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GraficoTitoliPaesiSettoriPerformance
2007201020132016201920222025

Prime posizioni

#NomePeso
1GOOGL0.04%
2AAPL0.04%
3INTC0.03%
4AMZN0.02%
5MSFT0.02%
6XOM0.02%
7BRK-B0.02%
8MU0.02%
9JPM0.02%
10META0.01%

Ripartizione geografica

0%27%54%81%107%North AmericaEurope DevelopedLatin AmericaAsia EmergingUnited Kingdom

Ripartizione settoriale

Technology
24.4%
Financial Services
14.9%
Healthcare
11.7%
Communication Services
9.4%
Industrials
8.9%
Consumer Cyclicals
8.6%
Energy
7.8%
Consumer Defensive
5.8%
Basic Materials
3.3%
Utilities
2.8%
Real Estate
2.4%

Performance e rischio

YTD
+14.2%
1 mese
+2.8%
3 mesi
+13.5%
6 mesi
+14.3%
1 anno
+31.0%
3 anni
+69.0%
5 anni
+65.6%
Dall'inizio
+440.6%
Rendimenti mensili (%)
AnnoGenFebMarAprMagGiuLugAgoSetOttNovDicAnno
20263.21.8-3.78.33.50.8+14.2%
20253.40.2-13.29.02.45.7-2.35.42.80.22.60.9+16.5%
20242.13.13.8-3.12.4-0.61.05.10.8-0.86.5-5.3+15.4%
20235.7-1.8-2.61.2-0.33.41.9-0.2-4.41.15.24.1+13.4%
2022-1.2-1.82.9-6.51.7-8.05.5-3.3-9.310.36.4-4.8-9.6%
20212.93.67.63.23.8-1.2-0.62.2-2.43.9-1.84.8+28.9%
2020-2.0-9.5-21.314.17.40.43.84.6-3.1-1.418.00.2+5.3%
20196.93.3-0.43.8-7.36.9-0.8-1.11.64.52.02.2+22.8%
20181.8-3.2-1.60.82.4-1.04.11.5-0.2-5.61.1-9.1-9.3%
20171.82.9-1.70.21.1-0.41.8-0.32.21.82.91.2+14.1%
2016-5.14.42.72.00.8-0.23.01.1-0.9-3.68.91.3+14.6%
2015-3.65.4-1.42.0-0.2-2.1-0.0-8.30.85.90.4-3.1-4.9%
2014-3.04.31.70.71.83.0-3.14.2-2.92.32.2-0.3+11.1%
20133.90.93.82.81.9-1.97.1-4.73.44.22.81.1+27.6%
20127.01.52.1-3.3-6.66.41.61.52.6-0.00.04.7+18.1%
20114.41.00.82.2-4.72.3-4.6-9.7-4.210.9-0.31.0-2.4%
2010-2.64.38.01.9-10.9-4.68.40.13.42.94.03.2+17.9%
2009-12.9-11.917.510.28.7-4.413.98.70.5-2.17.8-0.4+35.0%
20080.3-4.61.83.4-2.4-13.11.82.3-14.0-13.4-8.63.6-37.2%
20072.7-3.72.55.52.2-2.0-6.12.62.9-1.5-1.8-5.9-3.5%
20061.92.00.81.5-0.4-1.11.02.41.72.52.41.8+17.7%
Rendimenti di prezzo in valuta del fondo, da chiusure settimanali (≈ fine mese). Indicativi.