Società: Multilabel Sicav

Fondo Valore Var % Data
MULTILABEL SICAV ARTEMIDE CAP B1 CAP EUR 141,6400 0,41% Data06/01/2026
MULTILABEL SICAV ETICA SUST. CONS. ALL. B CAP EUR 94,0300 0,31% Data06/01/2026
MULTILABEL SICAV ETICA SUST. CONS. ALL. BG CAP EUR 94,0400 0,30% Data06/01/2026
MULTILABEL SICAV ETICA SUST. DYN. ALL. B CAP EUR 114,8600 1,00% Data06/01/2026
MULTILABEL SICAV ETICA SUST. DYN. ALL. BG CAP EUR 114,8800 1,01% Data06/01/2026
MULTILABEL SICAV ETICA SUST. GLOBAL EQ. B CAP EUR 133,2600 1,44% Data06/01/2026
MULTILABEL SICAV ETICA SUST. GLOBAL EQ. BG CAP EUR 133,2700 1,43% Data06/01/2026
MULTILABEL SICAV HYBRID BONDS B CAP $ 197,1700 0,04% Data06/01/2026
MULTILABEL SICAV HYBRID BONDS B CAP EUR 173,9400 0,06% Data06/01/2026
MULTILABEL SICAV LYRA B1 CAP EUR 140,2100 1,16% Data06/01/2026
MULTILABEL SICAV ORCHESTRA GL. EQ. C CAP $ 154,9400 -0,01% Data29/10/2024