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
Fideuram Fund Inflation Linked Obbl. Altre Specializzazioni 26/08/2025 0.36
1.38
0.43
0.48
-0.08
0.05
0.76
1.17
-1.14
-0.30
-3.22
-1.73
-0.27
2.72
-11.52
-7.95
-18.26
-12.27
4.69%
Fideuram Fund Millennials Equity USA Az. America 26/08/2025 -2.51
-0.72
1.13
1.22
0.66
0.75
6.57
7.04
-1.52
-0.39
16.71
18.42
44.48
54.18
33.98
64.86
1.72
105.96
25.67%
Fideuram Italia Az. Italia 30/06/2025 R 20.40
19.06
2.48
2.51
-0.45
-0.39
7.20
6.11
20.40
19.06
25.30
25.16
51.27
51.59
99.84
100.91
151.88
139.79
17.91%
Fideuram Risparmio Attivo Obbl. Euro Gov. Breve T. 30/06/2025 1.24
1.58
0.03
0.05
-0.01
0.06
0.70
0.88
1.24
1.58
3.77
4.43
6.55
7.88
3.68
5.66
-0.46
2.60
1.18%
FMS Balanced Bilanciati 30/06/2025 -0.82
-0.06
0.72
0.74
0.79
0.92
1.14
1.62
-0.82
-0.06
0.95
4.85
10.31
14.63
12.66
17.54
18.26
25.47
7.09%
FMS Equity Global Az. Internazionali 30/06/2025 -5.29
-3.47
1.74
1.28
0.89
0.89
1.59
2.62
-5.29
-3.47
1.06
6.15
21.89
29.87
34.37
47.48
70.88
97.56
15.40%
FMS Global Emerging Markets Az. Paesi Emergenti 30/06/2025 -0.98
1.66
1.75
1.72
1.87
2.53
0.44
1.48
-0.98
1.66
2.06
5.26
8.79
20.59
2.68
17.58
12.19
32.99
14.07%
Fonditalia 4Children Bilanciati Azionari 26/08/2025 R 1.10
0.85
0.48
-0.36
0.76
1.13
0.57
2.76
-4.14
-2.75
2.51
0.37
-2.80
-0.28
-15.84
-8.59

12.10%
Fonditalia 4Children Bilanciati Azionari 26/08/2025 R1 1.10
0.85
0.48
-0.36
0.76
1.13
0.56
2.76
-4.16
-2.75
2.47
0.37
-2.69
-0.28
-15.65
-8.59

12.09%
Fonditalia 4Children Bilanciati Azionari 26/08/2025 T 1.63
0.85
0.50
-0.36
0.84
1.13
0.78
2.76
-3.76
-2.75
3.30
0.37
-1.11
-0.28
-13.60
-8.59

12.11%
Fonditalia Africa and Middle East Equity Az. Paesi Emergenti 26/08/2025 R 7.85
9.28
0.67
0.75
3.40
3.57
6.37
6.75
2.18
3.30
13.92
15.30
23.73
20.94
3.62
-0.31
66.92
54.26
13.56%
Fonditalia Africa and Middle East Equity Az. Paesi Emergenti 26/08/2025 T 8.41
9.28
0.68
0.75
3.47
3.57
6.58
6.75
2.59
3.30
14.83
15.30
25.73
20.94
6.14
-0.31
73.76
54.26
13.56%
Fonditalia Allocation Risk Optimization Flessibili 26/08/2025 T 0.89
0.21
0.39
1.59
-0.60
2.27
9.37
4.66
-0.28
Fonditalia Allocation Risk Optimization Flessibili 26/08/2025 R 0.56
0.20
0.34
1.46
-0.84
1.77
8.27
3.11
-2.68
Fonditalia Allocation Risk Optimization Flessibili 26/08/2025 S 0.55
0.20
0.35
1.46
-0.84
1.76
8.28
3.11
-2.68
Fonditalia Bond Global Emerging Markets Obbl. Paesi Emergenti 26/08/2025 T 6.58
6.98
-0.16
-0.22
1.59
1.56
4.95
4.97
3.79
4.22
5.62
6.13
18.39
19.02
18.46
19.37
-3.61
-2.68
5.05%
Fonditalia Bond Global Emerging Markets Obbl. Paesi Emergenti 26/08/2025 R 6.37
6.98
-0.17
-0.22
1.57
1.56
4.86
4.97
3.63
4.22
5.30
6.13
17.68
19.02
17.40
19.37
-5.05
-2.68
5.05%
Fonditalia Bond Global Emerging Markets Obbl. Paesi Emergenti 26/08/2025 S 6.37
6.98
-0.17
-0.22
1.57
1.56
4.86
4.97
3.63
4.22
5.31
6.13
17.68
19.02
17.40
19.37
-5.05
-2.68
5.04%
Fonditalia Bond Global High Yield Obbl. Int. Li High Yield 26/08/2025 T 4.45
4.79
0.18
0.25
0.77
0.84
3.04
3.23
2.71
2.91
5.74
6.58
17.56
19.64
18.53
22.33
9.73
15.77
2.88%
Fonditalia Bond Global High Yield Obbl. Int. Li High Yield 26/08/2025 R 3.91
4.79
0.16
0.25
0.70
0.84
2.84
3.23
2.30
2.91
4.90
6.58
15.69
19.64
15.73
22.33
5.43
15.77
2.87%