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ITALIA / FONDI-AC
BnB ID Simbolo / Ticker ISIN Nome Prima data Ultima data
IT0000382108 IT0000382108 IT0000382108 AcomeA America A1 22/07/1986 30/10/2023
IT0001394300 IT0001394300 IT0001394300 AcomeA Asia Pacifico A1 03/04/2000 23/02/2024
IT0000390002 IT0000390002 IT0000390002 AcomeA Breve Termine A1 16/03/1992 23/02/2024
IT0000388535 IT0000388535 IT0000388535 AcomeA Europa A1 13/05/1991 30/10/2023
IT0000390069 IT0000390069 IT0000390069 AcomeA Globale A1 16/03/1992 23/02/2024
IT0000390044 IT0000390044 IT0000390044 AcomeA Italia A1 16/03/1992 23/02/2024
IT0001029823 IT0001029823 IT0001029823 AcomeA Liquidità A1 11/07/1994 27/04/2023
IT0001394284 IT0001394284 IT0001394284 AcomeA Paesi Emergenti A1 03/04/2000 23/02/2024
IT0003073209 IT0003073209 IT0003073209 AcomeA Patrimonio Aggressivo A1 13/03/2001 23/02/2024
IT0003073183 IT0003073183 IT0003073183 AcomeA Patrimonio Dinamico A1 13/03/2001 29/06/2023
IT0000384583 IT0000384583 IT0000384583 AcomeA Performance A1 03/01/1989 23/02/2024
0004147135 IT0004147135 IT0004147135 Agora Equity 07/12/2006 26/02/2024
0003162440 IT0003162440 IT0003162440 Agora Flex 27/09/2001 26/02/2024
0004287840 IT0004287840 IT0004287840 Allianz Azioni Italia All Stars 11/01/2008 26/02/2024
AL3981 IT0003624472 IT0003624472 Allianz Liquidita' A 26/04/2004 26/02/2024
AL3992 IT0003624498 IT0003624498 Allianz Liquidita' B 26/04/2004 26/02/2024
AL3731 IT0000382983 IT0000382983 Allianz Monetario 08/07/1988 26/02/2024
GE9043 IT0001040093 IT0001040093 Anima America 02/08/1996 26/02/2024
0004350820 IT0004350812 IT0004350812 Anima Capitale Piu Azionario 06/05/2008 26/02/2024
0004350705 IT0004350697 IT0004350697 Anima Capitale Piu Bilanciato 15 05/05/2008 26/02/2024
0004350739 IT0004350721 IT0004350721 Anima Capitale Piu Bilanciato 30 05/05/2008 26/02/2024
0004350689 IT0004350663 IT0004350663 Anima Capitale Piu Obbligazionario 05/05/2008 26/02/2024
AN9769 IT0001415873 IT0001415873 Anima Emergenti 28/03/2000 26/02/2024
AN5176 IT0001415287 IT0001415287 Anima Europa 28/03/2000 26/02/2024
FO6030 IT0000388444 IT0000388444 Anima Fondo Trading 02/04/1991 23/02/2024
IT0001095469 IT0001095469 IT0001095469 Anima Geo Europa A 02/06/1997 23/02/2024
BI10349 IT0003098149 IT0003098149 Anima Iniziativa Europa 04/06/2001 26/02/2024
GE6857 IT0001040051 IT0001040051 Anima Italia 16/06/1995 23/02/2024
GE12475 IT0001223095 IT0001223095 Anima Obbligazionario Corporate 21/05/1999 23/02/2024
BP3022 IT0003825517 IT0003825517 Anima Obbligazionario Emergente 10/10/2005 23/02/2024
GE9058 IT0001040119 IT0001040119 Anima Pacifico 16/06/1995 26/02/2024
GE8023 IT0001015921 IT0001015921 Anima Pianeta 13/10/1993 26/02/2024
0004874258 IT0004874258 IT0004874258 Anima Riserva Emergente 04/10/2018 26/02/2024
0004874233 IT0004874233 IT0004874233 Anima Riserva Globale 04/10/2018 26/02/2024
GE10874 IT0001040135 IT0001040135 Anima Risparmio 10/04/1996 26/02/2024
SF3020 IT0000380722 IT0000380722 Anima Sforzesco 28/05/1985 23/02/2024
0004786395 IT0004786395 IT0004786395 Anima Tricolore 04/10/2018 26/02/2024
GE7878 IT0000386026 IT0000386026 Anima Valore Globale 03/10/1989 26/02/2024
VI2982 IT0000380706 IT0000380706 Anima Visconteo 28/05/1985 26/02/2024
AR1105 IT0000382264 IT0000382264 Arca 27 Azioni Estere 01/06/1987 26/02/2024
AR12654 IT0001033502 IT0001033502 Arca Azioni America 06/03/1995 26/02/2024
AR11813 IT0001033486 IT0001033486 Arca Azioni Europa 10/03/1995 26/02/2024
AR11254 IT0001033528 IT0001033528 Arca Azioni Far East 10/03/1995 26/02/2024
AR11429 IT0000388907 IT0000388907 Arca Azioni Italia 03/04/1992 26/02/2024
AR9433 IT0003021992 IT0003021992 Arca Azioni Paesi Emergenti 04/01/2001 26/02/2024
AR1278 IT0000380003 IT0000380003 Arca BB 19/09/1984 26/02/2024
AR7486 IT0003021950 IT0003021950 Arca Bond Corporate 04/01/2001 26/02/2024
AR2605 IT0000388881 IT0000388881 Arca Bond Obbligazioni Estere 27/01/1992 26/02/2024
AR5746 IT0001248373 IT0001248373 Arca Bond Paesi Emergenti 30/06/1998 26/02/2024
AR5593 IT0001248324 IT0001248324 Arca Obbligazioni Europa 14/04/1995 26/02/2024
AR4970 IT0003956197 IT0003956197 Arca Rendimento Assoluto T3 01/02/2006 26/02/2024
AR4994 IT0003956239 IT0003956239 Arca Rendimento Assoluto T5 16/02/2006 26/02/2024
AR1486 IT0000380029 IT0000380029 Arca RR 19/09/1984 26/02/2024
AR1407 IT0000384641 IT0000384641 Arca TE Titoli Esteri 13/02/1989 26/02/2024
AU4354 IT0001249116 IT0001249116 Aureo Flex Euro 01/10/1998 23/02/2024
AU2708 IT0003389464 IT0003389464 Aureo Liquidita' 02/01/2003 23/02/2024
AU3626 IT0001079398 IT0001079398 Aureo Plus 30/12/1996 23/02/2024
AU10550 IT0001484770 IT0001484770 Aureo PrimaClasse Crescita 01/08/2000 23/02/2024
AU10053 IT0001484754 IT0001484754 Aureo PrimaClasse Dinamico 01/08/2000 23/02/2024
AU10460 IT0001484713 IT0001484713 Aureo PrimaClasse Flessibile 01/08/2000 23/02/2024
AU10354 IT0001484739 IT0001484739 Aureo PrimaClasse Valore 01/08/2000 23/02/2024
CO15028 IT0001179297 IT0001179297 Aureo Rendimento Assoluto 01/12/1997 23/02/2024
0000384567 IT0000384567 IT0000384567 Azimut Bilanciato 04/04/1989 26/02/2024
AZ5109 IT0003795587 IT0003795587 Azimut Strategic Trend 15/04/2005 26/02/2024
AZ5235 IT0001010476 IT0001010476 Azimut Trend 16/02/1993 26/02/2024
AZ6923 IT0001055075 IT0001055075 Azimut Trend America 23/10/1995 26/02/2024
AZ12814 IT0001055158 IT0001055158 Azimut Trend Italia 23/10/1995 26/02/2024
0001055091 IT0001055091 IT0001055091 Azimut Trend Pacifico 23/10/1995 26/02/2024
AZ11855 IT0001055133 IT0001055133 Azimut Trend Tassi 26/01/1996 26/02/2024
BI7101 IT0000382603 IT0000382603 BIM Bilanciato 29/12/1995 23/02/2024
BI6287 IT0001318242 IT0001318242 BIM Obbligazionario A Breve Termine 22/06/1999 23/02/2024
IN10259 IT0000388808 IT0000388808 BNL Azioni America 21/11/1991 22/02/2024
IN12499 IT0001374302 IT0001374302 BNL Azioni Emergenti 30/09/1999 22/02/2024
IN13572 IT0000382561 IT0000382561 BNL Azioni Italia 05/04/1988 22/02/2024
IN14358 IT0000388840 IT0000388840 BNL Obbligazioni Emergenti 21/11/1991 22/02/2024
0004240542 IT0004240542 IT0004240542 BNP Paribas Equipe Attacco 22/02/2017 22/02/2024
0004240500 IT0004240500 IT0004240500 BNP Paribas Equipe Difesa 02/07/2007 22/02/2024
CO9657 IT0001076626 IT0001076626 Consultinvest Azione 30/08/1996 26/02/2024
CO4857 IT0003018006 IT0003018006 Consultinvest Global 10/04/2001 23/02/2024
0003018022 IT0003018022 IT0003018022 Consultinvest High Yield 21/02/2017 23/02/2024
CO13343 IT0001076600 IT0001076600 Consultinvest Reddito 30/08/1996 26/02/2024