Quadro Performance
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Range Performance
Attiva Periodo (MAX 4)
275 Risultati
| Comparto | Class | YTD | 1W | 1M | 3M | 6M | 1Y | 2Y | 3Y | 5Y | Volatilità |
|---|---|---|---|---|---|---|---|---|---|---|---|
| Fideuram Fund Bond Global High Yield Obbl. Int. Li High Yield 26/08/2025 |
3.78 4.79 |
0.31 0.25 |
1.06 0.84 |
3.83 3.23 |
2.43 2.91 |
5.53 6.58 |
15.57 19.64 |
14.55 22.33 |
8.33 15.77 |
3.15% | |
| Fideuram Fund Bond US PLUS Obbl. Dollaro Gov. Medio/Lungo T. 26/08/2025 |
-6.89 -6.82 |
0.63 0.52 |
1.84 1.89 |
1.15 0.88 |
-8.14 -7.73 |
-2.16 -1.64 |
2.82 3.13 |
-7.40 -6.89 |
-4.83 -2.10 |
8.93% | |
| Fideuram Fund Bond Yen Obbl. Yen 26/08/2025 |
-11.97 -11.04 |
-0.02 -0.02 |
0.30 0.45 |
-6.59 -6.15 |
-13.43 -12.74 |
-14.38 -13.16 |
-19.46 -17.32 |
-33.49 -30.80 |
-42.84 -38.94 |
12.79% | |
| Fideuram Fund Commodities Az. Energia E M. P. 26/08/2025 |
2.12 4.01 |
1.63 1.72 |
-2.57 -2.04 |
-1.86 -1.06 |
-2.86 -2.21 |
4.26 6.79 |
-1.59 2.33 |
-15.80 -12.12 |
37.89 48.79 |
13.60% | |
| Fideuram Fund Equity Europe Az. Europa 26/08/2025 |
9.81 11.35 |
-0.75 -0.60 |
0.95 1.04 |
0.35 0.98 |
-0.59 0.55 |
6.94 8.97 |
23.30 24.99 |
31.87 33.41 |
55.31 57.62 |
15.03% | |
| Fideuram Fund Equity Global Emerging Markets Az. Paesi Emergenti 26/08/2025 |
6.50 7.06 |
0.42 0.36 |
2.26 2.11 |
6.77 7.15 |
1.58 2.60 |
12.28 12.47 |
23.78 23.27 |
13.41 10.60 |
27.00 17.33 |
16.97% | |
| Fideuram Fund Equity Japan Az. Pacifico 26/08/2025 | A |
2.54 4.12 |
-1.45 -1.43 |
4.27 4.56 |
4.59 5.03 |
2.22 3.07 |
6.76 7.86 |
24.39 25.29 |
24.01 24.26 |
38.58 39.38 |
28.17% |
| Fideuram Fund Equity Market Neutral Star Flessibili 26/08/2025 |
3.99 |
-0.21 |
2.44 |
1.63 |
2.71 |
2.25 |
7.20 |
6.77 |
6.14 |
||
| Fideuram Fund Equity Pacific ex Japan Az. Pacifico 26/08/2025 | A |
4.56 6.42 |
1.41 1.26 |
2.85 2.93 |
5.12 5.87 |
2.11 3.65 |
10.14 11.12 |
24.62 23.22 |
8.79 4.69 |
36.98 28.41 |
16.49% |
| Fideuram Fund Equity USA Az. America 26/08/2025 | A |
-2.98 -1.65 |
1.04 1.09 |
1.75 1.93 |
8.97 9.14 |
-2.73 -1.56 |
9.04 11.56 |
36.08 37.25 |
36.78 38.23 |
76.08 87.71 |
21.93% |
| Fideuram Fund Equity USA Az. America 26/08/2025 | H |
7.47 9.31 |
0.82 0.87 |
0.86 1.09 |
10.71 10.95 |
6.53 8.07 |
11.28 14.31 |
41.54 42.90 |
47.97 49.90 |
55.75 66.57 |
20.30% |
| Fideuram Fund Equity USA Value Az. America 26/08/2025 |
-4.67 -2.92 |
0.84 0.94 |
1.32 1.73 |
5.86 6.32 |
-7.35 -5.54 |
1.52 3.65 |
18.78 19.81 |
13.59 12.48 |
63.75 65.79 |
17.91% | |
| Fideuram Fund Euro Bond Long Risk Obbl. Euro Gov. Medio/Lungo T. 26/08/2025 |
-5.70 -4.68 |
-0.38 -0.36 |
-1.05 -0.96 |
-2.38 -1.99 |
-5.30 -4.47 |
-6.04 -4.53 |
0.13 3.33 |
-11.39 -7.40 |
-34.89 -30.30 |
9.42% | |
| Fideuram Fund Euro Bond Low Risk Obbl. Euro Gov. Breve T. 26/08/2025 |
0.99 1.95 |
0.05 0.07 |
0.13 0.24 |
-0.20 0.18 |
0.67 1.43 |
1.89 3.31 |
5.41 8.46 |
1.37 5.47 |
-7.14 -1.36 |
2.60% | |
| Fideuram Fund Euro Bond Medium Risk Obbl. Euro Gov. Medio/Lungo T. 26/08/2025 |
0.22 1.23 |
0.01 0.03 |
0.03 0.15 |
-0.48 -0.09 |
-0.16 0.71 |
0.51 2.05 |
5.35 8.64 |
-0.43 3.86 |
-13.94 -8.05 |
4.59% | |
| Fideuram Fund Euro Corporate Bond Obbl. Euro Corp. Inv. Grade 26/08/2025 |
2.28 2.37 |
-0.07 -0.02 |
0.12 0.23 |
0.90 1.14 |
1.24 1.39 |
4.02 4.38 |
11.97 12.51 |
9.75 11.74 |
-3.18 0.57 |
2.73% | |
| Fideuram Fund Euro Defensive Bond Obbl. Euro Gov. Breve T. 26/08/2025 |
0.85 1.75 |
0.02 0.05 |
0.09 0.19 |
-0.04 0.30 |
0.61 1.32 |
1.93 3.23 |
4.75 7.39 |
2.76 6.26 |
-2.40 2.79 |
1.23% | |
| Fideuram Fund Euro Short Term Obbl. Flessibili 26/08/2025 |
1.55 |
0.00 |
0.10 |
0.51 |
1.03 |
2.75 |
6.73 |
7.68 |
3.72 |
||
| Fideuram Fund Global Bond Obbl. Int. Li Gov. 26/08/2025 |
0.18 0.87 |
0.12 0.08 |
0.18 0.26 |
0.29 0.65 |
-0.52 0.07 |
-0.88 0.27 |
3.43 5.90 |
-2.69 2.17 |
-12.79 -9.04 |
3.25% | |
| Fideuram Fund Global Equity Az. Internazionali 26/08/2025 |
-0.65 1.07 |
0.58 0.72 |
1.70 1.98 |
7.06 7.29 |
-1.70 -0.63 |
8.16 11.06 |
33.21 33.86 |
36.78 34.53 |
78.87 74.85 |
17.63% |