Società: Fideuram AM Sgr Spa

Fondo Valore Var % Data
FIDEURAM BILANCIATO 21,5857 0,42% Data16/10/2025
FIDEURAM ITALIA R 105,0850 0,94% Data16/10/2025
FIDEURAM MASTER SEL. BALANCED 14,6190 -0,11% Data16/10/2025
FIDEURAM MASTER SEL. EQUITY GLOBAL 39,4230 -0,43% Data16/10/2025
FIDEURAM MASTER SEL. EQUITY GLOBAL EMERGING MKTS 19,1130 0,40% Data16/10/2025
FIDEURAM PIANO AZIONI ITALIA A (PIR) 21,6940 0,69% Data16/10/2025
FIDEURAM PIANO AZIONI ITALIA B 21,6760 0,69% Data16/10/2025
FIDEURAM PIANO AZIONI ITALIA I 23,8540 0,69% Data16/10/2025
FIDEURAM PIANO BILANCIATO ITALIA 30 A (PIR) 13,6510 0,23% Data16/10/2025
FIDEURAM PIANO BILANCIATO ITALIA 30 B 13,5910 0,24% Data16/10/2025
FIDEURAM PIANO BILANCIATO ITALIA 30 I 14,5980 0,24% Data16/10/2025
FIDEURAM PIANO BILANCIATO ITALIA 50 A (PIR) 16,2900 0,38% Data16/10/2025
FIDEURAM PIANO BILANCIATO ITALIA 50 B 16,2480 0,38% Data16/10/2025
FIDEURAM RISPARMIO ATTIVO 14,3930 0,02% Data16/10/2025
FIDEURAM TARGET BOND 2028 R 11,6620 0,03% Data16/10/2025
FIDEURAM TARGET BOND 2028 S DIS 11,2964 0,03% Data16/10/2025
FIDEURAM TARGET RENDIMENTO R CAP EUR 11,4280 0,03% Data16/10/2025
FIDEURAM TARGET RENDIMENTO S DIS EUR 11,0658 0,03% Data16/10/2025
FIDEURAM TARGET RENDIMENTO V CAP EUR 11,5020 0,03% Data16/10/2025