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GraficoTitoliPaesiSettoriPerformance
20122014201620182020202220242026

Prime posizioni

#NomePeso
1HSBA.L0.09%
2SAN.MC0.06%
3ALV.DE0.05%
4UBSG.SW0.05%
5BBVA.MC0.04%
6UCG.MI0.03%
7BNP.PA0.03%
8ZURN.SW0.03%
9ISP.MI0.03%
10INGA.AS0.03%

Ripartizione geografica

0%21%41%62%82%Europe DevelopedUnited KingdomAsia Developed

Ripartizione settoriale

Financial Services
98.2%
Technology
1.1%
Industrials
0.8%

Performance e rischio

YTD
+3.5%
1 mese
+2.1%
3 mesi
+15.4%
6 mesi
+7.6%
1 anno
+20.4%
3 anni
+107.6%
5 anni
+88.8%
Dall'inizio
+72.7%
Rendimenti mensili (%)
AnnoGenFebMarAprMagGiuLugAgoSetOttNovDicAnno
20261.8-1.3-6.56.72.30.9+3.5%
20258.58.6-6.718.34.9-0.0-0.25.43.3-2.03.47.2+61.2%
2024-2.24.06.7-0.46.9-7.6-1.49.60.5-0.5-1.1-2.5+11.1%
202312.71.9-7.15.7-1.7-1.32.1-2.0-1.5-0.58.62.6+19.6%
20225.6-21.815.6-9.94.3-12.61.0-5.9-7.013.511.6-0.5-12.6%
2021-4.111.34.12.95.7-7.30.13.2-2.46.3-7.93.4+14.3%
2020-4.5-8.6-32.010.25.88.2-0.93.8-7.4-4.434.9-1.9-9.7%
20193.44.8-3.78.1-8.50.9-5.6-4.23.89.0-0.14.6+11.6%
20186.9-5.1-2.30.6-6.2-7.32.3-3.71.8-6.3-3.1-5.6-25.4%
20175.3-0.92.74.73.9-0.87.2-3.53.4-2.40.71.0+22.9%
2016-11.30.1-1.76.2-1.4-15.94.39.2-3.50.25.34.7-6.7%
2015-2.86.82.71.8-0.1-4.02.6-11.20.62.1-1.2-4.3-7.8%
2014-1.06.10.60.40.2-2.6-5.82.3-5.30.81.4-6.5-9.7%
20136.1-6.8-2.49.70.3-8.213.7-4.89.73.61.5-0.3+21.4%
201218.51.7-2.6-9.3-14.311.40.15.85.65.93.56.5+32.7%
201112.1-0.4-0.45.9-6.2-2.3-10.8-17.6-9.49.4-5.1-4.4-28.6%
20105.7-3.3-20.35.918.8-0.92.62.3-6.7-1.1-1.6%
Rendimenti di prezzo in valuta del fondo, da chiusure settimanali (≈ fine mese). Indicativi.