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GraficoTitoliPaesiSettoriPerformance
20122014201620182020202220242026

Prime posizioni

#NomePeso
12330.TW0.04%
2005930.KS0.02%
3000660.KS0.02%
4ASML.AS0.01%
50700.HK0.01%
6HSBA.L0.01%
7ROP.SW0.01%
8NOVN.SW0.01%

Ripartizione geografica

0%7%15%22%30%Europe DevelopedAsia DevelopedJapanAsia EmergingNorth AmericaUnited KingdomAustralasiaAfrica/Middle EastLatin AmericaEurope Emerging

Ripartizione settoriale

Financial Services
22.3%
Technology
18.1%
Industrials
16.1%
Consumer Cyclicals
8.4%
Basic Materials
7.6%
Healthcare
7.1%
Energy
5.2%
Consumer Defensive
5.0%
Communication Services
4.4%
Utilities
3.2%
Real Estate
2.6%

Performance e rischio

YTD
+11.9%
1 mese
+0.3%
3 mesi
+11.6%
6 mesi
+13.3%
1 anno
+26.0%
3 anni
+52.3%
5 anni
+27.1%
Dall'inizio
+73.7%
Rendimenti mensili (%)
AnnoGenFebMarAprMagGiuLugAgoSetOttNovDicAnno
20264.15.2-7.67.13.7-0.4+11.9%
20253.01.9-7.413.22.93.8-1.84.64.6-0.00.42.1+29.4%
2024-1.53.91.70.11.5-1.6-1.46.62.0-4.2-0.3-4.2+2.0%
20238.1-1.40.11.9-0.60.30.8-1.1-4.30.94.62.6+12.1%
2022-2.7-7.55.5-7.51.0-8.53.7-6.1-8.96.810.1-3.9-18.6%
20210.22.33.01.44.5-2.2-1.43.2-5.32.6-4.11.9+5.7%
2020-3.3-6.6-19.59.07.65.82.13.8-1.5-2.716.81.0+8.2%
20195.52.10.23.1-5.74.6-3.4-0.71.15.50.03.1+15.6%
20183.3-3.80.10.5-0.8-4.11.6-1.4-0.3-6.4-0.7-4.2-15.3%
20175.01.21.92.14.6-2.04.00.21.12.40.11.3+23.8%
2016-5.53.40.83.20.1-2.94.22.3-0.7-4.10.31.1+1.7%
20150.55.8-0.13.8-1.7-3.0-1.3-11.32.13.9-1.0-3.2-6.4%
2014-3.75.60.11.21.62.2-3.41.5-7.21.7-0.5-4.9-6.3%
20132.4-2.20.84.2-3.9-4.96.5-3.77.72.40.8-1.2+8.2%
201210.91.5-0.8-4.5-10.78.62.00.91.71.21.74.5+16.2%
20110.70.54.3-4.61.4-2.7-11.3-9.89.7-2.3-5.3-19.4%
Rendimenti di prezzo in valuta del fondo, da chiusure settimanali (≈ fine mese). Indicativi.