Menu
Screener
GraficoTitoliPaesiSettoriPerformance
201620182020202220242026

Prime posizioni

#NomePeso
1ASML.AS0.06%
2HSBA.L0.03%
3285A.T0.03%
4RY.TO0.02%
5TD.TO0.02%
6NOVN.SW0.02%
7ROP.SW0.02%
8TTE.PA0.02%
9SAN.MC0.02%
108035.T0.01%

Ripartizione geografica

0%10%19%29%39%Europe DevelopedJapanNorth AmericaUnited KingdomAsia DevelopedAustralasiaAfrica/Middle EastAsia EmergingLatin AmericaEurope Emerging

Ripartizione settoriale

Financial Services
28.2%
Technology
16.8%
Industrials
15.0%
Energy
10.3%
Basic Materials
9.7%
Healthcare
8.4%
Utilities
5.3%
Consumer Defensive
2.1%
Consumer Cyclicals
1.8%
Communication Services
1.5%
Real Estate
1.0%

Performance e rischio

YTD
+9.9%
1 mese
+1.3%
3 mesi
+12.3%
6 mesi
+8.9%
1 anno
+17.9%
3 anni
+64.9%
5 anni
+34.7%
Dall'inizio
+103.5%
Rendimenti mensili (%)
AnnoGenFebMarAprMagGiuLugAgoSetOttNovDicAnno
20264.14.0-7.45.92.31.2+9.9%
20254.42.1-8.117.23.71.4-1.44.23.5-1.01.50.6+29.7%
20243.66.43.8-2.12.7-1.9-5.610.1-1.4-1.90.7-4.3+9.5%
20233.61.00.23.5-2.01.3-1.2-0.4-3.72.15.31.3+11.2%
2022-4.9-9.38.8-8.61.6-9.73.1-6.1-7.39.08.1-2.6-18.9%
2021-1.00.42.51.83.0-3.50.93.1-5.34.5-4.5-0.3+1.0%
20201.1-7.0-14.310.78.75.13.71.22.2-4.09.84.7+20.9%
20194.33.41.41.7-2.54.8-2.00.5-0.54.20.42.4+19.2%
20183.8-4.30.90.8-0.4-3.40.60.51.6-8.2-1.9-4.7-14.4%
20176.00.32.51.14.5-1.63.70.32.92.3-1.30.3+23.0%
2016-4.21.01.93.5-0.61.81.2-1.20.3-5.4-0.90.7-2.2%
20153.70.23.0-1.2-2.31.7-9.6-1.13.90.4-1.3-3.2%
Rendimenti di prezzo in valuta del fondo, da chiusure settimanali (≈ fine mese). Indicativi.