FUNDO | NAV | MOEDA | REND 1Y | RISCO 1Y | Estratégia | Geografia |
---|---|---|---|---|---|---|
< 22 23 24 25 26 > | ||||||
GS - Commodity Enhanced | 172,61 | USD | 0,95% | 4 | Commodity Blended | Matérias Primas - Global |
Nordea 1 SICAV - Global Listed I... | 12,27 | USD | 0,97% | 5 | Equity Global | Ações - Global |
JPMorgan Funds - Global Bond Opp... | 78,58 | EUR | 1,00% | 2 | Absolute Return Bond USD | Obr. - Global |
Fidelity Global Multi Asset Inco... | 7,73 | USD | 1,05% | 3 | Mixed Asset USD Flex - Global | Misto - Global |
Amundi Funds Bond Euro Inflation | 140,32 | EUR | 1,05% | 3 | Bond EUR Inflation Linked | Obr. - Zona Euro |
BNP Paribas Funds Local Emerging... | 75,18 | USD | 1,07% | 3 | Bond Emerging Markets Global LC | Obr. - Global |
BNP Paribas Funds Green Tigers | 247,31 | EUR | 1,10% | 4 | Equity Asia Pacific | Ações - Global |
HSBC GIF Global Inflation Linke... | 121,24 | EUR | 1,10% | 3 | Bond Global Inflation Linked | Obr. Inflation Linked - Global |
Pictet - China Equities | 394,42 | EUR | 1,10% | 5 | Equity Greater China | Ações - Ásia |
JPMorgan - Global Corporate Bond... | 5,48 | EUR | 1,11% | 3 | Bond Global Corporates USD | Obr. - Global |