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Caratteristiche
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Bacino di ricerca
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Rating
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Tipo di investitore
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Selezione rapida:
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| F | Atomo Certificate Fund R EUR | 115,11 | EUR | - | 6,45% | - | - | 14/04 |
| F | AXA IM Loan Fund A EUR | 0,96 | EUR | - | 1,61% | 16,73% | -3,46% | 01/04 |
| F | AZ Eskatos Multistrategy ILS Fund A USD | 164,40 | EUR | - | 2,11% | 5,12% | 8,33% | 31/03 |
| F | AZ Eskatos Multistrategy ILS Fund B EUR | 142,98 | EUR | - | 0,58% | 3,15% | -1,33% | 31/03 |
| F | AZ Eskatos Multistrategy ILS Fund B USD | 101,02 | EUR | - | - | - | - | 31/03 |
| F | AZ Eskatos Multistrategy ILS Fund D EUR | 98,45 | EUR | - | -1,18% | 1,34% | -3,06% | 31/03 |
| F | AZ F 1 Alternative Gb Macro Opport AZC | 6,35 | EUR | - | 1,11% | 7,50% | 0,95% | 15/04 |
| F | AZ F.1 AZ Allocation Turkey AZC Acc | 4,53 | EUR | - | 4,87% | 8,02% | 4,31% | 15/04 |
| F | AZ F.1 AZ Allocation Turkey AZD Acc | 2,55 | EUR | - | 2,82% | 1,89% | -3,26% | 15/04 |
| F | AZ F.1 AZ Allocation Turkey BZC Acc | 4,53 | EUR | - | 4,89% | 8,07% | 4,33% | 15/04 |
| F | AZ F.1 AZ Allocation Turkey BZD Acc | 2,55 | EUR | - | 2,86% | 1,89% | -3,29% | 15/04 |
| F | AZ F1 AZ Alternative Gb Macro Opport BZC | 6,36 | EUR | - | 1,11% | 7,49% | 0,99% | 15/04 |
| F | AZ F1 AZ Bond Real Plus A-AZ Acc | 3,59 | EUR | - | -8,49% | -13,58% | -27,31% | 15/04 |
| F | AZ F1 AZ Bond Real Plus A-AZ Dis | 3,27 | EUR | - | -8,97% | -13,95% | -28,04% | 15/04 |
| F | AZ F1 AZ Bond Real Plus B-AZ Acc | 3,59 | EUR | - | -8,51% | -13,51% | -27,25% | 15/04 |
| F | AZ F1 AZ Bond Real Plus B-AZ Dis | 3,27 | EUR | - | -8,97% | -13,98% | -28,06% | 15/04 |
| F | Bitcoin Tracker Ether Euro Acc EUR | 197,27 | EUR | - | 244,93% | 1304,09% | 383,16% | 16/04 |
| F | Bitcoin Tracker Ether One Acc SEK | 199,43 | SEK | - | 244,91% | 1294,57% | 381,21% | 16/04 |
| F | Bitcoin Tracker One SEK | 2.541,00 | SEK | - | 127,33% | 733,58% | 684,72% | 16/04 |
| F | Bitcoin Tracker One SEK BT EUR C | 2.513,79 | EUR | - | 127,37% | 736,90% | 688,47% | 16/04 |
| F | Boost US Treasuries 10Y 3x Lvg Daily ETP | 131,09 | USD | - | -7,34% | -18,98% | 38,75% | 15/04 |
| F | CSAM IRIS balancd fd EBH EUR C | 905,25 | EUR | - | - | 3,33% | - | 30/09 |
| F | CSAM IRIS balancd fd SA USD D | 927,55 | USD | - | -0,33% | 1,96% | 4,23% | 28/02 |
| F | CSAM IRIS balancd fd SAH CHF D H | 838,95 | CHF | - | -3,41% | 4,23% | -2,69% | 28/02 |
| F | CSAM IRIS balancd fd SAH EUR D H | 787,88 | EUR | - | - | -6,03% | - | 31/12 |
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