Società: FAM Series UCITS ICAV

Fondo Valore Var % Data
FAM SERIES EURO CREDIT BOND L DIS EUR 102,8801 0,16% Data07/01/2026
FAM SERIES EURO HIGH YIELD BOND A CAP EUR 119,0880 0,12% Data07/01/2026
FAM SERIES EURO HIGH YIELD BOND L CAP EUR 121,6180 0,12% Data07/01/2026
FAM SERIES EURO HIGH YIELD BOND L DIS EUR 110,6395 0,12% Data07/01/2026
FAM SERIES EURO INFL. LINKED GOVT BD A CAP EUR 92,6190 0,15% Data07/01/2026
FAM SERIES EURO INFL. LINKED GOVT BD J1 CAP EUR 10.174,2852 0,15% Data07/01/2026
FAM SERIES EURO INFL. LINKED GOVT BD L CAP EUR 94,2870 0,15% Data07/01/2026
FAM SERIES EURO SHORT DURATION BOND A CAP EUR 95,8540 0,05% Data07/01/2026
FAM SERIES EURO SHORT DURATION BOND L CAP EUR 101,2590 0,05% Data07/01/2026
FAM SERIES EUROPEAN CORPORATE BOND L CAP EUR 101,4720 0,15% Data07/01/2026
FAM SERIES EUROPEAN CORPORATE BOND L DIS EUR 101,1894 0,15% Data07/01/2026
FAM SERIES EUROPEAN EQUITY A CAP EUR 136,8810 -0,31% Data07/01/2026
FAM SERIES EUROPEAN EQUITY K CAP EUR 130,5650 0,29% Data12/12/2025
FAM SERIES EUROPEAN EQUITY L CAP EUR 144,5460 -0,31% Data07/01/2026
FAM SERIES EUROPEAN EQUITY L DIS EUR 144,6895 -0,31% Data07/01/2026
FAM SERIES EUROPEAN HY BOND L CAP EUR 121,3410 0,13% Data07/01/2026
FAM SERIES EUROPEAN LEADERS A DIS EUR 0
FAM SERIES EUROPEAN LEADERS II A DIS EUR 0
FAM SERIES EUROPEAN STARS EQUITY A CAP EUR 130,1030 0,28% Data07/01/2026
FAM SERIES EUROPEAN STARS EQUITY L CAP EUR 134,1000 0,28% Data07/01/2026
FAM SERIES EUROPEAN STARS EQUITY L DIS EUR 131,6086 0,28% Data07/01/2026
FAM SERIES FID. SUST.WATER AND WASTE A CAP EUR 114,9240 0,32% Data07/01/2026
FAM SERIES FID. SUST.WATER AND WASTE L CAP EUR 117,4680 0,32% Data07/01/2026
FAM SERIES FID. SUST.WATER AND WASTE LH CAP EUR 103,4040 0,32% Data07/01/2026
FAM SERIES FIDELITY EURO BOND L CAP EUR 99,0430 0,11% Data07/01/2026
FAM SERIES FIDELITY EURO BOND A CAP EUR 96,1700 0,11% Data07/01/2026
FAM SERIES FIDELITY EURO BOND L DIS EUR 98,4172 0,11% Data07/01/2026
FAM SERIES FIDELITY EURO SHORTT BOND A CAP EUR 103,3590 0,05% Data07/01/2026
FAM SERIES FIDELITY EURO SHORTT BOND L CAP EUR 104,5110 0,06% Data07/01/2026
FAM SERIES FIDELITY GLOBAL DIVIDEND K CAP EUR 144,5740 0,25% Data21/05/2024
FAM SERIES FIDELITY GLOBAL DIVIDEND L CAP EUR 176,7920 -0,67% Data07/01/2026
FAM SERIES FIDELITY GLOBAL DIVIDEND L DIS EUR 186,5628 -0,67% Data07/01/2026
FAM SERIES FIDELITY GLOBAL DIVIDEND LH CAP EUR 0
FAM SERIES FIDELITY WORLD A CAP EUR 187,0360 0,42% Data07/01/2026
FAM SERIES FIDELITY WORLD K CAP EUR 156,9170 0,62% Data11/11/2024
FAM SERIES FIDELITY WORLD L CAP EUR 197,5790 0,43% Data07/01/2026
FAM SERIES FIDELITY WORLD L DIS EUR 198,3454 0,43% Data07/01/2026
FAM SERIES FLEXIBLE EQ. STRATEGY A CAP EUR 139,7840 -0,25% Data07/01/2026
FAM SERIES FLEXIBLE EQ. STRATEGY K CAP EUR 129,5840 -0,14% Data07/10/2024
FAM SERIES FLEXIBLE EQ. STRATEGY L CAP EUR 143,8190 -0,25% Data07/01/2026
FAM SERIES GLOBAL DEF. TARGET PASSIVE A DIS EUR 0
FAM SERIES GLOBAL DEFENCE 2027 A DIS EUR 0
FAM SERIES GLOBAL DEFENCE L DIS EUR 128,4132 0,01% Data07/01/2026
FAM SERIES GLOBAL DISRUPTIVE OPP. A CAP EUR 109,2140 -0,01% Data07/01/2026
FAM SERIES GLOBAL DISRUPTIVE OPP. L CAP EUR 111,4880 -0,01% Data07/01/2026
FAM SERIES GLOBAL EQ.INCOME K CAP EUR 134,7220 -0,37% Data17/04/2024
FAM SERIES GLOBAL EQ.INCOME L CAP EUR 185,5340 -0,53% Data07/01/2026
FAM SERIES GLOBAL EQ.INCOME L DIS EUR 180,8680 -0,53% Data07/01/2026
FAM SERIES GLOBAL EQUITY A CAP EUR 148,0940 -0,10% Data07/01/2026
FAM SERIES GLOBAL EQUITY K CAP EUR 140,8130 0,19% Data09/04/2024