FV GLOBAL EQUITY 0520 CLASSE L
Dati aggiornati al 28/11/2025
| ISIN | Strumento | Peso |
|---|---|---|
| IE00BFNM3G45 | ISHARE MSCI USA SCR UCITS-UA | 16.29% |
| IE00B5BMR087 | ISHARES CORE S&P 500 | 13.15% |
| LU2870272577 | D-X MSCI US SCRD UCITS ETF | 10.47% |
| LU0388707696 | FONDITALIA EQUITY USA BLUE CHIP CLASSE T | 8.05% |
| LU0109669738 | INTERFUND EQUITY GLOBAL EMERGING MARKETS | 5.19% |
| LU2870272734 | D-X MSCI EUROP SCR UCITS ETF | 4.34% |
| LU1079841273 | OSSIAM SHILLER BRLY CAPE EUR | 3.64% |
| LU0267734829 | INTERFUND TEAM EQUITY USA CLASSE H | 2.78% |
| LU0074299248 | INTERFUND EQUITY JAPAN CLASSE A | 2.67% |
| LU0074298943 | INTERFUND TEAM EQUITY USA CLASSE A | 2.40% |
| LU1140883403 | ELEVA EUROPEAN SEL-I2 EUR | 2.30% |
| LU1437015735 | AM CORE MSCI EUROPE ETF ACC | 2.03% |
| IE00B4YBJ215 | SPDR S&P 400 US MID CAP | 2.03% |
| IE00BFMXYX26 | VANG FTSE JPN USDA | 2.00% |
| LU2471745328 | FONDITALIA EQUITY USA BLUE CHIP CLASSE TH | 1.95% |
| IE00BF4G7076 | JPM US REI EQ ACTIVE ETF | 1.62% |
| LU1841484980 | INTERFUND TEAM EQUITY EUROPE | 1.56% |
| IE00B4K48X80 | ISHARES CORE MSCI EUROPE ACC | 1.51% |
| IE00BK5BQY34 | VANG FTSE DEX EURA | 1.51% |
| IE00BHXMHL11 | UBS ETF SP 500 SCR & SCR-USD | 1.48% |
| IE00BMG6Z448 | ISHARES MSCI EM XCHINA | 1.35% |
| IE00012I4449 | FTGF CLEARBRDG US VL F-SUSDA | 1.32% |
| LU0074299750 | INTERFUND EQUITY PACIFIC EX JAPAN CLASSE A | 1.09% |
| LU2626792506 | FONDITALIA EQUITY GEM INNOVATORS CLASSE T | 0.88% |
| IE00BFWXDV39 | FRK FTSE ASIA XCH XJP ETF | 0.88% |
| IE00099GAJC6 | ISHARES MSCI CHINA A-EURH AC | 0.88% |
| LU0323048693 | CANDR MONEY MARKET-V-C | 0.85% |
| LU2626792258 | FONDITALIA CLEAN ENERGY SOLUTIONS CLASSE T | 0.81% |
| LU0553727057 | FONDITALIA EQUITY CHINA CLASSE T | 0.78% |
| FR0010361683 | AM MSCI INDIA SP ETF EUR ACC | 0.73% |
| LU1291106356 | BNP ESY MS PEJM TE UC ET-UCE | 0.72% |
| LU2342239840 | FONDITALIA QUALITY INNOVATION SUSTAINABILITY CLASSE T | 0.62% |
| LU0074298604 | INTERFUND EQUITY ITALY | 0.60% |
| IE00BM67HK77 | X MSCI WORLD HEALTH CARE | 0.51% |