| Nome | Codice Isin | Categoria Assogestioni | Ultimo Prezzo | Data Ultimo Pr. | Valuta | Var. % Iniz. anno | Var. % 12 mesi | Var. % 36 mesi | Volatilità |
|---|---|---|---|---|---|---|---|---|---|
| DWS Inv Glbl Infrastructure LC EUR | LU0329760770 | Az altre specializzazioni | 230,3 | 25/08/26 2.00.00 | EUR | 7,34 | 6,68 | 29,67 | 12,81 |
| DWS Inv Glbl Infrastructure NC | LU0329760853 | Az altre specializzazioni | 201,35 | 25/08/26 2.00.00 | EUR | 6,86 | 5,93 | 26,97 | 12,8 |
| DWS Inv Chinese Equities FC EUR | LU0273146190 | Azionari Paese | 252,19 | 25/08/26 2.00.00 | EUR | -9,18 | -8,39 | 19,53 | 17,09 |
| Optimiz Best Start PI | IT0006716341 | 110,34 | 02/02/15 2.00.00 | EUR | 0 | 9,75 | 60,68 | 0 | |
| MS Euro Corporate Bond C EUR | LU0176164985 | Obbl euro corporate invest gr | 39,76 | 25/08/26 2.00.00 | EUR | -0,18 | 0,2 | 11,69 | 2,55 |
| DWS Inv Glbl Real Estate Secur. LD Dis E | LU0507268513 | 144,2 | 25/08/26 2.00.00 | EUR | 6,52 | 6,7 | 16,31 | 13,38 | |
| DWS Inv Top Dividend ND EUR | LU0544572786 | 197,14 | 25/08/26 2.00.00 | EUR | 12,29 | 19,89 | 41,25 | 10,77 | |
| Fidelity Gl. Multi Asset Defens. A Dis E | LU0413543991 | Bilanciati obbligazionari | 11,7 | 25/08/26 2.00.00 | EUR | 3,6 | 7,94 | 20,61 | 5,72 |
| CT SF Emerging Market Local R GAcc EUR | GB00B3CD6J84 | 1,8 | 05/08/25 2.00.00 | EUR | 0 | 2,58 | 9,71 | 7,04 | |
| CT IF Japan R NAcc EUR | GB00B0WHP703 | 1,55 | 25/08/26 2.00.00 | EUR | 17,16 | 26,12 | 70,52 | 18,07 | |
| CT(Lux) Enhanced Commodities DEH | LU0515769429 | 11,59 | 24/08/26 2.00.00 | EUR | 29,66 | 38,2 | 44,84 | 16,29 | |
| CT(Lux) Enhanced Commodities AEH | LU0515768454 | 15,5 | 24/08/26 2.00.00 | EUR | 29,87 | 38,56 | 45,91 | 16,29 | |
| SEB Listed Priv.Equity Fd IC | LU0385670988 | 387,54 | 24/08/26 2.00.00 | EUR | -0,19 | -0,69 | 40,91 | 17,17 | |
| SEB Listed Priv.Equity Fd C | LU0385668222 | 525,22 | 24/08/26 2.00.00 | EUR | -0,79 | -1,67 | 37,09 | 17,03 | |
| SEB Listed Priv Equity Fd ID | LU0385672414 | 225,75 | 24/08/26 2.00.00 | EUR | -0,31 | -0,91 | 39,99 | 17,03 | |
| Kairos Int. Multy Strategy UCITS F Cap E | LU0525890454 | Fondi Flessibili | 115,73 | 23/01/14 2.00.00 | EUR | 0 | 6,63 | 0 | 347,52 |
| Kairos Int. Dynamic F | LU0525889100 | 120,87 | 23/01/14 2.00.00 | EUR | 0 | -0,3 | 0 | 0 | |
| Kairos Int. Bond F | LU0525889449 | 121 | 23/01/14 2.00.00 | EUR | 0 | 2,29 | 0 | 0 | |
| Kairos Int. Bond D | LU0406836667 | 130,18 | 24/08/26 2.00.00 | EUR | 0,58 | 1,11 | 11,83 | 1,41 | |
| Kairos Int. Em. Markets F Cap EUR | LU0525890025 | Azionari Pacifico | 120,97 | 23/01/14 2.00.00 | EUR | 0 | -0,84 | 0 | 1129,59 |