Fondi italiani
FondoRatingRendimento 1Y%NavData CompetenzaCategoriaValuta
+32.33%220.59103/06/2026Az. Area EuroEUR
+31.39%13.503/06/2026Az. Area EuroEUR
+9.47%7.49903/06/2026FlessibiliEUR
----BilanciatiEUR
+17.47%11.34603/06/2026BilanciatiEUR
----Ob. MistiEUR
+4.71%10.63903/06/2026Ob. MistiEUR
Portafoglio
0 Titoli
0.00 € Valore tot
0.00% Var %
�������t�������p�C�Ϣ.bn &j����a����R/�� 8��0�0pS9n���_Yl�۹�u���L>:��/r��[Om��.�V�� CiWm����t�Il��R���w���ۚ�hס1,y��nƸ���:ڥ0�X�~W|R�'�_4�]J��7_('/��T�5�h�_��>���¹��џ��g�ޙ�:���w����ؤ��&
Notifiche
0
Notifiche attive