| Nome | Codice Isin | Categoria Assogestioni | Ultimo Prezzo | Data Ultimo Pr. | Valuta | Var. % Iniz. anno | Var. % 12 mesi | Var. % 36 mesi | Volatilità |
|---|---|---|---|---|---|---|---|---|---|
| BNP Paribas Europe Real Estate Sec. Clas | LU0283511359 | 268,17 | 27/08/26 2.00.00 | EUR | 4,75 | 3,25 | 22,06 | 17,09 | |
| SSgA GM Volatility Equity P Cap $ | LU0450104905 | Azionari internazionali | 25,73 | 27/08/26 2.00.00 | USD | 8,78 | 11,46 | 39,3 | 0 |
| Fin. Ech. ARTY SRI EUR | FR0010611293 | 1908,23 | 27/08/26 2.00.00 | EUR | 1,47 | 2,92 | 15,6 | 5,97 | |
| Neu.Berman China Equity Inst Cap EUR | IE00B54BLX33 | 26,61 | 27/08/26 2.00.00 | EUR | -1,48 | 3,95 | 37,95 | 17,96 | |
| Fidelity Emerging Markets Y Cap EUR | LU1097728361 | Azionari paesi emergenti | 26,58 | 27/08/26 2.00.00 | EUR | 32,97 | 50,42 | 88,11 | 22 |
| BSF European Select Strategies E2 Cap EU | LU1271725449 | 111,36 | 27/08/26 2.00.00 | EUR | 0,92 | 2,99 | 14,05 | 5,96 | |
| HSBC GIF GEM Debt Total Return L1 EUR Hd | LU0570051812 | Obbligazionari flessibili | 10,45 | 27/08/26 2.00.00 | EUR | 1,5 | 6,29 | 22,15 | 4,52 |
| HSBC GIF GEM Debt Total Return L1 $ Hdg | LU0570051812 | Obbligazionari flessibili | 12,18 | 27/08/26 2.00.00 | USD | 0,59 | 6,78 | 32,09 | 0 |
| Candriam Bonds Euro High Yield I EUR | LU0144746509 | Obbl euro High yield | 1620,63 | 27/08/26 2.00.00 | EUR | 1,48 | 2,94 | 22,12 | 2,35 |
| Candriam Bonds Em Mkts I EUR Hdg | LU0594539982 | Obbl paesi emergenti | 1566,18 | 27/08/26 2.00.00 | EUR | 0,61 | 4,78 | 27,99 | 4,99 |
| Fidelity Em. Markets A Cap EUR | LU1048684796 | Azionari paesi emergenti | 26,86 | 27/08/26 2.00.00 | EUR | 32,25 | 49,22 | 83,34 | 21,99 |
| Oyster Japan Opp I EUR | LU0619016396 | 5745,63 | 27/08/26 2.00.00 | EUR | 22,29 | 37,74 | 103,5 | 14,34 | |
| Templeton Global Bond A YDis EUR | LU0300745303 | Obbligazionari flessibili | 9,32 | 27/08/26 2.00.00 | EUR | 4,98 | 6,67 | 5,26 | 4,6 |
| KAIROS INT SICAV - KEY Y | LU1135138532 | 181,3 | 27/08/26 2.00.00 | EUR | 2,89 | 6,15 | 33,04 | 10,13 | |
| KAIROS INT SICAV - ITALIA Y | LU1135138375 | 204,11 | 27/08/26 2.00.00 | EUR | 7,21 | 11,5 | 41,4 | 6,27 | |
| KAIROS INT SICAV - KEY P | LU1027258836 | 239,86 | 27/08/26 2.00.00 | EUR | 2,05 | 5,14 | 29,69 | 9,96 | |
| KIS REAL RETURN P | LU1093499843 | 133,51 | 27/08/26 2.00.00 | EUR | 7,5 | 9,5 | 27,79 | 5,29 | |
| AZ F.1 Alt. Capital Enhanced A Cap EUR | LU0677519224 | F M Monetario area euro | 6,27 | 27/08/26 2.00.00 | EUR | 2,57 | 3,98 | 3,01 | 1,09 |
| AZ F.1 Bd Patriot A Dis EUR | LU0738951549 | Obbl euro governativi m/l t | 6,48 | 27/08/26 2.00.00 | EUR | -2,22 | -1,46 | 8,57 | 5,62 |
| Mediolanum BB Fidelity Global Allocation | IE00BYVXRX70 | 5,63 | 27/08/26 2.00.00 | EUR | 7,32 | 11,49 | 29,18 | 7,35 |