Società: Fideuram AM Sgr Spa

Fondo Valore Var % Data
FIDEURAM BILANCIATO 21,9220 0,19% Data19/12/2025
FIDEURAM ITALIA R 110,9960 0,65% Data19/12/2025
FIDEURAM MASTER SEL. BALANCED 14,6680 0,18% Data19/12/2025
FIDEURAM MASTER SEL. EQUITY GLOBAL 40,2310 0,69% Data19/12/2025
FIDEURAM MASTER SEL. EQUITY GLOBAL EMERGING MKTS 19,1740 0,77% Data19/12/2025
FIDEURAM PIANO AZIONI ITALIA A (PIR) 22,6730 0,33% Data19/12/2025
FIDEURAM PIANO AZIONI ITALIA B 22,6550 0,33% Data19/12/2025
FIDEURAM PIANO AZIONI ITALIA I 24,9880 0,34% Data19/12/2025
FIDEURAM PIANO BILANCIATO ITALIA 30 A (PIR) 13,7740 0,04% Data19/12/2025
FIDEURAM PIANO BILANCIATO ITALIA 30 B 13,7140 0,05% Data19/12/2025
FIDEURAM PIANO BILANCIATO ITALIA 30 I 14,7540 0,05% Data19/12/2025
FIDEURAM PIANO BILANCIATO ITALIA 50 A (PIR) 16,6710 0,18% Data19/12/2025
FIDEURAM PIANO BILANCIATO ITALIA 50 B 16,6280 0,18% Data19/12/2025
FIDEURAM RISPARMIO ATTIVO 14,3530 -0,06% Data19/12/2025
FIDEURAM TARGET BOND 2028 R 11,6710 -0,03% Data19/12/2025
FIDEURAM TARGET BOND 2028 S DIS 11,3056 -0,02% Data19/12/2025
FIDEURAM TARGET RENDIMENTO R CAP EUR 11,4390 -0,02% Data19/12/2025
FIDEURAM TARGET RENDIMENTO S DIS EUR 11,0759 -0,02% Data19/12/2025
FIDEURAM TARGET RENDIMENTO V CAP EUR 11,5190 -0,02% Data19/12/2025