Società: Fideuram AM Sgr Spa

Fondo Valore Var % Data
FIDEURAM BILANCIATO 20,4170 0,44% Data28/04/2025
FIDEURAM ITALIA R 89,2700 1,74% Data28/04/2025
FIDEURAM ITALIA Z 89,2700 1,74% Data28/04/2025
FIDEURAM MASTER SEL. BALANCED 13,6190 0,46% Data28/04/2025
FIDEURAM MASTER SEL. EQUITY GLOBAL 34,0240 1,34% Data28/04/2025
FIDEURAM MASTER SEL. EQUITY GLOBAL EMERGING MKTS 15,4930 0,32% Data28/04/2025
FIDEURAM PIANO AZIONI ITALIA A (PIR) 18,7580 1,88% Data28/04/2025
FIDEURAM PIANO AZIONI ITALIA B 18,7430 1,89% Data28/04/2025
FIDEURAM PIANO AZIONI ITALIA I 20,5020 1,90% Data28/04/2025
FIDEURAM PIANO BILANCIATO ITALIA 30 A (PIR) 12,7950 0,68% Data28/04/2025
FIDEURAM PIANO BILANCIATO ITALIA 30 B 12,7390 0,68% Data28/04/2025
FIDEURAM PIANO BILANCIATO ITALIA 30 I 13,6260 0,69% Data28/04/2025
FIDEURAM PIANO BILANCIATO ITALIA 50 A (PIR) 14,8740 1,07% Data28/04/2025
FIDEURAM PIANO BILANCIATO ITALIA 50 B 14,8360 1,06% Data28/04/2025
FIDEURAM PIANO BILANCIATO ITALIA 50 I 14,8740 1,07% Data28/04/2025
FIDEURAM RISPARMIO ATTIVO 14,3100 -0,07% Data28/04/2025
FIDEURAM TARGET BOND 2028 R 11,4220 0,02% Data28/04/2025
FIDEURAM TARGET BOND 2028 S DIS 11,0641 0,02% Data28/04/2025
FIDEURAM TARGET RENDIMENTO R CAP EUR 11,1880 0,03% Data28/04/2025
FIDEURAM TARGET RENDIMENTO S DIS EUR 10,8334 0,03% Data28/04/2025
FIDEURAM TARGET RENDIMENTO V CAP EUR 11,2460 0,03% Data28/04/2025