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GraficoTitoliPaesiSettoriPerformance
2007201020132016201920222025

Prime posizioni

#NomePeso
1IQMM0.09%
2NVDA0.05%
3AAPL0.04%
4MU0.03%
5MSFT0.03%
6AMZN0.03%
7AMD0.02%
8GOOGL0.02%

Ripartizione geografica

0%27%53%80%106%North AmericaEurope DevelopedLatin AmericaAsia EmergingUnited Kingdom

Ripartizione settoriale

Technology
59.5%
Communication Services
13.9%
Consumer Cyclicals
11.0%
Consumer Defensive
6.5%
Healthcare
3.7%
Industrials
2.6%
Utilities
1.1%
Basic Materials
1.0%
Energy
0.5%
Financial Services
0.2%

Performance e rischio

YTD
+33.2%
1 mese
+1.8%
3 mesi
+44.2%
6 mesi
+32.8%
1 anno
+71.4%
3 anni
+214.3%
5 anni
+180.9%
Dall'inizio
+8396.3%
Rendimenti mensili (%)
AnnoGenFebMarAprMagGiuLugAgoSetOttNovDicAnno
20262.3-5.2-7.931.919.2-5.2+33.2%
20250.7-6.0-31.830.312.014.1-1.45.411.48.0-3.9-2.4+26.0%
20248.97.1-1.3-4.87.012.0-13.311.63.9-0.78.62.8+46.4%
202330.5-4.914.10.319.88.00.52.3-10.34.211.710.0+116.9%
2022-19.8-11.914.3-26.0-6.3-15.924.0-13.4-18.7-3.520.6-17.8-60.6%
20210.2-0.75.98.1-1.814.23.29.3-11.014.6-1.97.4+54.7%
20204.1-11.8-26.932.419.616.810.512.9-6.9-4.127.75.5+86.2%
201914.08.26.012.6-17.715.30.1-0.71.310.56.19.1+79.7%
201811.20.8-7.35.19.5-1.49.77.1-0.8-17.9-1.0-15.9-6.2%
201712.28.62.35.310.9-8.08.83.0-0.610.61.41.8+70.3%
2016-14.12.39.3-8.48.1-3.613.53.12.9-8.53.35.3+9.9%
2015-4.014.7-5.97.41.7-3.67.2-17.73.718.52.8-5.4+15.1%
2014-1.210.3-8.52.48.710.0-2.310.9-3.06.29.2-5.3+40.8%
20132.9-1.05.08.93.0-5.216.6-4.111.18.56.92.7+68.5%
201223.29.18.6-8.6-13.112.84.18.01.6-10.32.03.1+40.9%
201110.71.7-1.85.7-9.45.7-0.0-17.4-3.120.2-4.9-2.3+0.0%
2010-13.09.215.84.3-17.1-11.515.90.413.713.26.02.6+36.9%
2009-13.4-11.136.012.05.21.222.14.22.60.115.67.9+103.3%
2008-12.2-11.311.813.04.2-21.31.04.4-40.4-22.3-24.010.7-66.8%
20074.0-8.85.413.72.80.5-2.15.110.411.1-12.2-16.3+8.9%
2006-9.811.17.75.58.1-8.8+12.2%
Rendimenti di prezzo in valuta del fondo, da chiusure settimanali (≈ fine mese). Indicativi.