX GREEN STRATEGY P CAP EUR 12,6800 0,25% Data29/12/2025
EUROFUNDLUX OBIETTIVO 2025 A CAP EUR 9,8360 0,06% Data29/12/2025
EUROFUNDLUX OBIETTIVO 2026 A CAP EUR 11,5770 0,08% Data29/12/2025
EUROFUNDLUX OBIETTIVO 2029 A CAP EUR 11,1400 0,21% Data29/12/2025