Elenco Fondi: 46

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*le rendite sono espresse in euro al 27.02.2024 i valori di 3Y e 5Y sono annualizzati

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Casa prodotto Apri Scheda Fondo Aggiungi al
portafoglio
ISIN 1M Ordina 1Y Ordina 3Y* Ordina 5Y* Ordina Valuta
AcomeA ACOMEA PATRIMONIO ESENTE CL A1
Flessibili - Italy
IT0005247652 0.16% -10.38% -1.53% 3.78% EUR
AcomeA ACOMEA PATRIMONIO ESENTE CL A2
Flessibili - Italy
IT0005247678 0.21% -9.63% -0.72% 4.57% EUR
AcomeA ACOMEA PATRIMONIO ESENTE CL A5
Flessibili - Italy
IT0005426652 0.18% -10.12% -1.21% 0% EUR
AcomeA ACOMEA PATRIMONIO ESENTE CL P1 PIR
Flessibili - Italy
IT0005247694 0.16% -10.38% -1.54% 3.76% EUR
AcomeA ACOMEA PATRIMONIO ESENTE CL P2 PIR
Flessibili - Italy
IT0005247728 0.21% -9.63% -0.72% 4.57% EUR
AcomeA ACOMEA PATRIMONIO ESENTE CL P5 PIR
Flessibili - Italy
IT0005426678 0.17% -10.12% -1.22% 0% EUR
AcomeA ACOMEA PATRIMONIO ESENTE CL Q2
Flessibili - Italy
IT0005252801 0.23% -9.88% -0.91% 4.41% EUR
Anima Anima Obiettivo Italia A
Flessibili - Italy
IT0000386083 -0.49% 5.5% 1.67% 0.96% EUR
Anima Anima Obiettivo Italia AD
Flessibili - Italy
- Distribuzione cedola
IT0005404014 -0.5% 5.48% 1.51% 0% EUR
Anima Anima Obiettivo Italia F
Flessibili - Italy
IT0005379224 -0.38% 6.99% 3.01% 0% EUR
Anima ANIMA Star High Potential Italy Classic B
Flessibili - Italy
IE00BVC3D932 -2.39% 2.52% 0.54% 0.18% EUR
Anima ANIMA Star High Potential Italy I
Flessibili - Italy
IE00BJBQBS44 -2.28% 3.63% 1.61% 1.32% EUR
Anima ANIMA Star High Potential Italy Prestige
Flessibili - Italy
IE00BKS8L350 -2.37% 2.83% 0.78% 0.45% EUR
Anima ANIMA Star High Potential Italy Silver
Flessibili - Italy
IE00BKS8L244 -2.37% 2.74% 0.75% 0.34% EUR
Anima Anima Valore 2026
Flessibili - Italy
IT0005376121 2.05% 8.71% 1.81% 0% EUR
Azimut AZ Fund 1 AZ Allocation - Italian Trend A-AZ Fund
Flessibili - Italy
LU2168562101 5.94% 5.68% 7.29% 6.48% EUR
Azimut AZ Fund 1 AZ Allocation - Italian Trend A-AZ Fund Dist.
Flessibili - Italy
- Distribuzione cedola
LU2168562366 5.92% 5.68% 7.29% 6.37% EUR
Azimut AZ Fund 1 AZ Allocation - Italian Trend A-AZ Fund TW
Flessibili - Italy
LU2168562879 6.02% 6.6% 10.03% 0% EUR
Azimut AZ Fund 1 AZ Allocation - Italian Trend A-AZ Fund TW USD
Flessibili - Italy
LU2168563257 6.02% 6.63% 10.05% 0% USD
Azimut AZ Fund 1 AZ Allocation - Italian Trend A-AZ Fund TW USD Hedged
Flessibili - Italy
LU2168563091 6.27% 3.78% 16.14% 0% USD
Azimut AZ Fund 1 AZ Allocation - Italian Trend B-AZ Fund
Flessibili - Italy
LU2168562283 5.94% 5.68% 7.29% 6.48% EUR
Azimut AZ Fund 1 AZ Allocation - Italian Trend B-AZ Fund Dist.
Flessibili - Italy
- Distribuzione cedola
LU2168562440 5.92% 5.68% 7.29% 6.37% EUR
Azimut Azimut Trend Italia
Flessibili - Italy
IT0001055158 6.5% 9.3% 10.88% 8.63% EUR
ConsultInvest Asset Management CONSULTINVEST RISPARMIO ITALIA AR
Flessibili - Italy
IT0005253759 2.51% 4.63% 9.78% 7.43% EUR
ConsultInvest Asset Management CONSULTINVEST RISPARMIO ITALIA C
Flessibili - Italy
IT0005253734 2.41% 4.47% 9.22% 7.1% EUR
ConsultInvest Asset Management CONSULTINVEST RISPARMIO ITALIA PIR
Flessibili - Italy
IT0005253692 2.42% 4.46% 9.22% 7.11% EUR
ConsultInvest Asset Management CONSULTINVEST RISPARMIO ITALIA PIR-E
Flessibili - Italy
IT0005253718 2.51% 4.62% 9.78% 7.43% EUR
Deutsche Bank Deutsche AM Multi Asset PIR FC
Flessibili - Italy
LU1631464952 0.93% 6.37% 4.29% 5.02% EUR
Deutsche Bank Deutsche AM Multi Asset PIR LC
Flessibili - Italy
LU1631464101 0.88% 5.74% 3.66% 4.39% EUR
Deutsche Bank Deutsche AM Multi Asset PIR PFC
Flessibili - Italy
LU1631464879 0.96% 5.9% 3.29% 3.87% EUR

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