Società: FAM Series UCITS ICAV

Fondo Valore Var % Data
FAM EURO CORP BOND L CAP EUR 102,4410 0,05% Data05/01/2026
FAM EURO CORP BONDS A CAP EUR 95,5910 0,05% Data05/01/2026
FAM EURO CORP BONDS L DIS EUR 97,7443 0,05% Data05/01/2026
FAM EURO CORPORATE BOND A CAP EUR 101,1240 0,12% Data05/01/2026
FAM EURO CORPORATE BOND L CAP EUR 103,6910 0,12% Data05/01/2026
FAM EURO CORPORATE BOND L DIS EUR 119,5925 0,12% Data05/01/2026
FAM GLOBAL DEFENCE 2026 L DIS EUR 112,6030 0,13% Data31/12/2025
FAM SERIES AMUNDI EM. MARKETS BOND A CAP EUR 129,0890 1,28% Data05/01/2026
FAM SERIES AMUNDI EM. MARKETS BOND L CAP EUR 133,9970 1,28% Data05/01/2026
FAM SERIES AMUNDI EM. MARKETS BOND L DIS EUR 132,3700 1,28% Data05/01/2026
FAM SERIES AMUNDI EM. MARKETS BOND LH CAP EUR 113,8210 0,87% Data05/01/2026
FAM SERIES AMUNDI EUROP. EQUITY VALUE K CAP EUR 165,5390 -0,59% Data12/12/2025
FAM SERIES AMUNDI EUROP. EQUITY VALUE L CAP EUR 171,9840 0,39% Data05/01/2026
FAM SERIES AMUNDI STRATEGIC BOND A CAP EUR 113,8370 0,87% Data05/01/2026
FAM SERIES AMUNDI STRATEGIC BOND L CAP EUR 118,1230 0,88% Data05/01/2026
FAM SERIES AMUNDI STRATEGIC BOND L DIS EUR 115,7307 0,88% Data05/01/2026
FAM SERIES BLOOMBERG EURO AGG TRS 5-7Y IN J1 EUR 10.931,4307 0,18% Data05/01/2026
FAM SERIES BLUESTAR GL. LOGISTICS IND I.A CAP EUR 0
FAM SERIES CHANGING LIFESTYLES A CAP EUR 117,4540 1,22% Data05/01/2026
FAM SERIES CHANGING LIFESTYLES L CAP EUR 120,2080 1,22% Data05/01/2026
FAM SERIES CHANGING LIFESTYLES LHA CAP EUR 111,9090 0,81% Data05/01/2026
FAM SERIES DIVERSITY & INCLUSION L CAP EUR 109,1490 -0,06% Data05/01/2026
FAM SERIES DIVERSITY & INCLUSION L CAP EUR HDG 101,5080 -0,42% Data05/01/2026
FAM SERIES DIVERSITY & INCLUSION L DIS EUR 109,6644 -0,06% Data05/01/2026
FAM SERIES EMERGING MARKETS BOND HARD CURRENCY A EUR 122,6520 1,16% Data05/01/2026
FAM SERIES EMERGING MARKETS BOND HARD CURRENCY L EUR 129,4820 1,16% Data05/01/2026
FAM SERIES EMERGING MARKETS DEBT A CAP EUR 108,6770 0,44% Data05/01/2026
FAM SERIES EMERGING MARKETS DEBT AH CAP EUR 106,9740 0,09% Data05/01/2026
FAM SERIES EMERGING MARKETS DEBT AH DIS EUR 104,5445 0,09% Data05/01/2026
FAM SERIES EMERGING MARKETS DEBT L DIS EUR 94,0150 0,45% Data05/01/2026
FAM SERIES ESG TARGET GL. COUPON 2026 II A DIS EUR 0
FAM SERIES ESG TARGET GL. COUPON 2026 II D DIS EUR 0
FAM SERIES ESG TARGET GL. COUPON 2026 II L DIS EUR 113,3227 1,84% Data31/12/2025
FAM SERIES ESG TARGET GL. COUPON 2026 III A DIS EUR 0
FAM SERIES ESG TARGET GL. COUPON 2026 III D DIS EUR 0
FAM SERIES ESG TARGET GL. COUPON 2026 III L DIS EUR 116,1850 1,89% Data31/12/2025
FAM SERIES ESG TARGET GL. COUPON 2026 IV L DIS EUR 120,1258 1,89% Data31/12/2025
FAM SERIES ESG TARGET GL. COUPON 2026 L DIS A EUR 114,7987 1,89% Data31/12/2025
FAM SERIES ESG TARGET GL. COUPON 2026 V L DIS EUR 115,8495 2,26% Data31/12/2025
FAM SERIES ESG TARGET GL. INFR C. 2026 L DIS EUR 110,6920 1,16% Data31/12/2025
FAM SERIES EURO BOND A CAP EUR 91,6650 0,06% Data05/01/2026
FAM SERIES EURO BOND L CAP EUR 96,8130 0,07% Data05/01/2026
FAM SERIES EURO BOND L DIS EUR 96,9769 0,07% Data05/01/2026
FAM SERIES EURO CORP. FIXED INCOME A CAP EUR 99,0940 0,05% Data05/01/2026
FAM SERIES EURO CORP. FIXED INCOME L CAP EUR 104,6620 0,06% Data05/01/2026
FAM SERIES EURO CORP. FIXED INCOME L DIS EUR 104,7940 0,06% Data05/01/2026
FAM SERIES EURO CREDIT BOND A CAP EUR 100,4100 0,12% Data05/01/2026
FAM SERIES EURO CREDIT BOND L CAP EUR 102,6000 0,12% Data05/01/2026