| Nome | Codice Isin | Categoria Assogestioni | Ultimo Prezzo | Data Ultimo Pr. | Valuta | Var. % Iniz. anno | Var. % 12 mesi | Var. % 36 mesi | Volatilità |
|---|---|---|---|---|---|---|---|---|---|
| Credit Suisse SICAV (Lux) Equity Luxury | LU0348402537 | Az beni di consumo | 276,15 | 13/05/15 2.00.00 | EUR | 0 | 17,58 | 36,65 | 1315,07 |
| JPM ASEAN Equity A Acc EUR | LU0441852612 | Azionari Pacifico | 28,45 | 25/08/26 2.00.00 | EUR | 12,81 | 14,03 | 32,08 | 10,29 |
| CT(Lux) Asian Equity Inc AEH EUR | LU0198731027 | Azionari Pacifico | 64,84 | 24/08/26 2.00.00 | EUR | 26,89 | 41,25 | 79,11 | 19,05 |
| CT (Lux) Pan European Equities AE EUR | LU0061476155 | Azionari Europa | 120,59 | 24/08/26 2.00.00 | EUR | 9,03 | 15,39 | 43,03 | 14,66 |
| FTGF Royce US Small Cap Opp. E EUR | IE00B57L5Q19 | 503,08 | 25/08/26 2.00.00 | EUR | 22,78 | 29,62 | 48,67 | 18,68 | |
| MS Emerging Markets Debt BH EUR | LU0341474269 | 29,12 | 25/08/26 2.00.00 | EUR | 2,75 | 7,34 | 30,35 | 4,85 | |
| MS Emerging Markets Debt C EUR | LU0176158151 | 39,58 | 25/08/26 2.00.00 | EUR | 4,65 | 10,13 | 29,09 | 5,1 | |
| MS Emerging Markets Debt I EUR | LU0057132697 | 120,28 | 25/08/26 2.00.00 | EUR | 5,68 | 11,77 | 35,04 | 5,15 | |
| MSIF Sust Em Mkts Eq F C Eur | LU0176158821 | 39,25 | 25/08/26 2.00.00 | EUR | 23,93 | 41,9 | 79,8 | 22,33 | |
| MS Emerging Markets Equity I EUR | LU0054793475 | 81,17 | 25/08/26 2.00.00 | EUR | 25,28 | 44,33 | 89,03 | 22,4 | |
| MS Euro Bond C EUR | LU0176161882 | 32,48 | 25/08/26 2.00.00 | EUR | -0,92 | -0,76 | 5,45 | 3,21 | |
| MSIF European High Yield Bond C EUR | LU0176162427 | 59,9 | 25/08/26 2.00.00 | EUR | 1,61 | 2,6 | 18,9 | 2,23 | |
| JPM Acc.Cons Fd (EUR) A (inc) 6952 | LU0541676952 | 0 | 01/01/70 2.00.00 | EUR | 0 | 0 | 0 | 0 | |
| Private Bk. I Acc. Cap.Pres.(EUR) B Cap | LU0541677174 | Bilanciati Bilanciati | 140,15 | 18/08/26 2.00.00 | EUR | 2,02 | 4,06 | 15,87 | 0 |
| JPM Acc Cons Fd (EUR) B (inc) 7257 | LU0541677257 | 0 | 01/01/70 2.00.00 | EUR | 0 | 0 | 0 | 0 | |
| JPM Access Capital Preservation Fd (EUR) | LU0541677687 | Bilanciati Bilanciati | 108,52 | 10/07/19 2.00.00 | EUR | 0 | 4,97 | 0 | 0 |
| MS Global Bond C EUR 4598 | LU0176154598 | 26,22 | 25/08/26 2.00.00 | EUR | -0,04 | 0,58 | 2,7 | 3,18 | |
| MS Global Brands C EUR 0306 | LU0176160306 | 73,58 | 25/08/26 2.00.00 | EUR | -2,8 | -9,75 | -2,31 | 12,44 | |
| MS Global Convertible Bond AH EUR 8768 | LU0410168768 | 52,89 | 25/08/26 2.00.00 | EUR | 7,04 | 8,58 | 26,93 | 8 | |
| MS Global Convertible Bond BH EUR | LU0410168842 | 41,58 | 25/08/26 2.00.00 | EUR | 6,34 | 7,5 | 23,24 | 7,99 |