Funds performance

fund namesort icon 1 mth 3 mth 12 mth ytd Inception Net assets Return Date
Anima Alto Potenziale Globale F -0.24% 0.61% 9.34% 0.61% 9.30% 387235392 2014-03-31
Anima America F 1.16% 1.34% 12.97% 1.34% 16.04% 363641290 2014-03-31
Anima Capitale Più 15 F 0.17% 2.18% 6.18% 2.18% 6.13% 115619649 2014-03-31
Anima Capitale Più 30 F 0.14% 2.62% 8.96% 2.62% 9.00% 113809744 2014-03-31
Anima Capitale Più 70 F -0.40% 0.90% 8.40% 0.90% 11.66% 68699219 2014-03-31
Anima Capitale Più Obbligazionario F 0.42% 1.94% 3.75% 1.94% 3.66% 103404654 2014-03-31
Anima Emergenti F 2.14% -2.76% -10.75% -2.76% -10.51% 251793101 2014-03-31
Anima Europa F -0.72% 2.27% 17.76% 2.27% 18.67% 595351327 2014-03-31
Anima Fondo Trading F -0.46% -0.06% 14.21% -0.06% 14.38% 379519390 2014-03-31
Anima Iniziativa Europa F -1.23% 5.72% 30.30% 5.72% 29.93% 165510501 2014-03-31
Anima Italia F 5.48% 13.77% 44.51% 13.77% 40.65% 183263439 2014-03-31
Anima Liquidità Euro F 0.03% 0.27% 0.68% 0.27% 0.68% 685436825 2014-03-31
Anima Liquidità Euro I 0.01% 0.25% 0.55% 0.25% 2.67% 685436825 2014-03-31
Anima Obbligazionario Corporate F 0.70% 3.25% 10.60% 3.25% 10.18% 277833269 2014-03-31
Anima Obbligazionario Emergente F -0.03% 1.41% -4.48% 1.41% -4.71% 118071222 2014-03-31
Anima Obbligazionario Euro F 0.44% 2.12% 4.86% 2.12% 4.62% 252944475 2014-03-31
Anima Obbligazionario High Yield F 1.17% 4.03% 14.49% 4.03% 13.81% 138223394 2014-03-31
Anima Pacifico F 0.94% -2.76% -3.74% -2.76% -1.54% 177100981 2014-03-31
Anima Pianeta F 0.23% 2.84% -4.81% 2.84% -4.12% 153395036 2014-03-31
Anima Risparmio F 0.23% 1.35% 3.70% 1.35% 0.33% 629212125 2014-03-31
Anima Salvadanaio F 0.10% 0.61% 1.96% 0.61% 1.94% 741630080 2014-03-31
Anima Sforzesco F 0.33% 2.15% 5.19% 2.15% 5.33% 1624070129 2014-03-31
Anima Valore Globale F 0.87% 2.25% 15.74% 2.25% 19.29% 289038012 2014-03-31
Anima Visconteo F 0.37% 2.46% 8.84% 2.46% 8.88% 1283545866 2014-03-31

Upcoming events

Upcoming training

Mon, 12/05/2014 (All day) - Dubai
Tue, 13/05/2014 (All day) - Dubai