IT EN
Non connesso Log in

Ricerca simboli

Archivio simboli
Simboli trovati: 98
SICAV PRO A-J / ANIMA
BnB ID Simbolo / Ticker ISIN Nome Prima data Ultima data
IT0001355665 IT0001355665 IT0001355665 ACAnima Alto Potenziale Europa A 19/09/2025 13/10/2025
IT0005404592 IT0005404592 IT0005404592 ACAnima Alto Potenziale Europa AD 19/09/2025 13/10/2025
IT0004301518 IT0004301518 IT0004301518 ACAnima Alto Potenziale Europa Y 19/09/2025 13/10/2025
IT0005186124 IT0005186124 IT0005186124 ACAnima BlueBay Reddito Emergenti A 19/09/2025 13/10/2025
IT0005138570 IT0005138570 IT0005138570 ACAnima BlueBay Reddito Emergenti AD 19/09/2025 13/10/2025
IT0005396699 IT0005396699 IT0005396699 ACAnima Bluebay Reddito Emergenti F 19/09/2025 13/10/2025
IT0005242117 IT0005242117 IT0005242117 ACAnima Crescita Italia A 19/09/2025 13/10/2025
IT0005238065 IT0005238065 IT0005238065 ACAnima Crescita Italia AD 19/09/2025 13/10/2025
IT0005238081 IT0005238081 IT0005238081 ACAnima Crescita Italia AP 19/09/2025 13/10/2025
IT0005238107 IT0005238107 IT0005238107 ACAnima Crescita Italia F 19/09/2025 13/10/2025
IT0005394587 IT0005394587 IT0005394587 ACAnima Crescita Italia New A 19/09/2025 13/10/2025
IT0005395196 IT0005395196 IT0005395196 ACAnima Crescita Italia New AD 19/09/2025 13/10/2025
IT0005395154 IT0005395154 IT0005395154 ACAnima Crescita Italia New AP 19/09/2025 13/10/2025
IT0005395170 IT0005395170 IT0005395170 ACAnima Crescita Italia New F 19/09/2025 13/10/2025
IT0005384711 IT0005384711 IT0005384711 ACAnima ESaloGo Azionario Globale A 19/09/2025 13/10/2025
IT0005384737 IT0005384737 IT0005384737 ACAnima ESaloGo Azionario Globale AD 19/09/2025 13/10/2025
IT0005384752 IT0005384752 IT0005384752 ACAnima ESaloGo Azionario Globale F 19/09/2025 13/10/2025
IT0005398968 IT0005398968 IT0005398968 ACAnima ESaloGo Azionario Globale Y 19/09/2025 13/10/2025
IT0005411712 IT0005411712 IT0005411712 ACAnima Esalogo Azionario Globale Z 19/09/2025 13/10/2025
IT0005411761 IT0005411761 IT0005411761 ACAnima Esalogo Azionario Globale ZD 19/09/2025 13/10/2025
IT0005384653 IT0005384653 IT0005384653 ACAnima ESaloGo Bilanciato A 19/09/2025 13/10/2025
IT0005384679 IT0005384679 IT0005384679 ACAnima ESaloGo Bilanciato AD 19/09/2025 13/10/2025
IT0005384695 IT0005384695 IT0005384695 ACAnima ESaloGo Bilanciato F 19/09/2025 13/10/2025
IT0005449258 IT0005449258 IT0005449258 ACAnima ESaloGo Bilanciato Y 19/09/2025 13/10/2025
IT0005411787 IT0005411787 IT0005411787 ACAnima Esalogo Bilanciato Z 19/09/2025 13/10/2025
IT0005411803 IT0005411803 IT0005411803 ACAnima Esalogo Bilanciato ZD 19/09/2025 13/10/2025
IT0005202020 IT0005202020 IT0005202020 ACAnima Global Macro Diversified A 04/07/2016 11/04/2025
IT0005138612 IT0005138612 IT0005138612 ACAnima Global Macro Diversified AD 04/07/2016 11/04/2025
IT0005138778 IT0005138778 IT0005138778 ACAnima Global Macro Diversified F 21/10/2015 11/04/2025
IT0005186041 IT0005186041 IT0005186041 ACAnima Iniziativa Italia A 19/09/2025 13/10/2025
IT0005163081 IT0005163081 IT0005163081 ACAnima Iniziativa Italia AD 19/09/2025 13/10/2025
IT0005246647 IT0005246647 IT0005246647 ACAnima Iniziativa Italia AP 19/09/2025 13/10/2025
IT0005074056 IT0005074056 IT0005074056 ACAnima Iniziativa Italia F 19/09/2025 13/10/2025
IT0005396673 IT0005396673 IT0005396673 ACAnima Iniziativa Italia Y 19/09/2025 13/10/2025
IT0005460651 IT0005460651 IT0005460651 ACAnima Investimento Cyber Security & Big Data 2027 19/09/2025 10/10/2025
IT0005403867 IT0005403867 IT0005403867 ACAnima Investimento New Normal 2025 19/09/2025 10/10/2025
IT0005480014 IT0005480014 IT0005480014 ACAnima Investimento Smart Industry 4.0 2027 19/09/2025 10/10/2025
IT0005359341 IT0005359341 IT0005359341 ACAnima Liquidità Euro AM 19/09/2025 13/10/2025
IT0005359374 IT0005359374 IT0005359374 ACAnima Liquidità Euro FM 19/09/2025 13/10/2025
IT0005359390 IT0005359390 IT0005359390 ACAnima Liquidità Euro IM 19/09/2025 13/10/2025
IT0005256158 IT0005256158 IT0005256158 ACAnima Magellano A 19/09/2025 13/10/2025
IT0005256190 IT0005256190 IT0005256190 ACAnima Magellano AD 19/09/2025 13/10/2025
IT0005256174 IT0005256174 IT0005256174 ACAnima Magellano F 19/09/2025 13/10/2025
IT0005479792 IT0005479792 IT0005479792 ACAnima Magellano R 19/09/2025 13/10/2025
IT0005479818 IT0005479818 IT0005479818 ACAnima Magellano RD 19/09/2025 13/10/2025
IT0005376188 IT0005376188 IT0005376188 ACAnima Megatrend People A 19/09/2025 13/10/2025
IT0005376204 IT0005376204 IT0005376204 ACAnima Megatrend People AD 19/09/2025 13/10/2025
IT0005404279 IT0005404279 IT0005404279 ACAnima Megatrend People B 19/09/2025 13/10/2025
IT0005404295 IT0005404295 IT0005404295 ACAnima Megatrend People BD 19/09/2025 13/10/2025
IT0005376220 IT0005376220 IT0005376220 ACAnima Megatrend People F 19/09/2025 13/10/2025
IT0005404311 IT0005404311 IT0005404311 ACAnima Megatrend People Y 19/09/2025 13/10/2025
IT0005404634 IT0005404634 IT0005404634 ACAnima Obbligazionario High Yield A 19/09/2025 13/10/2025
IT0005404659 IT0005404659 IT0005404659 ACAnima Obbligazionario High Yield AD 19/09/2025 13/10/2025
IT0001352035 IT0001352035 IT0001352035 ACAnima Obbligazionario High Yield B 19/09/2025 13/10/2025
IT0005404675 IT0005404675 IT0005404675 ACAnima Obbligazionario High Yield BD 19/09/2025 13/10/2025
IT0005404691 IT0005404691 IT0005404691 ACAnima Obbligazionario High Yield F 19/09/2025 13/10/2025
IT0004301013 IT0004301013 IT0004301013 ACAnima Obbligazionario High Yield Y 19/09/2025 13/10/2025
IT0005262248 IT0005262248 IT0005262248 ACAnima Pro Italia A 19/09/2025 13/10/2025
IT0005405151 IT0005405151 IT0005405151 ACAnima Pro Italia AD 19/09/2025 13/10/2025
IT0005251993 IT0005251993 IT0005251993 ACAnima Pro Italia AP 19/09/2025 13/10/2025
IT0005405177 IT0005405177 IT0005405177 ACAnima Pro Italia F 19/09/2025 13/10/2025
IT0005044562 IT0005044562 IT0005044562 ACAnima Riserva Dollaro A 19/09/2025 13/10/2025
IT0005044745 IT0005044745 IT0005044745 ACAnima Riserva Dollaro F 19/09/2025 13/10/2025
IT0005044760 IT0005044760 IT0005044760 ACAnima Riserva Dollaro I 19/09/2025 13/10/2025
IT0004874233 IT0004874233 IT0004874233 ACAnima Riserva Globale 19/09/2025 13/10/2025
IT0005002636 IT0005002636 IT0005002636 ACAnima Risparmio A 19/09/2025 13/10/2025
IT0001040135 IT0001040135 IT0001040135 ACAnima Risparmio AD 19/09/2025 13/10/2025
IT0004896376 IT0004896376 IT0004896376 ACAnima Risparmio F 19/09/2025 13/10/2025
IT0005158479 IT0005158479 IT0005158479 ACAnima Risparmio Y 19/09/2025 13/10/2025
IT0005186108 IT0005186108 IT0005186108 ACAnima Selection A 19/09/2025 13/10/2025
IT0004980246 IT0004980246 IT0004980246 ACAnima Selection AD 19/09/2025 13/10/2025
IT0005429060 IT0005429060 IT0005429060 ACAnima Selection Prudente A 19/09/2025 13/10/2025
IT0005429086 IT0005429086 IT0005429086 ACAnima Selection Prudente AD 19/09/2025 13/10/2025
IT0005429102 IT0005429102 IT0005429102 ACAnima Selection Prudente F 19/09/2025 13/10/2025
IT0000380722 IT0000380722 IT0000380722 ACAnima Sforzesco A 19/09/2025 13/10/2025
IT0005086191 IT0005086191 IT0005086191 ACAnima Sforzesco AD 19/09/2025 13/10/2025
IT0004895923 IT0004895923 IT0004895923 ACAnima Sforzesco F 19/09/2025 13/10/2025
IT0005479875 IT0005479875 IT0005479875 ACAnima Sforzesco Z 19/09/2025 13/10/2025
IT0005479891 IT0005479891 IT0005479891 ACAnima Sforzesco ZD 19/09/2025 13/10/2025
IT0005186082 IT0005186082 IT0005186082 ACAnima Tricolore A 19/09/2025 13/10/2025
IT0004786395 IT0004786395 IT0004786395 ACAnima Tricolore AD 19/09/2025 13/10/2025
IT0004896822 IT0004896822 IT0004896822 ACAnima Tricolore F 19/09/2025 13/10/2025
IT0000380706 IT0000380706 IT0000380706 ACAnima Visconteo A 19/09/2025 13/10/2025
IT0005086175 IT0005086175 IT0005086175 ACAnima Visconteo AD 19/09/2025 13/10/2025
IT0004896012 IT0004896012 IT0004896012 ACAnima Visconteo F 19/09/2025 13/10/2025
IT0005479917 IT0005479917 IT0005479917 ACAnima Visconteo Z 19/09/2025 13/10/2025
IT0005479933 IT0005479933 IT0005479933 ACAnima Visconteo ZD 19/09/2025 13/10/2025
IT0001040093 IT0001040093 IT0001040093 ACANM Americhe 19/09/2025 13/10/2025
IT0001415873 IT0001415873 IT0001415873 ACANM Anima Emerging Markets 19/09/2025 13/10/2025
IT0001415287 IT0001415287 IT0001415287 ACANM Anima Europa 19/09/2025 13/10/2025
IT0000388444 IT0000388444 IT0000388444 ACANM Anima Fondo Trading 19/09/2025 13/10/2025
IT0001223095 IT0001223095 IT0001223095 ACANM Corporate Bond 19/09/2025 13/10/2025
IT0003825517 IT0003825517 IT0003825517 ACANM Emerging Markets Bond 19/09/2025 13/10/2025
IT0003098149 IT0003098149 IT0003098149 ACANM Iniziativa Europa 19/09/2025 13/10/2025
IT0001040051 IT0001040051 IT0001040051 ACANM Italia 19/09/2025 13/10/2025
IT0001040119 IT0001040119 IT0001040119 ACANM Pacifico 19/09/2025 13/10/2025
IT0001015921 IT0001015921 IT0001015921 ACANM Pianeta 19/09/2025 13/10/2025
IT0000386026 IT0000386026 IT0000386026 ACANM Valore Globale 19/09/2025 13/10/2025