Quadro Performance

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Asset Class

Classe

Range Performance

Attiva Periodo (MAX 4)

275 Risultati

Comparto Class YTD 1W 1M 3M 6M 1Y 2Y 3Y 5Y Volatilità
Fonditalia SLJ Flexible China Flessibili 26/08/2025 T -2.73
2.01
2.92
4.15
-4.00
4.94
3.96
-13.04

Interfund Bond Global Emerging Markets Obbl. Paesi Emergenti 26/08/2025 6.55
6.98
-0.16
-0.22
1.59
1.56
4.97
4.97
3.83
4.22
5.63
6.13
18.68
19.02
19.40
19.37
-2.89
-2.68
5.06%
Interfund Bond Global High Yield Obbl. Int. Li High Yield 26/08/2025 3.09
5.46
0.28
0.43
0.61
1.48
2.89
3.89
1.56
3.57
4.90
7.26
15.60
20.40
15.04
23.11
7.23
16.50
2.98%
Interfund Bond Japan Obbl. Yen 26/08/2025 -11.71
-11.04
-0.03
-0.02
0.29
0.45
-6.50
-6.15
-13.26
-12.74
-14.00
-13.16
-18.67
-17.32
-32.52
-30.80
-41.31
-38.94
12.74%
Interfund Bond US PLUS Obbl. Dollaro Gov. Medio/Lungo T. 26/08/2025 A -6.57
-6.82
0.58
0.52
1.96
1.89
1.59
0.88
-7.90
-7.73
-1.43
-1.64
2.78
3.13
-7.97
-6.89
-4.60
-2.10
8.91%
Interfund Emerging Markets Local Currency Bond Obbl. Paesi Emergenti 26/08/2025 A 1.75
1.09
0.46
0.42
1.84
1.53
2.28
1.50
-0.82
-1.09
5.26
4.07
11.22
7.48
16.03
10.32
20.55
11.18
5.82%
Interfund Emerging Markets Local Currency Bond Obbl. Paesi Emergenti 26/08/2025 H 12.96
13.78
0.26
0.27
0.89
0.87
4.04
3.90
8.85
9.71
7.58
8.52
15.21
16.29
25.36
28.35
7.19
9.64
6.85%
Interfund Equity Europe Az. Europa 26/08/2025 10.55
11.35
-0.72
-0.60
1.04
1.04
0.64
0.98
-0.04
0.55
7.99
8.97
24.79
24.87
33.46
33.28
59.15
57.46
14.96%
Interfund Equity Global Emerging Markets Az. Paesi Emergenti 26/08/2025 7.46
7.06
0.54
0.36
2.52
2.11
7.01
7.15
2.32
2.60
14.04
12.54
24.09
23.34
15.17
10.66
30.02
17.40
16.87%
Interfund Equity Italy Az. Italia 26/08/2025 27.77
26.79
-0.16
-0.42
4.52
4.27
6.70
6.29
12.82
11.87
32.03
29.43
59.96
52.31
103.61
87.42
143.55
107.01
17.46%
Interfund Equity Japan Az. Pacifico 26/08/2025 H 9.87
11.37
-1.70
-1.69
3.62
3.90
11.18
11.41
12.90
13.79
17.04
17.90
44.61
45.18
70.42
68.92
108.05
104.98
29.64%
Interfund Equity Japan Az. Pacifico 26/08/2025 A 2.64
4.12
-1.44
-1.43
4.34
4.56
4.73
5.03
2.24
3.07
6.93
7.86
25.04
25.29
25.63
24.26
41.80
39.38
28.16%
Interfund Equity Pacific Ex Japan Az. Pacifico 26/08/2025 H 11.97
14.40
0.92
0.78
2.76
2.78
7.34
8.07
9.74
11.78
17.12
18.20
31.45
29.19
27.69
22.47
39.87
29.51
12.59%
Interfund Equity Pacific Ex Japan Az. Pacifico 26/08/2025 A 4.79
6.42
1.37
1.26
2.87
2.93
5.33
5.87
2.29
3.65
10.34
11.12
24.78
23.22
8.54
4.69
36.43
28.41
16.44%
Interfund Euro Bond Long Term Obbl. Euro Gov. Medio/Lungo T. 26/08/2025 -5.41
-4.68
-0.37
-0.36
-0.99
-0.96
-2.23
-1.99
-5.08
-4.47
-5.61
-4.53
0.99
3.33
-10.20
-7.40
-33.10
-30.30
9.44%
Interfund Euro Bond Medium Term Obbl. Euro Gov. Medio/Lungo T. 26/08/2025 0.58
1.23
0.02
0.03
0.09
0.15
-0.33
-0.09
0.10
0.71
1.09
2.05
6.57
8.64
1.33
3.86
-11.17
-8.05
4.57%
Interfund Euro Bond Short Term 1-3 Obbl. Euro Gov. Breve T. 26/08/2025 1.07
1.75
0.03
0.05
0.13
0.19
0.07
0.30
0.77
1.32
2.30
3.23
5.55
7.39
3.82
6.26
-0.62
2.79
1.26%
Interfund Euro Bond Short Term 3-5 Obbl. Euro Gov. Medio/Lungo T. 26/08/2025 1.33
1.95
0.06
0.07
0.19
0.24
-0.05
0.18
0.92
1.43
2.44
3.31
6.56
8.46
2.96
5.47
-4.72
-1.36
2.60%
Interfund Euro Corporate Bond Obbl. Euro Corp. Inv. Grade 26/08/2025 2.29
2.37
-0.03
-0.02
0.20
0.23
1.11
1.14
1.33
1.39
4.25
4.38
12.19
12.51
10.77
11.74
-1.54
0.57
2.70%
Interfund Euro Currency Obbl. Flessibili 26/08/2025 1.66
0.01
0.14
0.58
1.07
2.90
7.01
8.24
4.73