Core Beta 30 Classe Y
Dati aggiornati al 30/01/2026
| ISIN | Strumento | Peso |
|---|---|---|
| LU2471745328 | FONDITALIA EQUITY USA BLUE CHIP CLASSE TH | 7.71% |
| LU0250744751 | INTERFUND EURO BOND SHORT TERM 3-5 | 7.27% |
| LU0074297200 | INTERFUND EURO BOND MEDIUM TERM | 6.86% |
| LU0074298786 | INTERFUND EURO CORPORATE BOND | 5.70% |
| LU2870272577 | D-X MSCI US SCRD UCITS ETF | 4.87% |
| LU1278883456 | FONDITALIA CREDIT ABSOLUTE RETURN CLASSE T | 4.28% |
| LU2073761756 | INTERFUND BTPS 1-10 | 4.11% |
| LU0123381807 | INTERFUND EMERGING MARKETS LOCAL CURRENCY BOND CLASSE A | 3.80% |
| LU0335987854 | EURIZON FUND-EUR LNGTR LTE-Z | 2.84% |
| LU2676764884 | INTERFUND EQUITY TACTICAL ALLOCATION | 2.62% |
| LU0109669738 | INTERFUND EQUITY GLOBAL EMERGING MARKETS | 2.12% |
| LU1841484980 | INTERFUND TEAM EQUITY EUROPE | 2.05% |
| LU0074297549 | INTERFUND EURO BOND SHORT TERM 1-3 | 2.02% |
| LU0335987698 | EURIZON FUND-BOND EUR MED-Z | 1.88% |
| LU2255813987 | WILLER FLEXIBLE FINANCIAL BOND - CLASSE I (EUR) | 1.78% |
| LU1393925158 | EURIZON FD-SECURITIZED BND-Z | 1.72% |
| IE00B80G9288 | PIMCO GIS-INCOME FUND-INSEHA | 1.71% |
| LU2676764702 | INTERFUND BOND TACTICAL ALLOCATION | 1.69% |
| LU0388707696 | FONDITALIA EQUITY USA BLUE CHIP CLASSE T | 1.53% |
| LU2073761590 | INTERFUND EUROPEAN UNION BOND | 1.52% |
| LU0074299750 | INTERFUND EQUITY PACIFIC EX JAPAN CLASSE A | 1.32% |
| LU2120070300 | FONDITALIA FLEXIBLE SHORT DURATION CLASSE T | 1.26% |
| IE00BZ090894 | NB CORP HYB BND-EUR I ACC | 1.21% |
| LU2073761087 | INTERFUND EURO INFLATION LINKED | 1.14% |
| LU0074298943 | INTERFUND TEAM EQUITY USA CLASSE A | 1.10% |
| LU1079841273 | OSSIAM SHILLER BRLY CAPE EUR | 1.08% |
| LU0323048693 | CANDR MONEY MARKET-V-C | 1.07% |
| LU2626792506 | FONDITALIA EQUITY GEM INNOVATORS CLASSE T | 0.98% |
| LU0683057482 | INTERFUND EMERGING MARKETS LOCAL CURRENCY BOND CLASSE H | 0.98% |
| LU0074299248 | INTERFUND EQUITY JAPAN CLASSE A | 0.97% |
| IE00B4YBJ215 | SPDR S&P 400 US MID CAP | 0.96% |
| LU2832875210 | M&G LUX ASI LO CU B-EURCIACC | 0.90% |
| LU2870272734 | D-X MSCI EUROP SCR UCITS ETF | 0.84% |
| LU1422820115 | FONDITALIA FINANCIAL CREDIT BOND CLASSE T | 0.77% |
| IE00BFNM3G45 | ISHARE MSCI USA SCR UCITS-UA | 0.77% |
| LU1694789378 | DNCA INVEST-ALPHA BONDS-IEUR | 0.76% |
| LU0937587060 | FONDITALIA DIVERSIFIED REAL ASSET CLASSE T | 0.74% |
| LU0267734829 | INTERFUND TEAM EQUITY USA CLASSE H | 0.74% |
| LU0628638206 | ODDO-BHF EUR CR SH D-CP E | 0.74% |
| LU0717016462 | EIS-PB EQUITY US | 0.72% |
| DE0005933923 | ISHARES MDAX UCITS DE EUR A | 0.72% |
| LU0074299081 | INTERFUND GLOBAL CONVERTIBLES | 0.62% |
| LU1690376550 | EURIZON IN-CTG CVTBL BD-IEA | 0.61% |
| LU1640502628 | AILIS RISK PREMIA CARRY CLASSE I | 0.55% |
| LU1727360254 | JPMORGAN-US VALUE-I2 EUR H | 0.54% |
| LU1071420456 | ROBECO GLOBAL CREDITS-IHEUR | 0.54% |
| LU0074298273 | INTERFUND BOND US PLUS CLASSE A | 0.52% |
| LU0109669498 | INTERFUND BOND GLOBAL EMERGING MARKETS | 0.51% |
| LU2342239840 | FONDITALIA QUALITY INNOVATION SUSTAINABILITY CLASSE T | 0.49% |
| LU0074299321 | INTERFUND EQUITY EUROPE CLASSE A | 0.48% |
| LU2569739795 | EURIZON FUND II-EURO CASH-ZH | 0.45% |
| IE00099GAJC6 | ISHARES MSCI CHINA A-EURH AC | 0.44% |
| LU1437015735 | AM CORE MSCI EUROPE ETF ACC | 0.42% |
| LU0719365891 | EURIZON FUND-BOND CORP EUR-Z | 0.42% |
| IE00BFWXDV39 | FRK FTSE ASIA XCH XJP ETF | 0.41% |
| IE00012I4449 | FTGF CLEARBRDG US VL F-SUSDA | 0.41% |
| IE00BH04GW44 | VANG GBPGVBD GBPA | 0.38% |
| LU2870273039 | ADX MSCI ER GOVERN BD 1-3-XE | 0.36% |
| LU0396183112 | GENERALI EURO BD 1-3 YRS-BX | 0.33% |
| FR0010361683 | AM MSCI INDIA SP ETF EUR ACC | 0.31% |
| LU2756541673 | ASTE FND-FNACL CRE OPOR-IHEU | 0.31% |
| DE000A0Q4R28 | ISHARE EUR 600 AUTO&PARTS DE | 0.31% |
| IE00BM67HK77 | X MSCI WORLD HEALTH CARE | 0.31% |
| LU0335988746 | EURIZON FUND-BOND GBP-Z | 0.30% |
| LU0553727057 | FONDITALIA EQUITY CHINA CLASSE T | 0.30% |
| LU0074297036 | INTERFUND BOND GLOBAL HIGH YIELD | 0.28% |
| IE00BM67HS53 | X MSCI WORLD MATERIALS 1C | 0.28% |
| LU0335987003 | EURIZON FUND-CASH EUR-Z | 0.10% |