Tutti i fondi aperti

Denominazione Ultimo NAV Ultima Variazione Data Ultimo NAV    
Nichejungle Japan Orphan Compan Sdg Fund 1.487,00 -0,73 03/04/2025
Nichejungle Korea Reunification Sdg Fund 1.036,00 -0,10 03/04/2025
Otf Bond 112,68 +0,20 03/04/2025
Otf Equity World 111,777 +0,48 03/04/2025
Otf Europe Balanced 108,058 -0,76 02/04/2025
Otf International Balanced 116,517 +0,42 03/04/2025
Otf Opportunity 113,118 +0,10 03/04/2025
Pharus Asian Value Niche 133,20 -0,54 03/04/2025
Pharus Best Reg. Companies, Classe Qd 95,78 +0,10 03/04/2025
Pharus Equity Leaders Class Q 132,31 +0,03 03/04/2025
Pharus Global Value Equity Class Q 164,91 +0,18 03/04/2025
Pharus Global Value Equity Class Qh 154,38 +0,21 03/04/2025
Pharus Global Value Equity Class Qhd 113,42 +0,21 03/04/2025
Pharus Liquidity Class Q 112,21 +0,01 03/04/2025
Pharus Sicav - Basic Fund Q 20,39 +1,09 03/04/2025
Pharus Sicav Europe Total Return Class Q 126,71 +0,04 03/04/2025
Pharus Sicav_Conservative 107,76 +0,47 03/04/2025
Pharus Target, Classe Qd 56,99 +0,04 03/04/2025
Pharus Trend Player Class Q 210,79 +0,68 03/04/2025
Plurima Apuano Flexible Bond Fund A Eur 111,986 +0,00 03/04/2025