Società: FAM Series UCITS ICAV

Fondo Valore Var % Data
FAM EURO CORP BOND L CAP EUR 100,3590 0,12% Data29/09/2026
FAM EURO CORP BONDS A CAP EUR 93,4080 0,12% Data29/09/2026
FAM EURO CORP BONDS L DIS EUR 95,7527 0,12% Data29/09/2026
FAM EURO CORPORATE BOND A CAP EUR 98,5950 0,14% Data29/09/2026
FAM EURO CORPORATE BOND L CAP EUR 101,3640 0,14% Data29/09/2026
FAM EURO CORPORATE BOND L DIS EUR 101,4003 0,14% Data29/09/2026
FAM GLOBAL DEFENCE 2026 L DIS EUR 114,7596 -0,01% Data23/09/2026
FAM SERIES AMUNDI EM. MARKETS BOND A CAP EUR 132,9540 0,27% Data29/09/2026
FAM SERIES AMUNDI EM. MARKETS BOND L CAP EUR 138,5150 0,28% Data29/09/2026
FAM SERIES AMUNDI EM. MARKETS BOND L DIS EUR 138,9724 0,28% Data29/09/2026
FAM SERIES AMUNDI EM. MARKETS BOND LH CAP EUR 112,5140 0,06% Data29/09/2026
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 189,6120 -0,73% Data29/09/2026
FAM SERIES AMUNDI STRATEGIC BOND A CAP EUR 111,6700 -0,07% Data29/09/2026
FAM SERIES AMUNDI STRATEGIC BOND L CAP EUR 116,2980 -0,06% Data29/09/2026
FAM SERIES AMUNDI STRATEGIC BOND L DIS EUR 113,9357 -0,06% Data29/09/2026
FAM SERIES BLOOMBERG EURO AGG TRS 5-7Y IN J1 EUR 10.573,8389 0,05% Data29/09/2026
FAM SERIES BLUESTAR GL. LOGISTICS IND I.A CAP EUR 0
FAM SERIES CHANGING LIFESTYLES A CAP EUR 106,8350 -0,42% Data29/09/2026
FAM SERIES CHANGING LIFESTYLES L CAP EUR 109,8210 -0,42% Data29/09/2026
FAM SERIES CHANGING LIFESTYLES LHA CAP EUR 97,4630 -0,63% Data29/09/2026
FAM SERIES DIVERSITY & INCLUSION L CAP EUR 118,2690 0,53% Data29/09/2026
FAM SERIES DIVERSITY & INCLUSION L CAP EUR HDG 105,2360 0,31% Data29/09/2026
FAM SERIES DIVERSITY & INCLUSION L DIS EUR 118,8296 0,53% Data29/09/2026
FAM SERIES EMERGING MARKETS BOND HARD CURRENCY A EUR 124,7330 -0,11% Data29/09/2026
FAM SERIES EMERGING MARKETS BOND HARD CURRENCY L EUR 132,4020 -0,10% Data29/09/2026
FAM SERIES EMERGING MARKETS DEBT A CAP EUR 110,5050 -0,09% Data29/09/2026
FAM SERIES EMERGING MARKETS DEBT AH CAP EUR 104,2210 -0,27% Data29/09/2026
FAM SERIES EMERGING MARKETS DEBT AH DIS EUR 102,4262 -0,27% Data29/09/2026
FAM SERIES EMERGING MARKETS DEBT L DIS EUR 114,4460 -0,09% Data29/09/2026
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 122,9100 1,82% Data23/09/2026
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 124,4324 2,06% Data23/09/2026
FAM SERIES ESG TARGET GL. COUPON 2026 IV L DIS EUR 127,7312 1,41% Data23/09/2026
FAM SERIES ESG TARGET GL. COUPON 2026 L DIS A EUR 124,4492 1,19% Data23/09/2026
FAM SERIES ESG TARGET GL. COUPON 2026 V L DIS EUR 125,2010 0,86% Data23/09/2026
FAM SERIES ESG TARGET GL. INFR C. 2026 L DIS EUR 114,9720 -0,70% Data23/09/2026
FAM SERIES EURO BOND A CAP EUR 87,5470 0,03% Data29/09/2026
FAM SERIES EURO BOND L CAP EUR 92,9720 0,03% Data29/09/2026
FAM SERIES EURO BOND L DIS EUR 93,1309 0,04% Data29/09/2026
FAM SERIES EURO CORP. FIXED INCOME A CAP EUR 96,3210 0,15% Data29/09/2026
FAM SERIES EURO CORP. FIXED INCOME L CAP EUR 102,2920 0,16% Data29/09/2026
FAM SERIES EURO CORP. FIXED INCOME L DIS EUR 102,4239 0,16% Data29/09/2026
FAM SERIES EURO CREDIT BOND A CAP EUR 98,0010 0,14% Data29/09/2026
FAM SERIES EURO CREDIT BOND L CAP EUR 100,3580 0,14% Data29/09/2026