Società: Fideuram AM Sgr Spa

Fondo Valore Var % Data
FIDEURAM BILANCIATO 21,7696 0,69% Data11/11/2025
FIDEURAM ITALIA R 108,5930 1,02% Data11/11/2025
FIDEURAM MASTER SEL. BALANCED 14,7680 0,18% Data11/11/2025
FIDEURAM MASTER SEL. EQUITY GLOBAL 40,4520 0,27% Data11/11/2025
FIDEURAM MASTER SEL. EQUITY GLOBAL EMERGING MKTS 19,7020 0,02% Data11/11/2025
FIDEURAM PIANO AZIONI ITALIA A (PIR) 22,1840 1,14% Data11/11/2025
FIDEURAM PIANO AZIONI ITALIA B 22,1660 1,14% Data11/11/2025
FIDEURAM PIANO AZIONI ITALIA I 24,4160 1,14% Data11/11/2025
FIDEURAM PIANO BILANCIATO ITALIA 30 A (PIR) 13,6780 0,41% Data11/11/2025
FIDEURAM PIANO BILANCIATO ITALIA 30 B 13,6180 0,41% Data11/11/2025
FIDEURAM PIANO BILANCIATO ITALIA 30 I 14,6370 0,41% Data11/11/2025
FIDEURAM PIANO BILANCIATO ITALIA 50 A (PIR) 16,4640 0,62% Data11/11/2025
FIDEURAM PIANO BILANCIATO ITALIA 50 B 16,4220 0,63% Data11/11/2025
FIDEURAM RISPARMIO ATTIVO 14,3810 0,01% Data11/11/2025
FIDEURAM TARGET BOND 2028 R 11,6680 0,02% Data11/11/2025
FIDEURAM TARGET BOND 2028 S DIS 11,3015 0,02% Data11/11/2025
FIDEURAM TARGET RENDIMENTO R CAP EUR 11,4340 0,03% Data11/11/2025
FIDEURAM TARGET RENDIMENTO S DIS EUR 11,0708 0,02% Data11/11/2025
FIDEURAM TARGET RENDIMENTO V CAP EUR 11,5100 0,02% Data11/11/2025