Portafoglio modello in fondi : Dinamico
Franklin Diversified Dynamic N Acc EUR
15% FF American Growth Fund A Acc USD
11% BlackRock European Value Fund A2
9% Invesco Global Flex Bond E Acc EUR
7% FF Asia Pacific Dividend A USD
7% Amundi Income Opport G EUR Hgd C
7% SISF US Large Cap A Acc USD
15% Sistema Anima Europa A
15% JPM IF Global High Yield A Acc USD
3% Amundi Abs Ret Global Opp Bond E2 EUR C
5% Amundi New Silk Road G EUR C
6% Franklin Diversified Dynamic N Acc EUR
15% FF American Growth Fund A Acc USD
11% BlackRock European Value Fund A2
9% Invesco Global Flex Bond E Acc EUR
7% SISF US Large Cap A Acc USD
15%


 NomeYTD %1A (%)3A (%)5A (%)RatingData
Sistema Anima Europa A10,857,5722,2949,53Notation au 31/07/2025 : 46 / 10019/08/25
SISF US Large Cap A Acc USD-0,5011,8437,42111,14Notation au 31/07/2025 : 95 / 10020/08/25
Franklin Diversified Dynamic N Acc EUR-1,123,1310,7736,43Notation au 31/07/2025 : 51 / 10019/08/25
FF American Growth Fund A Acc USD-8,03-0,3312,4160,66Notation au 31/07/2025 : 48 / 10019/08/25
BlackRock European Value Fund A217,4119,8252,4796,33Notation au 31/07/2025 : 76 / 10020/08/25
Invesco Global Flex Bond E Acc EUR-8,10-4,250,078,16Notation au 31/07/2025 : 48 / 10020/08/25
FF Asia Pacific Dividend A USD3,867,007,2943,75Notation au 31/07/2025 : 72 / 10019/08/25
Amundi Income Opport G EUR Hgd C13,439,5221,8932,72Notation au 31/07/2025 : 69 / 10019/08/25
Amundi New Silk Road G EUR C7,7216,4820,5936,89Notation au 31/07/2025 : 67 / 10019/08/25
Amundi Abs Ret Global Opp Bond E2 EUR C1,852,480,99-4,08Notation au 31/07/2025 : 21 / 10019/08/25
JPM IF Global High Yield A Acc USD-6,162,585,8929,44Notation au 31/07/2025 : 48 / 10019/08/25
Obbligazioni
Bilanciati
Azioni
15%
22%
63%
Asset Allocation ?
Rischio del portafoglio ?
1 2 3 4 5 6 7
 PesoAsset class
 
5,0Obblig. Euro all maturit.
 
7,0Obblig. Globale
 
3,0Obblig. High Yield
 
24,0Az. Europa
 
26,0Az. USA
 
7,0Az. Pacifico
 
6,0Az. Paesi Emergenti
 
22,0Flessibili dinamici
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venerdì 22 agosto 2025
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