IT EN
Non connesso Log in

Ricerca simboli

Archivio simboli
Simboli trovati: 39
SICAV PRO A-J / IMGP
BnB ID Simbolo / Ticker ISIN Nome Prima data Ultima data
LU0821216768 LU0821216768 LU0821216768 ACiMGP US Value C CHF HP 17/10/2012 10/10/2024
LU2078907586 LU2078907586 LU2078907586 ACiMGP US Value C EUR 11/12/2019 10/10/2024
LU0821216685 LU0821216685 LU0821216685 ACiMGP US Value C EUR HP 17/10/2012 10/10/2024
LU0821216339 LU0821216339 LU0821216339 ACiMGP US Value C USD 17/10/2012 10/10/2024
LU1949706250 LU1949706250 LU1949706250 ACiMGP US Value I EUR 22/02/2019 10/10/2024
LU0821217063 LU0821217063 LU0821217063 ACiMGP US Value I USD D 11/11/2014 10/10/2024
LU1204261330 LU1204261330 LU1204261330 ACiMGP US Value N EUR HP 24/06/2015 10/10/2024
LU2078909368 LU2078909368 LU2078909368 ACiMGP US Value R EUR 12/11/2020 10/10/2024
LU0821217147 LU0821217147 LU0821217147 ACiMGP US Value R EUR HP 17/10/2012 10/10/2024
LU0821216842 LU0821216842 LU0821216842 ACiMGP US Value R USD 17/10/2012 10/10/2024
LU0178555495 LU0178555495 LU0178555495 ACOyster Diversified CHF 17/11/2003 10/10/2024
LU0095343421 LU0095343421 LU0095343421 ACOyster Diversified EUR 05/03/1999 10/10/2024
LU0133193242 LU0133193242 LU0133193242 ACOyster Diversified No Load EUR 09/11/2001 10/10/2024
LU0095343264 LU0095343264 LU0095343264 ACOyster European Fixed Income EUR 05/03/1999 10/10/2024
LU0096450555 LU0096450555 LU0096450555 ACOYSTER European Opportunities C EUR PF 01/06/1999 10/10/2024
LU0507009503 LU0507009503 LU0507009503 ACOYSTER European Opportunities C EUR PR 28/06/2010 10/10/2024
LU0933606302 LU0933606302 LU0933606302 ACOYSTER European Opportunities I EUR PR 30/07/2013 10/10/2024
LU0133194562 LU0133194562 LU0133194562 ACOYSTER European Opportunities N EUR PF 11/09/2001 10/10/2024
LU1416690441 LU1416690441 LU1416690441 ACOYSTER European Opportunities N EUR PR 14/06/2016 10/10/2024
LU0507009925 LU0507009925 LU0507009925 ACOYSTER European Opportunities R EUR PR 09/06/2010 10/10/2024
LU0688633683 LU0688633683 LU0688633683 ACOYSTER Global High Yield C EUR HP 15/11/2011 10/10/2024
LU0688633410 LU0688633410 LU0688633410 ACOYSTER Global High Yield C USD 15/11/2011 10/10/2024
LU0747345022 LU0747345022 LU0747345022 ACOYSTER Global High Yield C USD D 26/06/2012 10/10/2024
LU0688634061 LU0688634061 LU0688634061 ACOYSTER Global High Yield I EUR HP 15/11/2011 10/10/2024
LU0688633840 LU0688633840 LU0688633840 ACOYSTER Global High Yield I USD 19/01/2012 10/10/2024
LU0933610320 LU0933610320 LU0933610320 ACOYSTER Global High Yield R EUR HP 04/11/2013 10/10/2024
LU0933610247 LU0933610247 LU0933610247 ACOYSTER Global High Yield R USD 30/08/2013 10/10/2024
LU0069164738 LU0069164738 LU0069164738 ACOYSTER Italian Opportunities C EUR PR 16/09/1996 10/10/2024
LU0536296873 LU0536296873 LU0536296873 ACOYSTER Italian Opportunities I EUR PR 30/11/2010 10/10/2024
LU0133192608 LU0133192608 LU0133192608 ACOYSTER Italian Opportunities N EUR PR 13/11/2001 10/10/2024
LU0204988207 LU0204988207 LU0204988207 ACOYSTER Japan Opportunities C EUR HP PR 01/04/2005 11/10/2024
LU0204987902 LU0204987902 LU0204987902 ACOYSTER Japan Opportunities C JPY PR 31/03/2005 11/10/2024
LU1158909215 LU1158909215 LU1158909215 ACOYSTER Japan Opportunities I EUR HP PR 26/10/2015 11/10/2024
LU0933609314 LU0933609314 LU0933609314 ACOYSTER Japan Opportunities I JPY PR 09/07/2015 11/10/2024
LU0204988546 LU0204988546 LU0204988546 ACOYSTER Japan Opportunities N EUR HP PR 09/06/2005 11/10/2024
LU0619016396 LU0619016396 LU0619016396 ACOYSTER Japan Opportunities R EUR HP PR 25/01/2013 11/10/2024
LU0536295982 LU0536295982 LU0536295982 ACOYSTER Japan Opportunities R JPY PR 01/12/2010 11/10/2024
LU0335769435 LU0335769435 LU0335769435 ACOYSTER Multi-Asset Diversified I EUR PF 14/01/2008 10/10/2024
LU0933611484 LU0933611484 LU0933611484 ACOYSTER Multi-Asset Diversified R EUR PF 29/08/2013 10/10/2024