Menu
Screener
GraficoTitoliPaesiSettoriPerformance
20042007201020132016201920222025

Prime posizioni

#NomePeso
1TTMI0.01%
2SATS0.01%
3HUT0.01%
4RIOT0.01%
5UMBF0.01%
6CDE0.01%
7CMC0.01%
8VSAT0.01%
9ORA0.01%
10FLR0.00%

Ripartizione geografica

0%26%52%79%105%North AmericaLatin AmericaEurope DevelopedAfrica/Middle EastAsia DevelopedAsia EmergingUnited Kingdom

Ripartizione settoriale

Financial Services
23.6%
Technology
12.1%
Industrials
12.1%
Real Estate
10.0%
Healthcare
9.6%
Consumer Cyclicals
9.0%
Energy
8.1%
Basic Materials
5.4%
Utilities
5.1%
Communication Services
2.6%
Consumer Defensive
2.1%

Performance e rischio

YTD
+19.4%
1 mese
+3.2%
3 mesi
+17.0%
6 mesi
+16.5%
1 anno
+41.2%
3 anni
+55.8%
5 anni
+27.3%
Dall'inizio
+416.7%
Rendimenti mensili (%)
AnnoGenFebMarAprMagGiuLugAgoSetOttNovDicAnno
20266.01.9-2.78.32.72.1+19.4%
20251.1-3.8-14.98.41.59.4-4.810.83.1-1.32.90.4+10.4%
2024-4.63.93.1-2.91.1-2.35.24.7-1.6-0.49.7-8.1+6.7%
202312.8-3.8-8.9-2.53.22.25.8-2.0-7.10.45.58.2+12.0%
2022-6.71.83.1-8.52.8-9.78.1-4.6-9.510.84.7-7.3-16.5%
20215.09.56.40.74.9-2.9-3.42.9-0.92.0-3.83.7+26.0%
2020-4.9-9.6-32.419.07.50.63.95.6-2.40.525.81.7+2.9%
20197.84.3-3.85.1-9.45.6-2.6-2.72.85.90.62.4+15.6%
2018-0.5-2.3-0.43.35.0-0.21.42.3-2.8-7.2-0.3-10.0-11.9%
20170.40.5-1.50.4-0.91.1-0.5-1.16.1-0.43.1-1.3+5.7%
2016-6.55.72.82.02.40.24.33.3-0.4-5.115.53.6+29.4%
2015-3.84.61.9-2.40.4-0.6-2.6-7.1-0.74.71.5-4.7-9.1%
2014-3.14.6-0.1-1.70.64.9-7.44.7-6.86.8-0.41.5+2.6%
20133.40.53.30.72.3-0.56.9-5.45.43.04.00.5+26.2%
201211.7-4.13.7-4.4-5.87.2-1.03.22.8-1.60.66.8+19.1%
20111.72.91.81.1-6.13.5-5.0-14.6-5.615.0-1.21.3-7.7%
2010-2.84.59.35.8-12.9-6.39.1-1.54.03.46.63.6+22.5%
2009-14.0-13.917.66.12.3-2.112.83.71.6-2.56.82.8+17.7%
20083.9-5.24.21.11.6-13.09.24.4-12.4-13.0-11.34.6-26.0%
20072.5-4.53.43.22.2-3.6-11.95.70.1-3.5-2.9-7.3-16.7%
20067.02.13.80.3-2.0-1.5-1.13.00.13.34.20.8+21.4%
2005-1.82.2-5.4-4.77.03.95.3-2.9-0.4-1.04.5-3.3+2.5%
20042.42.22.9-7.31.63.8-3.82.44.4-0.69.70.9+19.1%
2003-4.8-3.03.08.78.13.60.85.63.43.24.23.6+41.8%
2002-1.02.44.95.4-4.4-3.5-17.54.0-11.48.44.9-2.7-13.2%
2001-0.6-11.62.76.27.8+3.4%
Rendimenti di prezzo in valuta del fondo, da chiusure settimanali (≈ fine mese). Indicativi.