| Nome | Codice Isin | Categoria Assogestioni | Ultimo Prezzo | Data Ultimo Pr. | Valuta | Var. % Iniz. anno | Var. % 12 mesi | Var. % 36 mesi | Volatilità |
|---|---|---|---|---|---|---|---|---|---|
| Nordea 1 Low Duration US High Yield Bond | LU0602537572 | 86,44 | 25/08/26 2.00.00 | SEK | 0,68 | 1,96 | 11,79 | 0 | |
| Nordea 1 Low Duration US High Yield Bond | LU0602536681 | 4,34 | 25/08/26 2.00.00 | EUR | 1,21 | 2,72 | 14,21 | 1,71 | |
| Nordea 1 Low Duration US High Yield Bond | LU0602536251 | 12,12 | 25/08/26 2.00.00 | EUR | 2,07 | 3,79 | 7,63 | 5,1 | |
| Mirova Global Green Bond R Cap EUR | LU1472740767 | 114,97 | 24/08/26 2.00.00 | EUR | -0,68 | -0,33 | 7,07 | 3,58 | |
| M&G (Lux) Global High Yield Bond CH Cap | LU1670727129 | 17,82 | 25/08/26 2.00.00 | EUR | 1,32 | 2,64 | 19,06 | 2,32 | |
| CTLux Asia Equities 1U $ | LU1864951790 | 5,5 | 25/08/26 2.00.00 | USD | 28,64 | 45,26 | 96,23 | 0 | |
| CTLux Asia Equities 1E EUR | LU1864951527 | 4,71 | 25/08/26 2.00.00 | EUR | 29,54 | 45,51 | 81,11 | 19,77 | |
| MainTower Force Dynamique A Cap EUR | LU1589683124 | 67,29 | 24/05/19 2.00.00 | EUR | 0 | 0 | 0 | 0 | |
| Fundsmith Equity Feeder I EUR | LU0690374029 | 62,79 | 25/08/26 2.00.00 | EUR | 0,5 | 0,8 | 13,66 | 12,57 | |
| GFG Funds - Euro Global Bond P Acc EUR | LU0622616760 | 119,51 | 25/03/24 2.00.00 | EUR | 0 | 0,78 | -19,19 | 5,85 | |
| GFG Funds - Euro Global Bond PP Acc EUR | LU1095075120 | 88,43 | 25/03/24 2.00.00 | EUR | 0 | 0,53 | -19,78 | 5,85 | |
| GFG Funds - Income Opportunity P Acc EUR | LU1620753811 | 92,1 | 26/03/24 2.00.00 | EUR | 0 | 8,08 | -6,54 | 3,18 | |
| Fidelity Water & Waste A Cap EUR Hdg | LU1892830248 | 12,92 | 25/08/26 2.00.00 | EUR | 2,78 | 0,31 | 15,98 | 13,73 | |
| AQA Selective Income G Cap $ | MT7000019642 | 105,6 | 24/08/26 2.00.00 | USD | -1,06 | -0,62 | 9,77 | 0 | |
| T.Rowe Emerging Local Markets Bond A Cap | LU1655484183 | 12,02 | 25/08/26 2.00.00 | EUR | 3,62 | 8,19 | 13,83 | 4,73 | |
| AQA SELECTIVE Inc. class A Acc Eur IST | MT7000015780 | 106,55 | 16/01/20 2.00.00 | EUR | 0 | 3,72 | 1,79 | 1,37 | |
| AQA SELECTIVE Inc. class B Distr. Eur IS | MT7000015798 | 0 | 01/01/70 2.00.00 | EUR | 0 | 0 | 0 | 0 | |
| AQA SELECTIVE Inc. class C Acc� USD IST | MT7000015806 | 127,85 | 24/08/26 2.00.00 | USD | -0,68 | -0,02 | 11,82 | 0 | |
| AQA SELECTIVE Inc. class D Distr. USD IS | MT7000015814 | 0 | 01/01/70 2.00.00 | USD | 0 | 0 | 0 | 0 | |
| AQA SELECTIVE Inc. class E Acc�� Eur Ret | MT7000019626 | 0 | 01/01/70 2.00.00 | EUR | 0 | 0 | 0 | 0 |