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ITALIA / FONDI-DG
BnB ID Simbolo / Ticker ISIN Nome Prima data Ultima data
EP4978 IT0001496055 IT0001496055 Epsilon Cash 19/09/2000 28/11/2024
EP4686 IT0001496154 IT0001496154 Epsilon DLongRun 19/09/2000 28/11/2024
Q7469 IT0001496139 IT0001496139 Epsilon QEquity 19/09/2000 28/11/2024
Q10229 IT0001496071 IT0001496071 Epsilon QIncome 19/09/2000 28/11/2024
EP3934 IT0001496113 IT0001496113 Epsilon QReturn 19/09/2000 28/11/2024
PO9844 IT0001496097 IT0001496097 Epsilon QValue 19/09/2000 28/11/2024
S14002 IT0001083424 IT0001083424 Eurizon Azionario Intl Etico 03/06/1997 28/11/2024
S7192 IT0001050225 IT0001050225 Eurizon Azioni Alto Dividendo Euro 11/07/1995 28/11/2024
CO7647 IT0001470183 IT0001470183 Eurizon Azioni Pmi Italia 06/07/2000 28/11/2024
S9984 IT0001050126 IT0001050126 Eurizon Focus Azioni America 16/01/1996 28/11/2024
S9283 IT0001050167 IT0001050167 Eurizon Focus Azioni Europa 16/01/1996 28/11/2024
IT0001080446 IT0001080446 IT0001080446 Eurizon Focus Azioni Internazionali 06/05/1997 28/11/2024
BN9157 IT0001021192 IT0001021192 Eurizon Focus Azioni Italia 19/09/1994 28/11/2024
CO9016 IT0001280541 IT0001280541 Eurizon Focus Obblig Euro High Yield 06/04/1999 28/11/2024
S6617 IT0000380524 IT0000380524 Eurizon Focus Obbligazioni Cedola 04/03/1985 28/11/2024
S11286 IT0000380540 IT0000380540 Eurizon Focus Obbligazioni Euro 11/03/1985 28/11/2024
EU5545 IT0003459473 IT0003459473 Eurizon Focus Obbligazioni Euro Corp 07/04/2003 28/11/2024
CO6160 IT0001051694 IT0001051694 Eurizon Obblig Euro Corp Breve Term 07/11/1995 28/11/2024
S14082 IT0001083382 IT0001083382 Eurizon Obbligazionario Etico 03/06/1997 28/11/2024
SA14082 IT0001080404 IT0001080404 Eurizon Soluzione 10 06/05/1997 28/11/2024
SA14122 IT0001080388 IT0001080388 Eurizon Soluzione 40 15/04/1998 28/11/2024
S12694 IT0000380565 IT0000380565 Eurizon Soluzione 60 04/03/1985 28/11/2024
CO10703 IT0001468781 IT0001468781 Eurizon Team 4 A 11/08/2000 28/11/2024
CO10284 IT0001493854 IT0001493854 Eurizon Team 5 A 27/09/2000 28/11/2024
0001049755 IT0001049755 IT0001049755 Euromobiliare Azioni Internazionali 19/05/1995 28/11/2024
EU11411 IT0001013520 IT0001013520 Euromobiliare Azioni Italiane 01/04/1993 28/11/2024
EU11917 IT0000380664 IT0000380664 Euromobiliare Bilanciato 20/12/1985 28/11/2024
EU8061 IT0001366183 IT0001366183 Euromobiliare Emerg Markets Bond 06/06/2000 28/11/2024
EU9363 IT0000380649 IT0000380649 Euromobiliare Prudente 02/09/1985 28/11/2024
EU8195 IT0000382405 IT0000382405 Euromobiliare Reddito 12/11/1987 28/11/2024
EU9831 IT0001366167 IT0001366167 Euromobiliare Total Return Flex 2 06/06/2000 28/11/2024
EU8296 IT0001366225 IT0001366225 Euromobiliare Total Return Flex 3 02/05/2007 28/11/2024
0000382389 IT0000382389 IT0000382389 Fideuram Bilanciato 23/06/1987 28/11/2024
0000388147 IT0000388147 IT0000388147 Fideuram Italia (IMI-Italy) 02/07/1991 28/11/2024
0005005738 IT0005005738 IT0005005738 Fideuram Master Selection Balanced 22/02/2017 28/11/2024
FI8175 IT0000384500 IT0000384500 Fideuram Moneta 03/10/1988 28/11/2024
FM4490 IT0003940811 IT0003940811 Fideuram MS Eq Glbl Emerg Mkts 23/01/2006 28/11/2024
FM3312 IT0003940738 IT0003940738 Fideuram MS Eq. Usa 23/01/2006 28/11/2024
FO2926 IT0000380060 IT0000380060 Fondersel 27/08/1984 28/11/2024
FO12246 IT0000388584 IT0000388584 Fondersel Internazionale 06/06/1991 28/11/2024
DU11554 IT0001352035 IT0001352035 PRIMA Fix High Yield A 27/09/1999 26/11/2024
DU9604 IT0001036331 IT0001036331 PRIMA Fix Monetario A 14/11/1994 28/11/2024
DU13139 IT0001036257 IT0001036257 PRIMA Geo Globale A 05/03/1985 28/11/2024
DU4592 IT0001477824 IT0001477824 PRIMAstrategia Italia Alto Potenziale A 04/09/2000 12/04/2024