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 Dynamic Allocation Multi Asset Flessibili 26/08/2025 S 4.12
0.31
1.19
4.07
1.88
5.09
14.64
7.77
-0.27
Fonditalia Dynamic New Allocation Flessibili 26/08/2025 T 2.25
0.09
0.60
2.60
0.65
3.62
13.61
10.91
11.55
Fonditalia Dynamic New Allocation Flessibili 26/08/2025 R 1.95
0.09
0.56
2.48
0.43
3.16
12.59
9.42
9.08
Fonditalia Emerging Markets Local Currency Bond Obbl. Paesi Emergenti 26/08/2025 R 1.22
1.09
0.44
0.42
1.74
1.53
2.09
1.50
-1.19
-1.09
3.67
4.07
8.84
7.48
10.25
10.32
15.14
11.18
5.84%
Fonditalia Emerging Markets Local Currency Bond Obbl. Paesi Emergenti 26/08/2025 S 1.21
1.09
0.43
0.42
1.74
1.53
2.09
1.50
-1.19
-1.09
3.65
4.07
8.81
7.48
10.23
10.32
15.10
11.18
5.83%
Fonditalia Emerging Markets Local Currency Bond Obbl. Paesi Emergenti 26/08/2025 T 1.65
1.09
0.46
0.42
1.81
1.53
2.26
1.50
-0.86
-1.09
5.44
4.07
10.34
7.48
12.49
10.32
19.01
11.18
5.69%
Fonditalia Emerging Markets Local Currency Bond Obbl. Paesi Emergenti 26/08/2025 RH 12.06
13.78
0.24
0.27
0.90
0.87
3.84
3.90
8.13
9.71
5.64
8.52
12.84
16.29
19.01
28.35
1.72
9.64
6.96%
Fonditalia Emerging Markets Local Currency Bond Obbl. Paesi Emergenti 26/08/2025 TH 12.55
13.78
0.24
0.27
0.96
0.87
4.03
3.90
8.48
9.71
6.45
8.52
14.49
16.29
21.57
28.35
5.26
9.64
6.96%
Fonditalia Enhanced Yield Short Term Obbl. Flessibili 26/08/2025 R 3.13
0.02
0.35
1.32
2.14
4.22
8.34
10.52
11.22
Fonditalia Enhanced Yield Short Term Obbl. Flessibili 26/08/2025 S 3.14
0.02
0.36
1.32
2.14
4.22
8.33
10.50
11.21
Fonditalia Equity Brazil Az. Paese 26/08/2025 R 14.98
16.69
3.84
3.99
6.36
6.68
2.05
2.82
5.70
7.01
-5.65
-4.75
-9.52
-9.76
-12.53
-15.56
10.88
2.89
22.76%
Fonditalia Equity Brazil Az. Paese 26/08/2025 T 15.54
16.69
3.84
3.99
6.44
6.68
2.25
2.82
6.11
7.01
-4.96
-4.75
-8.33
-9.76
-10.81
-15.56
14.56
2.89
22.76%
Fonditalia Equity China Az. Paese 26/08/2025 R 14.61
15.70
3.43
2.88
6.37
4.33
11.92
11.78
-3.27
0.22
46.16
43.50
28.98
32.00
2.14
6.84
-13.82
-11.56
29.87%
Fonditalia Equity China Az. Paese 26/08/2025 T 15.25
15.70
3.45
2.88
6.47
4.33
12.20
11.78
-2.53
0.22
47.47
43.50
31.46
32.00
4.98
6.84
-10.06
-11.56
29.78%
Fonditalia Equity Europe Az. Europa 26/08/2025 T 10.39
11.35
-0.74
-0.60
1.02
1.04
0.51
0.98
-0.19
0.55
7.79
8.97
24.71
24.54
33.37
32.93
59.92
57.05
15.03%
Fonditalia Equity Europe Az. Europa 26/08/2025 R 9.93
11.35
-0.75
-0.60
0.96
1.04
0.35
0.98
-0.51
0.55
7.09
8.97
23.09
24.54
30.79
32.93
54.80
57.05
15.04%
Fonditalia Equity Global Emerging Markets Az. Paesi Emergenti 26/08/2025 T 7.53
7.06
0.58
0.36
2.60
2.11
6.84
7.15
2.13
2.60
14.11
12.54
23.88
23.34
15.97
10.66
32.09
17.40
16.97%
Fonditalia Equity Global Emerging Markets Az. Paesi Emergenti 26/08/2025 R 7.01
7.06
0.57
0.36
2.54
2.11
6.64
7.15
1.75
2.60
13.26
12.54
22.02
23.34
13.40
10.66
27.23
17.40
16.97%
Fonditalia Equity Global High Dividend Az. Altre Special. 26/08/2025 T -0.42
0.50
0.14
0.26
2.16
2.45
2.48
3.22
-4.98
-4.35
3.10
3.63
16.86
15.10
15.29
10.87
52.62
43.47
11.90%
Fonditalia Equity Global High Dividend Az. Altre Special. 26/08/2025 R -0.91
0.50
0.13
0.26
2.09
2.45
2.29
3.22
-5.34
-4.35
2.37
3.63
15.35
15.10
13.13
10.87
47.98
43.47
11.90%