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GraficoTitoliPaesiSettoriPerformance
201020122014201620182020202220242026

Prime posizioni

#NomePeso
1WMT0.14%
2COST0.12%
3PG0.09%
4KO0.08%
5PEP0.05%
6PM0.04%
7MO0.04%
8MDLZ0.03%
9CL0.02%
10MNST0.02%

Ripartizione geografica

0%27%54%81%108%North America

Ripartizione settoriale

Consumer Defensive
97.5%
Consumer Cyclicals
1.8%
Industrials
0.3%
Basic Materials
0.3%
Healthcare
0.0%

Performance e rischio

YTD
+10.1%
1 mese
+0.9%
3 mesi
+0.4%
6 mesi
+7.4%
1 anno
+5.0%
3 anni
+21.0%
5 anni
+29.5%
Dall'inizio
+302.7%
Rendimenti mensili (%)
AnnoGenFebMarAprMagGiuLugAgoSetOttNovDicAnno
20267.67.6-7.92.9-3.43.8+10.1%
20252.04.4-6.34.71.8-1.1-2.31.0-2.9-2.23.8-2.4-0.1%
20242.71.13.0-0.91.8-1.43.53.5-1.2-1.15.3-5.6+10.6%
2023-0.3-1.22.63.6-3.80.90.9-2.8-4.3-0.33.01.7-0.3%
2022-2.50.61.40.6-5.1-1.02.0-2.3-8.28.37.2-4.0-4.2%
2021-4.1-0.78.62.60.3-1.30.71.1-2.24.7-2.57.6+14.9%
20200.5-8.1-0.20.64.4-0.65.61.12.5-5.19.3-0.2+9.0%
20194.02.32.12.71.51.4-0.33.4-1.30.81.40.9+20.4%
2018-0.7-4.6-1.9-4.92.72.71.62.1-1.93.01.7-8.8-9.3%
20172.03.8-0.70.82.5-3.90.9-0.2-1.8-1.45.81.2+9.0%
20160.02.72.6-0.11.93.2-1.6-3.6-0.6-1.6-1.52.6+3.8%
2015-0.84.30.2-1.1-2.83.61.8-5.93.30.80.7-0.1+3.7%
2014-4.23.91.54.01.90.7-3.13.80.42.85.1-2.8+14.5%
20133.82.64.24.2-0.9-0.74.0-4.22.84.61.3-2.6+20.4%
20120.52.13.0-0.50.13.61.40.82.6-3.22.4-2.2+10.9%
2011-0.31.23.13.9-1.74.1-5.80.10.53.22.00.5+11.0%
2010-1.03.04.5-4.9-0.90.72.61.53.23.4-0.6-0.1+11.7%
20096.44.13.1-1.15.2-3.5+14.6%
Rendimenti di prezzo in valuta del fondo, da chiusure settimanali (≈ fine mese). Indicativi.