Εξοικονόμηση ενέργειας

Μία βιώσιμη επιλογή
Επιλέξτε την προβολή χαμηλής ενέργειας και μειώστε την κατανάλωση της επίσκεψής σας.
Eπιλέξτε το energy mode, μία μορφή του site χωρίς εικόνες και βίντεο που μειώνει την κατανάλωση ενέργειας. 
Εξοικονόμηση ενέργειας
Βελτιωμένη συγκέντρωση
Ταχύτερη φόρτωση
sustainable
Διαβάστε περισσότερα σχετικά με τις δράσεις μας για τη μείωση του διοξειδίου του άνθρακα. ΕSG

Ερωτήσεις & απαντήσεις

Πώς μπορώ να εγκαταστήσω το Piraeus app;

Κατεβάστε το Piraeus app από τo App Store (iOS) ή Google Play Store (Android) ή App Gallery (Huawei) πληκτρολογώντας Piraeus app και πατήστε Απόκτηση (iOS) ή Εγκατάσταση (Android) ή Εγκατάσταση (Huawei).

Ξέχασα / Μπλόκαρα το password στο Piraeus e-banking μου

Εάν έχετε ενεργοποιήσει τη δυνατότητα λήψης SMS extraPIN και γνωρίζετε το username σας αλλά δεν θυμάστε το password σας, μπορείτε να πραγματοποιήσετε επανέκδοση password ξεκινώντας τη διαδικασία από εδώ.

Σε κάθε περίπτωση, η επανέκδοση password συνεχίζει να παρέχεται και μέσα από το Δίκτυο καταστημάτων της τράπεζας.

Ποιες πιστωτικές κάρτες μπορώ να εκδώσω μέσω του Piraeus e-banking;

Επιλέξτε την πιστωτική κάρτα που σας ενδιαφέρει για να δείτε αναλυτικά τα χαρακτηριστικά της.

Πώς θα αποκτήσω Piraeus e-loan;

Σε 3 απλά βήματα
 1. Σχεδιάζετε το δάνειο σας

Μέσω του ειδικού calculator διαμορφώνετε το πλάνο αποπληρωμής του δανείου σας επιλέγοντας:

  • ποσό δανείου
  • διάρκεια δανείου και διαμορφώνετε τη δόση που σας εξυπηρετεί
 2. Καταχωρείτε την αίτησή σας όποτε επιθυμείτε
  • Επιβεβαιώνετε βασικά προσωπικά και επαγγελματικά σας στοιχεία
  • Επισυνάπτετε τα απαραίτητα δικαιολογητικά
  • Ολοκληρώνετε την καταχώριση της αίτησης
 3. Εκταμίευση δανείου
  • Η αίτησή σας αξιολογείται από την τράπεζα
  • Μόλις η αίτηση εγκριθεί υπογράφετε τα συμβατικα έγγραφα με εγκεκριμένη ηλεκτρονική υπογραφή (OTC)
  • Τα χρήματα πιστώνονται στον λογαριασμό σας

Βρείτε αναλυτικά τα βήματα διαδικασίας απόκτησης του e-loan εδώ.


Καλωσήρθατε στο Piraeus e-banking
Εκτελέστε άμεσα και με ασφάλεια συναλλαγές με το Piraeus e-banking από τον υπολογιστή ή το κινητό σας τηλέφωνο.
Είστε πελάτης μας και δεν έχετε Piraeus e-banking; Κάντε εγγραφή

Θέλετε να γίνετε πελάτης;
Αποκτήστε κωδικούς e-banking και διαχειριστείτε τα οικονομικά σας εύκολα και γρήγορα.
Digital Onboarding

Ημερήσιο δελτίο αποτίμησης αμοιβαίων κεφαλαίων

Ενημερωθείτε για την αποτίμηση των αμοιβαίων κεφαλαίων.

Οι τιμές διάθεσης και εξαγοράς έχουν υπολογισθεί με βάση το μέγιστο επιτρεπόμενο ποσοστό προμήθειας στο πλαίσιο της ισχύουσας τιμολογιακής πολιτικής της εταιρείας.

Οι τιμές σε ευρώ των μεριδίων των Διεθνών Αμοιβαίων Κεφαλαίων με νόμισμα βάσης USD, JPY και CHF είναι ενδεικτικές.

Υπολογίζονται βάσει των ισοτιμιών του παρακάτω πίνακα:

Τελευταία ενημέρωση:21/5/2025
ISINΤίτλοςΕνεργητικόΜερίδιαΚαθαρή τιμήΤιμή ΔιάθεσηςΤιμή ΕξαγοράςΜεταβολή από Προηγούμενο κλείσιμοΜεταβολή από 1/1

Α/Κ ΠΕΙΡΑΙΩΣ Α.Ε.Δ.Α.Κ.:Α/Κ Χρηματαγοράς

GRF000112000 ΠΕΙΡΑΙΩΣ ΑΜΟΙΒΑΙΟ ΚΕΦΑΛΑΙΟ ΧΡΗΜΑΤΑΓΟΡΑΣ ΚΥΜΑΙΝΟΜΕΝΗΣ ΚΑΘΑΡΗΣ ΑΞΙΑΣ ΕΝΕΡΓΗΤΙΚΟΥ (ΠΡΟΤΥΠΟ) (R) € 303.314.729,47 24.820.769,60 12,2202 12,2202 12,2202 0,0000% 0,8000%
GRF000258001 ΠΕΙΡΑΙΩΣ ΑΜΟΙΒΑΙΟ ΚΕΦΑΛΑΙΟ ΧΡΗΜΑΤΑΓΟΡΑΣ ΚΥΜΑΙΝΟΜΕΝΗΣ ΚΑΘΑΡΗΣ ΑΞΙΑΣ ΕΝΕΡΓΗΤΙΚΟΥ (ΠΡΟΤΥΠΟ) (I) € 31.591.598,25 2.971.410,44 10,6319 10,6319 10,6319 0,0000% 0,8500%

Α/Κ ΠΕΙΡΑΙΩΣ Α.Ε.Δ.Α.Κ.:Μετοχικά Α/Κ

Γεωγραφικά
Εσωτερικού
GRF000113008 ΠΕΙΡΑΙΩΣ Α/Κ ΜΕΤΟΧΙΚΟ ΕΣΩΤΕΡΙΚΟΥ (R) € 291.511.452,29 29.571.604,76 9,8578 10,0057 9,8578 0,2500% 21,2000%
GRF000271004 ΠΕΙΡΑΙΩΣ Α/Κ ΔΥΝΑΜΙΚΩΝ ΕΠΙΧΕΙΡΗΣΕΩΝ ΕΛΛΗΝΙΚΟ ΜΕΤΟΧΙΚΟ - PRIVATE BANKING € 6.425.790,61 320.420,59 20,0542 20,0542 20,0542 0,2200% 17,6300%
GRF000100005 ΠΕΙΡΑΙΩΣ Α/Κ ΔΥΝΑΜΙΚΩΝ ΕΠΙΧΕΙΡΗΣΕΩΝ ΕΛΛΗΝΙΚΟ ΜΕΤΟΧΙΚΟ (R) € 93.163.770,86 37.142.311,06 2,5083 2,5459 2,5083 0,2200% 17,6400%
GRF000270006 ΠΕΙΡΑΙΩΣ Α/Κ ΔΥΝΑΜΙΚΩΝ ΕΠΙΧΕΙΡΗΣΕΩΝ ΕΛΛΗΝΙΚΟ ΜΕΤΟΧΙΚΟ (I) € 24.037.858,86 876.052,04 27,4388 27,4388 27,4388 0,2300% 18,1800%
GRF000272002 ΠΕΙΡΑΙΩΣ Α/Κ ΜΕΤΟΧΙΚΟ ΕΣΩΤΕΡΙΚΟΥ (I) € 45.981.112,54 1.735.997,86 26,4868 26,4868 26,4868 0,2600% 21,8300%
GRF000274008 ΠΕΙΡΑΙΩΣ Α/Κ ΜΕΤΟΧΙΚΟ ΕΣΩΤΕΡΙΚΟΥ (U) € 315.190.687,94 12.130.963,56 25,9823 25,9823 25,9823 0,2700% 22,2600%
Εξωτερικού
GRF000351004 PIRAEUS IDEAS GLOBAL EQUITY FUND - PRIVATE BANKING € 8.751.433,96 669.269,44 13,0761 13,0761 13,0761 -0,1800% 1,5800%
GRF000352002 PIRAEUS IDEAS GLOBAL EQUITY FUND (I) € 851.671,41 61.562,73 13,8342 13,8342 13,8342 -0,1700% 2,0600%
GRF000104007 ΠΕΙΡΑΙΩΣ A/K US MΕΤΟΧΙΚΟ (R) € 25.957.971,71 1.262.311,83 20,5638 20,8723 20,5638 -0,5400% -8,3200%
GRF000099009 ΠΕΙΡΑΙΩΣ A/K EUROZONE ΜΕΤΟΧΙΚΟ ΕΞΩΤΕΡΙΚΟΥ (R) € 25.515.315,94 6.426.071,34 3,9706 4,0302 3,9706 0,2600% 10,4400%
GRF000245008 ΠΕΙΡΑΙΩΣ A/K EUROZONE ΜΕΤΟΧΙΚΟ ΕΞΩΤΕΡΙΚΟΥ (I) € 8.733.247,39 533.401,17 16,3728 16,3728 16,3728 0,2700% 10,9600%
GRF000256005 ΠΕΙΡΑΙΩΣ A/K US MΕΤΟΧΙΚΟ (I) € 22.459.896,33 952.511,47 23,5797 23,5797 23,5797 -0,5300% -7,8800%
GRF000247004 ΠΕΙΡΑΙΩΣ A/K EUROZONE ΜΕΤΟΧΙΚΟ ΕΞΩΤΕΡΙΚΟΥ (U) € 2.821.361,92 166.786,78 16,9160 16,9160 16,9160 0,2700% 11,4200%
GRF000446002 ΠΕΙΡΑΙΩΣ Α/Κ US MΕΤΟΧΙΚΟ (U) € 2.409.385,08 197.429,28 12,2038 12,2038 12,2038 -0,5200% -7,4900%
GRF000494002 PIRAEUS IDEAS GLOBAL EQUITY FUND (R) € 1.425.290,41 131.805,74 10,8136 10,9758 10,8136 -0,1800% 1,5700%
GRF000525003 PIRAEUS YOUTH TARGET FUND (I) EQUITY € 299.624,30 30.000,00 9,9875 10,2871 9,9875 -0,0100% -0,1300%

Α/Κ ΠΕΙΡΑΙΩΣ Α.Ε.Δ.Α.Κ.:Ομολογιακά Α/Κ

Γεωγραφικά
Εσωτερικού
GRF000107000 ΠΕΙΡΑΙΩΣ Α/Κ ΟΜΟΛΟΓΩΝ ΕΣΩΤΕΡΙΚΟΥ (R) € 49.123.902,79 3.189.263,51 15,4029 15,4799 15,4029 0,1000% 0,2200%
GRF000103009 ΠΕΙΡΑΙΩΣ Α/Κ ΟΜΟΛΟΓΩΝ ΕΛΛΗΝΙΚΗΣ ΕΠΙΧΕΙΡΗΜΑΤΙΚΟΤΗΤΑΣ (R) € 385.700.871,92 31.148.676,44 12,3826 12,4445 12,3826 0,0400% 1,4800%
GRF000284007 ΠΕΙΡΑΙΩΣ Α/Κ ΟΜΟΛΟΓΩΝ ΕΣΩΤΕΡΙΚΟΥ (I) € 24.848.837,58 2.019.689,78 12,3033 12,3033 12,3033 0,1100% 0,5300%
GRF000282001 ΠΕΙΡΑΙΩΣ Α/Κ ΟΜΟΛΟΓΩΝ ΕΛΛΗΝΙΚΗΣ ΕΠΙΧΕΙΡΗΜΑΤΙΚΟΤΗΤΑΣ (I) € 25.758.560,75 2.006.261,44 12,8391 12,8391 12,8391 0,0500% 1,7500%
GRF000286002 ΠΕΙΡΑΙΩΣ Α/Κ ΟΜΟΛΟΓΩΝ ΕΣΩΤΕΡΙΚΟΥ (U) € 99.681.366,56 7.936.731,02 12,5595 12,5595 12,5595 0,1100% 0,7000%
GRF000395001 ΠΕΙΡΑΙΩΣ Α/Κ ΣΤΡΑΤΗΓΙΚΗΣ ΤΑΚΤΙΚΟΥ ΕΙΣΟΔΗΜΑΤΟΣ 2027 ΟΜΟΛΟΓΙΑΚΟ ΕΣΩΤΕΡΙΚΟY € 184.715.340,66 17.114.239,29 10,7931 10,7931 10,5772 0,0500% 0,8100%
Εξωτερικού
GRF000108008 ΠΕΙΡΑΙΩΣ Α/Κ ΟΜΟΛΟΓΩΝ ΜΕΣΟΠΡΟΘΕΣΜΗΣ ΔΙΑΡΚΕΙΑΣ (R) € 180.842.755,58 34.663.055,95 5,2172 5,2433 5,2172 0,0300% 1,1300%
GRF000105004 ΠΕΙΡΑΙΩΣ Α/Κ EURO AGGREGATE ΟΜΟΛΟΓΙΑΚΟ (R) € 15.077.042,01 1.731.008,62 8,7100 8,7536 8,7100 0,0200% 0,5100%
GRF000106002 ΠΕΙΡΑΙΩΣ Α/Κ USD AGGREGATE ΟΜΟΛΟΓΙΑΚΟ (R) € 11.519.436,15 3.440.183,04 3,3485 3,3652 3,3485 -0,3500% -5,8500%
GRF000265006 ΠΕΙΡΑΙΩΣ Α/Κ EURO AGGREGATE ΟΜΟΛΟΓΙΑΚΟ (I) € 36.310.953,74 3.188.822,40 11,3869 11,3869 11,3869 0,0200% 0,7100%
GRF000267002 ΠΕΙΡΑΙΩΣ Α/Κ USD AGGREGATE ΟΜΟΛΟΓΙΑΚΟ (I) € 20.764.338,12 2.069.926,97 10,0314 10,0314 10,0314 -0,3500% -5,6600%
GRF000260007 ΠΕΙΡΑΙΩΣ Α/Κ ΟΜΟΛΟΓΩΝ ΜΕΣΟΠΡΟΘΕΣΜΗΣ ΔΙΑΡΚΕΙΑΣ (I) € 1.093.684,25 106.564,09 10,2632 10,2632 10,2632 0,0400% 1,3000%
GRF000269008 ΠΕΙΡΑΙΩΣ Α/Κ USD AGGREGATE ΟΜΟΛΟΓΙΑΚΟ (U) € 1.437.630,75 140.293,82 10,2473 10,2473 10,2473 -0,3500% -5,5100%
GRF000262003 ΠΕΙΡΑΙΩΣ Α/Κ ΟΜΟΛΟΓΩΝ ΜΕΣΟΠΡΟΘΕΣΜΗΣ ΔΙΑΡΚΕΙΑΣ (U) € 41.259.019,74 3.968.247,01 10,3973 10,3973 10,3973 0,0400% 1,4000%
GRF000445004 ΠΕΙΡΑΙΩΣ Α/Κ EURO AGGREGATE ΟΜΟΛΟΓΙΑΚΟ (U) € 2.872.908,23 276.439,87 10,3925 10,3925 10,3925 0,0300% 0,8600%
GRF000409000 ΠΕΙΡΑΙΩΣ Α/Κ ΣΤΡΑΤΗΓΙΚΗΣ ΤΑΚΤΙΚΟΥ ΕΙΣΟΔΗΜΑΤΟΣ 2028 ΕΥΡΩΠΑΪΚΟ ΟΜΟΛΟΓΙΑΚΟ € 399.491.352,67 38.536.964,56 10,3664 10,3664 10,1591 0,0300% 1,2400%
GRF000421005 ΠΕΙΡΑΙΩΣ Α/Κ ΣΤΡΑΤΗΓΙΚΗΣ ΤΑΚΤΙΚΟΥ ΕΙΣΟΔΗΜΑΤΟΣ 2028 II ΕΥΡΩΠΑΪΚΟ ΟΜΟΛΟΓΙΑΚΟ € 56.808.907,23 5.408.483,98 10,5037 10,5037 10,2936 0,0500% 1,2000%
GRF000422003 ΠΕΙΡΑΙΩΣ Α/Κ ΣΤΡΑΤΗΓΙΚΗΣ ΤΑΚΤΙΚΟΥ ΕΙΣΟΔΗΜΑΤΟΣ 2029 ΕΥΡΩΠΑΪΚΟ ΟΜΟΛΟΓΙΑΚΟ € 29.612.632,14 2.776.077,39 10,6671 10,6671 10,4538 0,0300% 1,2700%
GRF000450004 ΠΕΙΡΑΙΩΣ Α/Κ ΣΤΡΑΤΗΓΙΚΗΣ ΤΑΚΤΙΚΟΥ ΕΙΣΟΔΗΜΑΤΟΣ 2026 ΕΥΡΩΠΑΪΚΟ ΟΜΟΛΟΓΙΑΚΟ € 259.451.525,82 25.293.507,60 10,2576 10,2679 10,0524 0,0300% 0,8600%
GRF000460003 ΠΕΙΡΑΙΩΣ Α/Κ ΕΙΣΟΔΗΜΑΤΟΣ 2025 ΕΥΡΩΠΑΪΚΟ ΟΜΟΛΟΓΙΑΚΟ € 341.394.444,47 32.997.949,87 10,3459 10,3562 10,2424 0,0000% 0,7300%
GRF000473006 ΠΕΙΡΑΙΩΣ Α/Κ ΣΤΡΑΤΗΓΙΚΗΣ ΤΑΚΤΙΚΟΥ ΕΙΣΟΔΗΜΑΤΟΣ 2029 ΙΙ ΕΥΡΩΠΑΪΚΟ ΟΜΟΛΟΓΙΑΚΟ € 146.156.969,23 14.350.468,68 10,1848 10,1950 9,9811 0,0400% 1,3200%
GRF000474004 ΠΕΙΡΑΙΩΣ Α/Κ ΕΙΣΟΔΗΜΑΤΟΣ 2026 ΕΥΡΩΠΑΪΚΟ ΟΜΟΛΟΓΙΑΚΟ € 206.227.474,49 20.067.196,45 10,2768 10,2871 10,1226 0,0400% 1,0300%
GRF000481009 ΠΕΙΡΑΙΩΣ Α/Κ ΣΤΡΑΤΗΓΙΚΗΣ ΤΑΚΤΙΚΟΥ ΕΙΣΟΔΗΜΑΤΟΣ 2027 ΕΥΡΩΠΑΪΚΟ ΟΜΟΛΟΓΙΑΚΟ € 144.474.407,39 14.225.313,14 10,1561 10,1663 9,9530 0,0600% 1,0900%
GRF000487006 ΠΕΙΡΑΙΩΣ Α/Κ ΕΙΣΟΔΗΜΑΤΟΣ 2026 II ΕΥΡΩΠΑΪΚΟ ΟΜΟΛΟΓΙΑΚΟ € 282.100.745,98 27.829.860,72 10,1366 10,1467 9,9339 0,0300% 0,8300%
GRF000493004 ΠΕΙΡΑΙΩΣ Α/Κ ΣΤΡΑΤΗΓΙΚΗΣ ΤΑΚΤΙΚΟΥ ΕΙΣΟΔΗΜΑΤΟΣ 2027 II ΕΥΡΩΠΑΪΚΟ ΟΜΟΛΟΓΙΑΚΟ € 91.254.769,73 9.014.349,09 10,1233 10,1334 9,9208 0,0800% 1,0700%
GRF000501004 ΠΕΙΡΑΙΩΣ Α/Κ ΣΤΡΑΤΗΓΙΚΗΣ ΤΑΚΤΙΚΟΥ ΕΙΣΟΔΗΜΑΤΟΣ 2029 ΙIΙ ΕΥΡΩΠΑΪΚΟ ΟΜΟΛΟΓΙΑΚΟ € 56.131.086,42 5.584.751,68 10,0508 10,0609 9,8498 0,0200% 1,2000%
GRF000514007 ΠΕΙΡΑΙΩΣ Α/Κ ΣΤΡΑΤΗΓΙΚΗΣ ΤΑΚΤΙΚΟΥ ΕΙΣΟΔΗΜΑΤΟΣ 2028 ΙIΙ ΕΥΡΩΠΑΪΚΟ ΟΜΟΛΟΓΙΑΚΟ € 414.306.468,37 41.545.237,81 9,9724 9,9923 9,7730 0,0400% -0,2800%
GRF000524006 ΠΕΙΡΑΙΩΣ Α/Κ ΕΙΣΟΔΗΜΑΤΟΣ 2027 ΕΥΡΩΠΑΪΚΟ ΟΜΟΛΟΓΙΑΚΟ € 180.481.352,36 18.311.126,10 9,8564 9,8761 9,6593 0,0100% -1,4400%
GRF000520004 PIRAEUS ENHANCED INCOME BOND FUND € 293.349,74 30.002,01 9,7777 9,7777 9,5821 -1,7600% -2,2200%

Α/Κ ΠΕΙΡΑΙΩΣ Α.Ε.Δ.Α.Κ.:Μικτά Α/Κ

GRF000111002 ΠΕΙΡΑΙΩΣ Α/Κ ΜΙΚΤΟ ΕΣΩΤΕΡΙΚΟΥ (R) € 62.410.035,17 13.198.393,86 4,7286 4,7877 4,7286 0,2200% 11,3200%
GRF000280005 ΠΕΙΡΑΙΩΣ Α/Κ ΜΙΚΤΟ ΕΥΡΩΠΑΪΚΟ - PRIVATE BANKING € 13.974.845,65 1.049.434,95 13,3165 13,3165 13,3165 0,1300% 5,7400%
GRF000110004 ΠΕΙΡΑΙΩΣ Α/Κ ΕΙΣΟΔΗΜΑΤΟΣ ΜΙΚΤΟ (I) € 20.662.022,01 2.328.953,06 8,8718 8,8718 8,8718 0,3100% 9,6400%
GRF000328002 ΠΕΙΡΑΙΩΣ Α/Κ ΕΙΣΟΔΗΜΑΤΟΣ ΜΙΚΤΟ (R) € 27.671.924,93 2.348.702,22 11,7818 11,9291 11,7818 0,3000% 9,2500%
GRF000101003 ΠΕΙΡΑΙΩΣ Α/Κ ΜΙΚΤΟ ΕΥΡΩΠΑIΚΟ (R) € 38.384.473,82 12.342.382,54 3,1100 3,1489 3,1100 0,1300% 5,7500%
GRF000277001 ΠΕΙΡΑΙΩΣ Α/Κ ΜΙΚΤΟ ΕΣΩΤΕΡΙΚΟΥ (I) € 728.433,32 36.524,28 19,9438 19,9438 19,9438 0,2300% 11,7800%
GRF000279007 ΠΕΙΡΑΙΩΣ Α/Κ ΜΙΚΤΟ ΕΥΡΩΠΑIΚΟ (I) € 4.892.456,11 370.200,28 13,2157 13,2157 13,2157 0,1400% 6,1700%
GRF000281003 ΠΕΙΡΑΙΩΣ Α/Κ ΜΙΚΤΟ ΕΥΡΩΠΑIΚΟ (U) € 865.389,43 76.326,08 11,3381 11,3381 11,3381 0,1400% 6,3300%

Α/Κ ΠΕΙΡΑΙΩΣ Α.Ε.Δ.Α.Κ.:Funds of Funds Α/Κ

GRF000095007 ΠΕΙΡΑΙΩΣ FUND OF FUNDS MΕΤΟΧΙΚΟ (R) € 42.009.927,46 1.633.778,72 25,7134 26,0991 25,7134 -0,2100% -0,0500%
GRF000094000 ΠΕΙΡΑΙΩΣ FUND OF FUNDS ΟΜΟΛΟΓΙΑΚΟ (R) € 44.005.119,92 3.678.982,13 11,9612 12,0210 11,9612 -0,2800% -2,6600%
GRF000096005 ΠΕΙΡΑΙΩΣ FUND OF FUNDS ΑΝΑΔΥΟΜΕΝΩΝ ΑΓΟΡΩΝ ΜΕΤΟΧΙΚΟ (R) € 9.893.680,76 2.512.694,23 3,9375 3,9966 3,9375 -0,6700% -0,7600%
GRF000097003 ΠΕΙΡΑΙΩΣ ΔΙΕΘΝΕΣ FUND OF FUNDS ΜΙΚΤΟ (R) € 59.241.445,41 12.605.006,84 4,6998 4,7585 4,6998 -0,2900% -2,1600%
GRF000356003 ΠΕΙΡΑΙΩΣ LOW VOLATILITY FUND OF FUNDS MIKTO (R) € 77.460.086,18 7.698.047,16 10,0623 10,1881 10,0623 0,0600% -0,3900%
GRF000098001 ΠΕΙΡΑΙΩΣ EURO CONSERVATIVE FUND OF FUNDS ΜΙΚΤΟ (R) € 123.160.368,05 57.360.367,74 2,1471 2,1739 2,1471 -0,0100% 0,5100%
GRF000263001 ΠΕΙΡΑΙΩΣ ΔΙΕΘΝΕΣ FUND OF FUNDS ΜΙΚΤΟ (I) € 0,00 0,00 0,0000 0,0000 0,0000 0,0000% 0,0000%
GRF000248002 ΠΕΙΡΑΙΩΣ FUND OF FUNDS ΑΝΑΔΥΟΜΕΝΩΝ ΑΓΟΡΩΝ ΜΕΤΟΧΙΚΟ (I) € 3.607.851,28 321.123,70 11,2351 11,2351 11,2351 -0,6600% -0,3200%
GRF000250008 ΠΕΙΡΑΙΩΣ FUND OF FUNDS MΕΤΟΧΙΚΟ (I) € 9.578.726,44 512.879,76 18,6764 18,6764 18,6764 -0,2000% 0,3600%
GRF000254000 ΠΕΙΡΑΙΩΣ FUND OF FUNDS ΟΜΟΛΟΓΙΑΚΟ (I) € 211.688,27 20.000,00 10,5844 10,5844 10,5844 -0,2800% -2,5000%
GRF000252004 ΠΕΙΡΑΙΩΣ EURO CONSERVATIVE FUND OF FUNDS ΜΙΚΤΟ (I) € 0,00 0,00 0,0000 0,0000 0,0000 0,0000% 0,0000%

Α/Κ Goldman Sachs:Μετοχικά Α/Κ

LU0201159711 Goldman Sachs Global CORE Equity Portfolio € 149.125.701,56 3.494.192,23 42,6800 44,3872 42,6800 0,4500% -4,5800%
LU0234570751 Goldman Sachs Global CORE Equity Portfolio € 46.818.461,55 1.144.191,39 40,9200 43,1706 40,9200 0,4200% 3,6200%
LU0234571213 Goldman Sachs Strategic Global Equity Portfolio € 26.829,87 964,63 27,8100 29,3395 27,8100 0,6200% 8,7200%
LU0234571486 GOLDMAN SACHS ASIA EQUITY PORTFOLIO € 6.484.316,29 265.653,54 24,4100 25,7525 24,4100 -0,2900% 5,2600%
LU0234571726 Goldman Sachs US CORE Equity Portfolio € 126.415.344,99 2.547.584,20 49,6200 52,3491 49,6200 0,2200% -1,5100%
LU0234572377 GS EMERG MARKETS BROAD EQUITY PORTFOLIO € 172.658.410,31 7.216.197,50 23,9300 25,2462 23,9300 0,1700% 7,1700%
LU0234588027 GOLDMAN SACHS US EQUITY ESG PORTFOLIO [USD] € 308.981.103,15 6.943.600,94 44,5000 46,9475 44,5000 0,3200% -1,9600%
LU0234681749 Goldman Sachs Europe CORE Equity Portfolio € 244.468.473,51 7.522.985,07 32,5000 34,2875 32,5000 1,4400% 13,3600%
LU0234687605 GOLDMAN SACHS US EQUITY ESG PORTFOLIO [EUR] € 7.062.038,64 171.998,47 41,0600 42,7024 41,0600 0,3200% -9,8200%
LU0234695293 GOLDMAN SACHS JAPAN EQUITY PORTFOLIO € 8.586.753.880,49 334.752,41 25.651,0600 27.061,8683 25.651,0600 0,4500% -1,4000%
LU0244548862 Goldman Sachs Global Equity Partners Portfolio € 2.016.696,57 56.451,74 35,7200 37,1488 35,7200 0,2500% -0,4200%
LU0245181838 GS Global Small Cap Core Equity Portfolio € 40.110.419,32 1.228.775,24 32,6400 33,9456 32,6400 -0,4000% -3,0300%
LU0245182059 GS Global Small Cap Core Equity Portfolio € 45.710.795,36 1.459.914,97 31,3100 32,5624 31,3100 0,4800% -3,3300%
LU0257370246 Goldman Sachs Global CORE Equity Portfolio € 122.674.865,62 3.440.602,11 35,6600 37,6213 35,6600 -0,1400% -3,9800%
LU0313355587 GS EMERGING MARKETS CORE EQUITY PORTFOLIO € 347.049.301,80 16.811.949,25 20,6400 21,7752 20,6400 -0,5800% 6,8300%
LU1046545411 GS N American Shale Revolution & Energy Infr Prtf € 11.633.487,67 968.064,83 12,0200 12,6811 12,0200 0,4200% 0,9200%
LU1046545502 GS N American Shale Revolution & Energy Infr Prtf € 24.986.250,77 1.841.849,23 13,5700 14,1128 13,5700 0,4400% -7,1800%
LU0040769829 GS STRATEGIC GLOBAL EQUITY FUND Class Base (USD) € 11.373.369,55 191.161,84 59,5000 62,7725 59,5000 0,6400% 8,7400%
LU0050126431 GS ASIA EQUITY PORTFOLIO Class Base (USD) € 1.925.291,87 61.065,05 31,5300 33,2642 31,5300 -0,3200% 5,2800%
LU0083344555 GS EMERGING MARKETS BROAD EQUITY Class Base (USD) € 61.887.998,12 1.376.075,61 44,9700 47,4433 44,9700 0,1600% 7,1500%
LU0102219945 GS EUROPE CORE EQUITY Class Base (EUR) € 43.150.475,83 1.670.777,40 25,8300 27,2506 25,8300 1,4100% 13,3900%
LU0113302664 GS EMERGING MARKETS ENHANCED INDEX SUSTAIN [USD] € 7.027.424,96 3.238,93 2.169,6800 2.278,1640 2.169,6800 -0,1000% 9,3000%
LU0113303043 GS Asia Equity Income X CAP [USD] € 5.548.709,82 4.561,79 1.216,3500 1.277,1675 1.216,3500 0,4000% 5,7000%
LU0113304017 GS EUROPE EQUITY X CAP [EUR] € 5.469.522,29 58.217,88 93,9500 98,6475 93,9500 0,8000% 9,2000%
LU0113307978 GS EUROZONE EQUITY X CAP [EUR] € 1.081.917,66 4.725,12 228,9700 240,4185 228,9700 0,9000% 12,6000%
LU0121204944 GS GREATER CHINA EQUITY X CAP [USD] € 38.791.540,75 33.022,44 1.174,7000 1.233,4350 1.174,7000 0,6000% 6,5000%
LU0122971814 GS ASIA EQUITY PORTFOLIO Class A shares (USD) € 1.820.161,14 49.574,00 36,7200 38,1888 36,7200 -0,3000% 5,0600%
LU0122972895 GS EUROPE CORE EQUITY Class A Shares (EUR) € 15.447.180,81 666.853,70 23,1600 24,0864 23,1600 1,4000% 13,1400%
LU0122974248 GS EMERGING MARKETS BROAD EQUITY Class A shares (USD) € 5.767.961,08 127.283,36 45,3200 47,1328 45,3200 0,1800% 7,0400%
LU0122974750 GS STRATEGIC GLOBAL EQUITY FUND Class A shares (USD) € 816.744,46 32.235,46 25,3400 26,3536 25,3400 0,6400% 8,5200%
LU0133264282 GS ASIA EQUITY PORTFOLIO Class E shares (EUR) € 7.727.209,46 256.999,64 30,0700 31,2728 30,0700 -0,2700% -3,1900%
LU0133264522 GS STRATEGIC GLOBAL EQUITY FUND Class E shares (EUR) € 1.470.128,38 69.597,38 21,1200 21,9648 21,1200 0,6200% 0,0000%
LU0133267202 GS EMERGING MKTS BROAD EQUITY Class E shares (EUR) € 73.959.857,80 1.881.057,20 39,3200 40,8928 39,3200 0,2000% -1,3300%
LU0146259923 GS GLOBAL EQUITY INCOME X CAP [EUR] € 27.809.323,71 41.030,99 677,7600 711,6480 677,7600 0,0000% -0,3000%
LU0205352882 GS EUROPE EQUITY INCOME XCA [EUR] € 11.827.003,54 20.634,21 573,1700 601,8285 573,1700 0,8000% 13,3000%
LU0244545843 GS GLOBAL EQUITY PARTNERS PORTFOLIO Class Base (USD) € 9.365.422,94 394.224,76 23,7600 25,0668 23,7600 0,3000% -0,1700%
LU0244548433 GS GLOBAL EQUITY PARTNERS PORTFOLIO Class A shares (USD) € 1.380.112,45 38.625,61 35,7300 37,1592 35,7300 0,2500% -0,3900%
LU0250170304 GS GLOBAL EQUITY IMPACT OPPORTUNITIES X CAP [EUR] € 42.505.950,59 78.701,27 540,0900 567,0945 540,0900 0,2000% -3,5000%
LU0418310818 GS GLOBAL EQUITY PARTNERS PORTFOLIO Class E shares (EUR) € 5.127.785,36 127.762,07 40,1400 41,7456 40,1400 0,3000% -8,1000%
LU0799828818 GS EMERGING MARKETS EQUITY INCOME X CAP [USD] € 2.031.677,44 35.667,62 64,1900 67,3995 64,1900 -0,1000% 4,9000%
LU0141332832 GS EUROPE CORE EQUITY PORTFOLIO CLASS A SHARES € 888.817,88 54.256,70 16,3800 17,0352 16,3800 1,3600% 22,6100%
LU1583998908 GS EUROPE CORE EQUITY PORTFOLIO OTHER CURRENCY SHARES (USD) € 698.892,40 40.283,43 17,3500 18,3043 17,3500 1,4000% 22,8800%
Γεωγραφικά
Διεθνή
LU0250172185 GS EUROPE EQUITY INCOME - I CAP [EUR] € 9.425.830,15 26.054,57 361,7700 372,6231 361,7700 -0,4000% -5,3000%
LU0250181095 GS GLOBAL REAL ESTATE EQUITY [USD] (FORMER NN) € 868.798,33 2.385,05 410,4800 422,7944 410,4800 -0,3000% 3,0000%
LU0250183208 GS Global Real Estate Equity (Former NN) - X Cap EUR € 4.415.686,83 3.337,90 1.322,8900 1.389,0345 1.322,8900 -0,4000% -5,5000%
LU0546920488 GS US DOLLAR CREDIT [USD] € 107.670.173,53 68.244,85 1.577,7000 1.625,0310 1.577,7000 -0,2000% 1,5000%
LU0809674541 GS GLOBAL FLEXIBLE MULTI ASSET [EUR] € 3.637.813,56 13.307,62 273,3600 281,5608 273,3600 -0,1000% -2,7000%
LU1175220752 GS GLOBAL FLEXIBLE MULTI ASSET [USD] € 106.489,08 96,67 1.241,2800 1.278,5184 1.241,2800 -0,1000% -2,1000%
Ευρώπη
LU0127786860 Goldman Sachs Eurozone Equity Income – X Cap € 47.221.205,93 54.602,57 864,8200 908,0610 864,8200 0,7000% 17,3000%
LU1542714578 GS EURO LIQUIDITY - I CAP [EUR] € 19.524.327,50 30.505,01 640,0400 672,0420 640,0400 0,5000% 6,2000%
Η.Π.Α.
LU0082087940 GS US ENHANCED EQUITY [USD] € 38.592.445,38 132.709,00 290,8100 299,5343 290,8100 -0,4000% -1,0000%
LU0065004045 GS US CORE EQUITY Class Base (USD) € 61.139.606,66 713.597,23 85,6800 90,3924 85,6800 0,2300% -1,5100%
LU0113305253 GS US ENHANCED EQUITY X CAP [USD] € 12.912.680,98 50.229,93 257,0700 269,9235 257,0700 -0,4000% -1,2000%
LU0122977423 GS US CORE EQUITY Class A shares (USD) € 92.261.162,19 1.906.360,91 48,4000 50,3360 48,4000 0,2300% -1,6900%
LU0133265412 GS US CORE EQUITY Class E shares (EUR) € 244.005.501,14 6.111.553,31 39,9300 41,5272 39,9300 0,2500% -9,3100%
LU0273690221 GS US ENHANCED EQUITY [EUR] € 1.820.774,80 1.380,72 1.170,2700 1.205,3781 1.170,2700 -0,5000% -9,0000%
Ιαπωνίας
LU0065003666 GS JAPAN EQUITY PORTFOLIO Class Base (JPY) € 3.404.463.518,40 1.154.064,99 2.949,9800 3.112,2289 2.949,9800 0,4500% -1,4000%
LU0113305683 GS JAPAN EQUITY X CAP [JPY] (FORMER NN) € 2.585.672.023,33 319.692,44 8.088,0000 8.492,4000 8.088,0000 0,4000% -1,4000%
LU0133264795 GS JAPAN EQUITY PORTFOLIO Class E shares (EUR) € 46.155.606,46 2.682.585,69 17,2100 17,8984 17,2100 0,6400% -1,3200%
Αναπτυσσόμενες Αγορές
LU0546915058 GS EMERGING MARKETS DEBT (HARD CURRENCY) [EUR] € 18.480.101,05 3.427,77 4.784,3800 4.927,9114 4.784,3800 0,2000% 1,3000%
LU0555020303 GS EMERGING MARKETS DEBT (HARD CURRENCY) [USD] € 4.996.381,99 12.718,87 392,8300 404,6149 392,8300 0,2000% 2,1000%
Κλαδικά
Διεθνή
LU0332194157 GS GLOBAL CLIMATE & ENVIRONMENT EQUITY(X Cap)[EUR] € 6.356.251,77 3.077,53 2.065,3700 2.168,6385 2.065,3700 0,3000% 1,2000%
LU0121174006 GS GLOBAL CLIMATE & ENVIRONMENT EQUITY X Cap[USD] € 32.271.292,69 25.683,37 1.415,8900 1.486,6845 1.415,8900 0,4000% 10,1000%
LU0121174428 Goldman Sachs Global Social Impact Equity – X Cap USD € 36.404.446,58 18.836,44 2.177,8200 2.286,7110 2.177,8200 0,3000% 6,9000%
LU0121175821 GS GLOBAL ENERGY EQUITY X CAP [USD] € 13.069.385,84 8.859,66 1.475,1600 1.548,9180 1.475,1600 0,0000% 5,1000%
LU0121204431 GS GLOBAL SUSTAINABLE EQUITY XCA [EUR] € 47.981.356,04 83.686,33 573,3500 602,0175 573,3500 -0,2000% -7,2000%
LU0332192888 Goldman Sachs Global Social Impact Equity – X Cap EUR € 61.549.697,10 9.268,99 6.640,3900 6.972,4095 6.640,3900 0,2000% -1,8000%

Α/Κ Goldman Sachs:Ομολογιακά Α/Κ

LU2633844746 GS Euro Short Duration Bond X CAP [EUR] € 7.171.310,84 26.659,69 268,9900 282,4395 268,9900 0,0000% 1,1000%
LU0674861611 Goldman Sachs Global Investment Grade Credit – X Cap EUR (EX NN) € 370.564,25 428,31 767,7800 806,1690 767,7800 -0,2000% -4,6000%
LU2633845982 Goldman Sachs Global Investment Grade Credit – X Cap EUR HI (EX NN) € 196.865,27 953,82 183,1600 192,3180 183,1600 -0,1000% 2,9000%
LU0133266659 Goldman Sachs Global High Yield Portfolio € 20.161.672,01 566.692,78 35,5800 37,0032 35,5800 0,1700% -5,8500%
LU0234570595 Goldman Sachs Global Fixed Income Portfolio € 4.670.629,68 319.405,74 14,6200 15,4241 14,6200 -0,1400% 3,9800%
LU0234571056 GS US Mortgage Backed Securities Portfolio € 1.057.570,29 66.099,88 16,0000 16,8800 16,0000 0,0600% 1,2700%
LU0234572708 Goldman Sachs US Fixed Income Portfolio € 1.103.731,35 71.097,07 15,5200 16,3736 15,5200 0,1300% 1,1700%
LU0234573771 Goldman Sachs Global High Yield Portfolio € 60.129.500,50 2.376.324,75 25,3000 26,6915 25,3000 0,1200% 2,2600%
LU0803999100 GS EMERGING MARKETS DEBT (HARD CURRENCY [EUR] € 1.383.383,29 7.510,88 163,4500 171,6225 163,4500 0,2000% -1,1000%
LU0234589348 Goldman Sachs Global Credit Portfolio (Hedged) € 50.441.184,05 2.875.698,04 17,5400 18,5047 17,5400 0,1100% 1,1000%
LU0302283246 GS EMERGING MARKETS DEBT LOCAL PORTFOLIO € 1.093.171,03 101.937,29 10,7200 11,3096 10,7200 0,0900% 6,6700%
LU0302284640 GS EMERGING MARKETS DEBT LOCAL PORTFOLIO € 1.612.193,69 126.099,29 12,7900 13,3016 12,7900 0,1600% -1,5400%
LU0304100331 Goldman Sachs Global Fixed Income Portfolio (Hdg) € 4.093.704,07 320.815,42 12,7600 13,4618 12,7600 -0,0800% 0,0000%
LU0322549691 GS Global Fixed Income Plus Portfolio (Hdg) € 820.164,07 62.555,34 13,1100 13,8310 13,1100 -0,1500% -0,0800%
LU0600006117 GS GLOBAL DYNAMIC BOND PLUS PORTFOLIO [USD] € 17.158.861,89 123.191,76 139,2900 146,9509 139,2900 -0,0700% 2,0800%
LU0600010143 GS GLOBAL DYNAMIC BOND PLUS PORTFOLIO HDG [EUR] € 7.639.203,97 70.714,05 108,0300 112,3512 108,0300 -0,0800% 1,2900%
LU0622305505 GS EMERGING MARKETS CORPORATE BOND PORTFOLIO € 351.768.394,05 2.037.948,09 172,6100 182,1036 172,6100 0,1200% 2,0600%
LU0622306818 GS EMERGING MARKETS CORPORATE BOND PORTFOLIO € 6.679.509,18 50.012,39 133,5600 138,9024 133,5600 0,1100% 1,2300%
LU0546917427 GS EURO LONG DURATION BOND [EUR] € 8.972.267,07 24.224,91 370,3700 388,8885 370,3700 -0,6000% -3,1000%
LU0810102003 GS Emerging Markets Corporate Bond Portfolio EUR Hdg Q-Dist € 4.181.273,95 54.103,96 77,2800 80,3712 77,2800 0,1000% 0,0900%
LU0083912112 GS GLOBAL HIGH YIELD PORTFOLIO Class Base (USD) € 16.964.201,75 2.414.954,50 7,0200 7,4061 7,0200 0,1400% 2,1800%
LU2578936770 Goldman Sachs USD Green Bond-X Cap USD € 4.568.246,04 3.510,08 1.301,4700 1.366,5435 1.301,4700 0,0000% 1,5000%
LU0089313992 GS U.S. FIXED INCOME PORTFOLIO Class Base (USD) € 923.601,46 92.931,60 9,9400 10,4867 9,9400 0,2000% 1,2200%
LU0093176195 GS GLOBAL FIXED INCOME PORTFOLIO Class Base (USD) € 1.256.762,86 89.371,95 14,0600 14,8333 14,0600 -0,1400% 3,9900%
LU0094488615 GS GLOBAL HIGH YIELD PORTFOLIO Class EUR-hedged (EUR) € 19.881.809,48 4.046.376,70 4,9100 5,1801 4,9100 0,0000% 1,6600%
LU0110449138 GS EMERGING MKTS DEBT PORTFOLIO Class Base (USD) € 29.679.004,93 2.698.441,22 11,0000 11,6050 11,0000 0,3700% 1,8500%
LU0122974081 GS EMERGING MKTS DEBT PORTFOLIO Class A Shares (USD) € 13.899.289,46 1.066.457,03 13,0300 13,5512 13,0300 0,3100% 1,7200%
LU0122974917 GS GLOBAL FIXED INCOME PORTFOLIO Class A shares (USD) € 943.735,37 86.100,94 10,9600 11,3984 10,9600 -0,0900% 3,8900%
LU0122975302 GS GLOBAL HIGH YIELD PORTFOLIO Class A shares (USD) € 11.787.884,14 1.387.266,89 8,5000 8,8400 8,5000 0,1200% 2,1600%
LU0122978074 GS U.S. FIXED INCOME PORTFOLIO Class A Shares (USD) € 457.808,11 39.800,14 11,5000 11,9600 11,5000 0,1700% 1,0500%
LU0133266147 GS EMERGING MKTS DEBT PORTFOLIO Class E Shares (EUR) € 34.513.760,32 1.322.707,65 26,0900 27,1336 26,0900 0,3100% -6,2500%
LU0133266576 GS GLOBAL FIXED INCOME PORTFOLIO Class E shares (EUR) € 3.904.829,03 533.090,13 7,3200 7,6128 7,3200 -0,1400% -4,1900%
LU0133266907 GS U.S. FIXED INCOME PORTFOLIO Class E Shares (EUR) € 595.588,00 53.124,18 11,2100 11,6584 11,2100 0,1800% -6,7400%
LU0154844384 GS US MORTGAGE BACK SECURITIES Class Base (USD) € 556.865,95 294.559,25 1,8900 1,9939 1,8900 0,0000% 1,0700%
LU0154844541 GS US MORTGAGE BACK SECURITIES Class A shares (USD) € 1.073.033,00 171.743,32 6,2500 6,5000 6,2500 0,1600% 1,1300%
LU0546913194 GS PROTECTION P CAP [EUR] € 16.524.097,57 485.040,49 34,0700 35,7735 34,0700 0,1000% 3,7000%
LU0546914242 GS ASIAN DEBT (HARD CURRENCY) X CAP [USD] € 12.731.137,78 6.931,73 1.836,6500 1.928,4825 1.836,6500 0,2000% 1,6000%
LU0546915215 GS EMERGING MARKETS DEBT HARD CURRENCY X HDG [EUR] € 17.487.166,77 3.466,94 4.476,1700 4.699,9785 4.476,1700 0,2000% 1,2000%
LU0546916882 GS EUROMIX BOND X CAP [EUR] € 1.233.192,64 8.092,52 152,3900 160,0095 152,3900 -0,1000% 0,4000%
LU0546918151 GS EURO BOND X CAP [EUR] € 5.844.093,43 11.654,72 501,4400 526,5120 501,4400 -0,1000% 0,2000%
LU0546918409 GS EURO CREDIT X CAP [EUR] € 12.821.550,35 71.485,77 179,3600 188,3280 179,3600 0,0000% 1,0000%
LU0546920561 GS US DOLLAR CREDIT X CAP [USD] € 137.960.415,91 92.832,95 1.486,1100 1.560,4155 1.486,1100 -0,2000% 1,4000%
LU0548664704 GS GLOBAL INFLATION LINKED BOND X CAP EUR HEDGED € 937.221,57 3.462,17 270,7000 284,2350 270,7000 -0,3000% -0,5000%
LU0548664886 GS GLOBAL HIGH YIELD X CAP EUR HEDGED (FORMER NN) € 8.640.125,49 16.568,60 521,4800 547,5540 521,4800 -1,1000% 0,7000%

Α/Κ Goldman Sachs:Διαχείρισης Διαθεσίμων Α/Κ

IE0031294410 GS US$ LIQUID RESERVE FUND (USD) € 312.051.840,59 21.868,76 14.269,3000 14.269,3000 14.269,3000 0,0100% 1,5600%
IE0031295821 GS EURO LIQUID RESERVE FUND (EUR) € 48.569.192,19 3.865,32 12.565,3600 12.565,3600 12.565,3600 0,0100% 0,8600%
IE0031296126 Goldman Sachs Sterling Liquid Reserve Fund € 15.204.859,62 983,35 15.462,2600 15.462,2600 15.462,2600 0,0100% 1,6200%

Α/Κ Goldman Sachs:Μικτά Α/Κ

LU0121216526 GS PATRIMONIAL AGGRESSIVE X CAP [EUR] € 15.238.517,75 13.847,19 1.100,4800 1.155,5040 1.100,4800 -0,3000% -3,6000%
LU0121216955 GS PATRIMONIAL BALANCED X CAP [EUR] € 24.895.111,58 15.237,69 1.633,7900 1.715,4795 1.633,7900 -0,2000% -2,8000%
LU0121217334 GS PATRIMONIAL DEFENSIVE X CAP [EUR] € 23.708.756,05 41.194,16 575,5400 604,3170 575,5400 -0,2000% -1,8000%
LU0121217920 GS PATRIMONIAL BALANCED EURO X CAP [EUR] € 23.313.050,07 29.592,31 787,8100 827,2005 787,8100 0,3000% 4,9000%

Α/Κ Goldman Sachs:Specialist Portfolios

LU0370038597 Goldman Sachs Alternative Beta - X Cap EUR € 66.659.363,74 115.206,16 513,4800 539,1540 513,4800 -0,2000% -7,3000%

Α/Κ JPMorgan:Μετοχικά Α/Κ

LU0441851309 JPM ASEAN Equity A (acc) - USD € 103.155.350,25 3.729.667,49 27,6600 29,0430 27,5217 0,0000% 5,2500%
LU0053685029 JPM Europe Equity A (dist) - EUR € 214.794.591,30 2.773.378,18 77,4500 81,3225 77,0628 1,2200% 12,9200%
Γεωγραφικά
Διεθνή
LU2402382175 JPM Global Research Enhanced Index Equity A Acc Hdg [EUR] € 9.245.288,97 64.405,92 143,5500 150,7275 142,8323 0,3900% 1,6600%
LU0880062913 JPM Global Healthcare A (acc) - EUR € 321.250.099,17 1.285.825,59 249,8400 262,3320 248,5908 1,0000% -9,9400%
LU0159032522 JPM Global Growth Fund A Acc [EUR] € 28.661.134,95 110.392,34 259,6300 272,6115 258,3318 0,3700% -6,3500%
LU2659281450 JPM Mid East Africa&Emerging EurOpp A Acc EUR Hdg € 7.314.397,82 58.871,92 124,2400 130,4520 123,6188 0,4700% 11,2300%
LU2539333562 JPM Mid East Africa&Emerging EurOpp A Acc EUR € 30.748.072,17 231.818,66 132,6400 139,2720 131,9768 0,5000% 3,7900%
LU2539336078 JPM Mid East Africa&Emerging EurOpp A Acc USD € 34.626.279,54 251.750,80 137,5400 144,4170 136,8523 0,4700% 12,5000%
LU0210535034 JPM Latin America Equity -USD € 159.807.332,04 4.947.808,02 32,3000 33,9150 32,1385 0,3100% 25,1000%
LU0157178582 JPM Global Select Equity A (acc) - EUR € 1.671.234.170,42 6.808.844,08 245,4500 257,7225 244,2227 0,3500% -5,7800%
LU2402381953 JPM Global Research Enhanced Index Equity A Acc [EUR] € 5.279.765,94 38.291,93 137,8800 144,7740 137,1906 0,4200% -4,0100%
LU2402382688 JPM Global Research Enhanced Index Equity A Acc [USD] € 43.624.327,90 269.819,35 161,6800 169,7640 160,8716 0,3900% 4,0600%
Ευρώπη
LU0053687074 JPMorgan Funds - Europe Small Cap Fund € 170.271.121,23 1.646.148,03 103,4400 108,6120 103,4400 0,7800% 15,6000%
LU0079556006 JPM Europe Select Equity -EUR € 172.121.012,40 75.494,42 2.279,9200 2.393,9160 2.268,5204 1,4900% 12,5700%
LU0210529490 JPM Euroland Equity - EUR € 93.023.623,33 2.978.330,86 31,2300 32,7915 31,0739 1,0400% 14,6100%
LU0210530662 JPM Europe Dynamic - EUR € 56.510.517,47 1.396.769,66 40,4600 42,4830 40,2577 1,2000% 15,5700%
LU0210530746 JPM Europe Equity - EUR € 186.134.249,58 5.727.429,96 32,5000 34,1250 32,3375 1,2100% 12,9300%
LU0119078227 JPM Europe Equity - USD € 114.036.136,03 3.261.618,36 34,9600 36,7080 34,7852 1,1900% 22,0200%
LU0210531801 JPM Europe Strategic Growth A (acc) - EUR € 129.411.243,77 2.641.452,80 48,9900 51,4395 48,7450 0,9700% 10,3900%
LU0089640097 JPM Euroland Equity A (dist) - EUR € 156.016.876,20 1.859.676,78 83,8900 88,0845 83,4706 1,0400% 14,6000%
LU0337330384 JPM Europe Select Equity A (acc) - USD € 350.900,39 1.331,39 263,5600 276,7380 262,2422 1,4700% 21,6500%
LU0955580203 JPM Europe Dynamic A (acc) - USD € 16.913.306,26 67.679,01 249,9000 262,3950 248,6505 1,1600% 25,2400%
Η.Π.Α.
LU0247985343 JPMorgan Investment Funds - US Select Equity Fund € 58.510.609,37 107.102,43 546,3100 573,6255 546,3100 0,1600% -1,1500%
LU0070214290 JPM US Select Equity - USD € 906.992.470,17 1.136.057,24 798,3700 838,2885 794,3782 0,1500% -1,1500%
LU0157182857 JPM US Select Equity -EURhdg € 244.597.565,53 803.902,43 304,2600 319,4730 302,7387 0,1500% -1,6100%
LU0159042083 JPM America Equity - EUR Hdg € 131.523.294,52 4.290.907,81 30,6500 32,1825 30,4967 0,1300% -1,3500%
LU0210528500 JPM America Equity - USD € 1.264.036.622,46 20.867.191,59 60,5800 63,6090 60,2771 0,1300% -0,8300%
LU0244270301 JPM US Value - EUR Hdg € 181.400.276,39 9.210.077,38 19,7000 20,6850 19,6015 0,3100% 0,2500%
LU0210535976 JPM US Small Cap Growth -USD € 104.006.971,07 2.519.884,26 41,2700 43,3335 41,0637 0,5100% -7,4700%
LU0210536198 JPM US Growth -USD € 1.012.126.200,75 11.857.096,32 85,3600 89,6280 84,9332 0,1200% -1,3700%
LU0210536511 JPM US Value - USD € 639.188.882,72 16.166.561,13 39,5400 41,5170 39,3423 0,2800% 0,7400%
LU0210536867 JPM US Technology - USD € 1.531.936.281,94 13.197.517,21 116,0800 121,8840 115,4996 0,1200% 0,3500%
LU0281482918 JPM US Select Equity Plus A perf (acc) - EUR (hedged) € 261.373.858,21 8.502.877,87 30,7400 32,2770 30,5863 0,1300% -1,4100%
LU0284208625 JPM US Growth-EUR Hdg € 115.514.098,80 2.851.939,79 40,5000 42,5250 40,2975 0,1000% -1,8900%
LU0292454872 JPM US Select Equity Plus A perf (acc) – USD € 2.078.132.484,20 39.252.823,59 52,9400 55,5870 52,6753 0,1300% -0,9400%
LU0281483569 JPM US Select Equity Plus A (acc) - EUR € 514.137.460,36 1.576.789,60 326,0700 342,3735 324,4396 0,1600% -8,6100%
Ιαπωνίας
LU0070214613 JPM Japan Sustainable Equity Fund [JPY] € 3.132.895.187,04 143.235,67 21.872,0000 22.965,6000 21.762,6400 0,1000% 0,9600%
LU0210527361 JPM Japan Equity - USD € 108.029.705,83 4.979.545,08 21,6900 22,7745 21,5816 0,3700% 11,3400%
LU0235639324 JPM Japan Equity - JPY € 23.396.890.138,96 9.960.142,31 2.349,0000 2.466,4500 2.337,2550 0,2700% 2,6500%
LU0217390730 JPM Japan Equity - EUR € 54.577.353,38 3.389.809,03 16,1000 16,9050 16,0195 0,4400% 3,0100%
LU0329204209 JPM Japan Strategic Value Fund-JPY € 722.430.035,84 25.999,65 27.786,0000 29.175,3000 27.647,0700 0,2800% 1,7100%
LU0329204894 JPM Japan Strategic Value Fund-EUR € 16.828.285,79 98.687,88 170,5200 179,0460 169,6674 0,4300% 2,0700%
Αναπτυσσόμενες Αγορές
LU0499112034 JPM Emerging Markets Debt A (acc) - USD € 38.353.704,81 1.741.565,62 22,0200 22,6806 21,9099 0,2700% 2,0400%
Ασία
LU0169518387 JPM Asia Growth A (acc) - USD € 169.444.361,06 4.570.319,82 37,0700 38,9235 36,8847 0,3500% 5,1000%
LU0210526637 JPM China - USD € 548.209.132,33 12.351.637,95 44,3800 46,5990 44,1581 0,9800% 11,1700%
LU0210526801 JPM Greater China - USD € 336.628.652,96 7.274.628,87 46,2700 48,5835 46,0387 0,8300% 6,9300%
LU0210527015 JPM India - USD € 79.577.678,42 1.797.362,77 44,2700 46,4835 44,0487 -1,3200% -0,4700%
LU0210528096 JPM Pacific Equity - USD € 84.040.876,40 2.702.697,57 31,1000 32,6550 30,9445 0,3200% 7,7200%
LU0210528419 JPM Taiwan - USD € 42.544.583,55 904.152,41 47,0500 49,4025 46,8147 0,5800% 2,3000%
LU0217390573 JPM Pacific Equity - EUR € 355.451.059,66 14.413.724,24 24,6600 25,8930 24,5367 0,3300% -0,3600%
LU0301634860 JPM Korea Equity Fund -USD € 29.664.187,61 2.017.762,88 14,7000 15,4350 14,6265 1,1700% 16,9500%
LU0301637293 JPM Korea Equity Fund -EUR € 18.549.243,39 1.418.425,99 13,0800 13,7340 13,0146 1,1600% 8,1900%
LU0441854154 JPM Asia Pacific Equity Fund A (acc)-USD € 31.893.057,64 1.066.246,61 29,9100 31,4055 29,7604 0,2700% 9,7200%
Κλαδικά
Διεθνή
LU0104030142 JPM Europe Dynamic Technologies A (dist) - EUR € 120.482.879,52 2.569.573,34 46,8900 49,2345 46,6555 0,7300% 2,4000%
LU0107398538 JPM Europe Strategic Growth A (dist) - EUR € 195.297.945,86 6.848.021,52 28,5200 29,9460 28,3774 0,9900% 10,4100%
LU0070217475 JPM Global Select Equity -USD € 745.701.275,70 1.337.704,26 557,4500 585,3225 554,6628 0,3300% 2,1300%
LU0210529656 JPM Emerging Markets Equity-USD € 415.061.276,43 12.847.858,87 32,3100 33,9255 32,1485 0,4000% 9,4900%
LU0208853274 JPM Global Natural Resources–EUR € 139.958.485,64 6.738.715,12 20,7700 21,8085 20,6661 0,8300% 1,6100%
LU0266512127 JPM Global Natural Resources–USD € 224.303.534,37 15.692.681,56 14,2900 15,0045 14,2185 0,7800% 10,0900%
LU0210533765 JPM Global Growth Fund A Acc [USD] € 68.405.082,32 2.075.307,64 32,9600 34,6080 32,7952 0,3300% 1,5100%
LU0210534227 JPM Global Focus – EUR € 2.097.108.144,47 33.725.116,84 62,1800 65,2890 61,8691 0,3200% -5,5700%
LU0210534813 JPMorgan Global Sustainable Equity A (Acc) [USD] € 93.333.659,21 2.531.666,60 36,8700 38,7135 36,6856 0,5200% 3,3100%
LU0217576759 JPM Emerging Markets Equity-EUR € 449.498.609,10 19.628.317,53 22,9000 24,0450 22,7855 0,3900% 0,9700%
LU0329201957 JPM Global Dividend Fund - USD € 521.336.121,48 2.056.697,34 253,4800 266,1540 252,2126 0,5200% 7,7800%
LU0329202419 JPM Global Dividend Fund - EUR Hdg € 206.052.401,60 1.213.423,66 169,8100 178,3005 168,9609 0,5200% 5,1700%
LU0289215948 JPM Global Focus –EUR Hdg € 353.560.851,24 12.812.674,73 27,5900 28,9695 27,4520 0,2900% -0,2500%
LU0318931358 JPM Emerging Markets Small Cap A perf (acc) – USD € 232.985.836,31 11.871.580,15 19,6300 20,6115 19,5318 0,0500% 3,2600%
LU0318933057 JPM Emerging Markets Small Cap A perf (acc) – EUR € 125.805.075,52 7.209.643,42 17,4500 18,3225 17,3627 0,0600% -4,7500%
LU0432979614 JPM Global Healthcare USD € 934.638.227,83 2.045.396,78 456,9500 479,7975 454,6653 0,9800% -2,3700%
LU2050612402 JPM Thematics - Genetic Therapies A (acc) - USD € 95.522.552,89 1.173.245,48 81,4200 85,4910 81,0129 1,5500% -9,7000%
LU0329202179 JPM Global Dividend A (dist) - USD € 56.882.400,18 206.903,60 274,9200 288,6660 273,5454 0,5200% 7,7500%
LU0329202500 JPM Global Dividend A (dist) - EUR (hedged) € 67.380.641,05 258.396,74 260,7600 273,7980 259,4562 0,5200% 5,1500%
Ευρώπης
LU1001747408 JPM EUROPE EQUITY ABSOLUTE ALPHA A(PERF)(ACC)-EUR € 461.237.437,58 2.436.620,09 189,2900 198,7545 188,3435 -0,1100% 5,7300%
LU1176911797 JPM EUROPE EQUITY ABSOLUTE ALPHA A(PERF)(ACC)-USD € 12.625.213,38 72.763,53 173,5100 182,1855 172,6424 -0,1300% 14,3300%
LU1112015109 JPM EUROPE EQUIT.ABSOL.ALPHA A(PERF)(ACC)-USD HEDG € 10.126.015,24 39.348,91 257,3400 270,2070 256,0533 -0,0900% 6,6200%
LU0210531637 JPM Europe Small Cap - EUR € 47.203.087,04 1.108.115,51 42,6000 44,7300 42,3870 0,7800% 15,6000%
LU0169527297 JPM EuropeStrategicDividend -EUR € 147.699.849,15 433.443,59 340,7600 357,7980 339,0562 1,2300% 17,0300%
LU0210072939 JPM Europe Dynamic Small Cap A perf (acc) – EUR € 50.258.361,73 837.264,77 60,0300 63,0315 59,7298 0,8400% 11,8100%
LU0210531983 JPM EuropeStrategicValue-EUR € 228.226.232,67 8.651.513,81 26,3800 27,6990 26,2481 1,2700% 18,1900%
LU0210532015 JPMorgan Funds - Europe Dynamic Technologies A (acc) - EUR € 122.630.197,44 1.593.040,25 76,9800 80,8290 76,5951 0,7200% 2,4100%
LU0336375786 JPM Europe Equity Plus A perf (acc) – USD € 19.346.209,37 501.250,59 38,6000 40,5300 38,4070 1,1000% 24,3600%
LU0289089384 JPM Europe Equity Plus A perf (acc) – EUR € 508.185.235,66 16.075.263,33 31,6100 33,1905 31,4520 1,0900% 15,0300%

Α/Κ JPMorgan:Ομολογιακά Α/Κ

LU0512127548 JPM Emerging Markets Corporate Bond A (acc) - USD € 151.344.630,82 851.740,12 177,6900 183,0207 176,8015 0,0500% 2,1200%
LU0512127621 JPM Emerging Markets Corporate Bond A (acc) - EUR (hedged) € 22.076.421,39 193.178,67 114,2800 117,7084 113,7086 0,0400% 1,3700%
LU0804487329 JPMorgan Investment Funds - Global High Yield Bond Fund € 9.647.560,19 102.846,82 93,8100 96,6243 93,8100 0,1400% 2,5900%
LU1041599660 JPM Income Fund A (div) - USD € 245.539.700,98 3.286.387,32 74,7100 76,9513 74,3364 0,0400% 2,3500%
LU0070215933 JPM US Bond - USD € 40.307.650,83 165.913,54 242,9400 250,2282 241,7253 0,0300% 1,2500%
LU0210531470 JPM EuropeHighYieldBond -EUR € 105.158.872,97 4.560.856,57 23,0570 23,7487 22,9417 0,1300% 1,5900%
LU0108415935 JPM Global High Yield Bond -EUR Hdg € 74.523.338,47 288.961,00 257,9000 265,6370 256,6105 0,1300% 1,9300%
LU0210532528 JPM Emerging Markets Debt -EUR HDG € 25.384.738,58 1.911.002,79 13,2800 13,6784 13,2136 0,2300% 1,3000%
LU0210532957 JPM US Aggregate Bond - USD € 396.609.125,63 22.563.527,77 17,5800 18,1074 17,4921 0,0600% 1,3300%
LU0210533179 JPM Global Aggregate Bond -USD € 8.329.788,07 644.754,77 12,9200 13,3076 12,8554 0,0000% 3,4400%
LU0332400232 JPM Emerging Mrkts Local Curr Debt Fund-EUR € 42.287.767,34 2.667.594,24 15,8500 16,3255 15,7707 0,1900% -0,1900%
LU0332400406 JPM Emerging Mrkts Local Curr DebtFund-USD € 23.377.681,84 1.312.178,99 17,8200 18,3546 17,7309 0,1700% 7,9300%
LU0344579056 JPM Global High Yield Bond Fund - USD € 295.922.005,73 1.288.134,97 229,7300 236,6219 228,5813 0,1400% 2,6600%
LU0289470113 JPM Income Opportunity A perf (acc) - EUR (hedged) € 71.855.479,90 511.354,99 140,5200 144,7356 139,8174 0,0300% 0,6400%
LU0323456466 JPM Income Opportunity A perf (acc) – USD € 203.513.057,13 915.341,88 222,3400 229,0102 221,2283 0,0400% 1,3400%
LU0363447680 JPM EU Government Bond - EUR € 496.811.633,25 33.787.523,58 14,7040 15,1451 14,6305 0,0000% 0,1400%
LU0408846375 JPM Global Corporate Bond A (acc) - USD € 360.119.565,10 18.356.251,08 19,6200 20,2086 19,5219 0,3100% 1,2900%
LU0408846458 JPM Global Corporate Bond A (acc) - EUR Hdg € 247.837.473,35 19.357.974,84 12,8000 13,1840 12,7360 0,3100% 0,4700%
LU0430492594 JPM Euro Aggregate Bond - EUR € 12.844.200,13 969.831,68 13,2400 13,9020 13,1738 0,0000% 0,0800%
LU0514679140 JPM Global Strategic Bond A perf (acc) – USD € 41.975.852,33 283.406,31 148,1100 152,5533 147,3695 0,0500% 1,7700%
LU0514679652 JPM Global Strategic Bond A perf (acc) - EUR (hedged) € 38.558.537,29 380.291,88 101,3900 104,4317 100,8830 0,0500% 1,0500%
LU0679000579 JPM US AGGREGATE BD-A EURO HDG € 90.795.095,47 1.208.420,07 75,1400 77,3942 74,7643 0,0300% 0,5900%
LU0791611014 JPM Italy Flexible Bond A perf (acc) – EUR € 5.193.499,46 43.262,57 120,0500 123,6515 119,4497 -0,0300% 1,6700%
LU0955580625 JPM EU Government Bond A (dist) - EUR € 41.747.592,58 404.768,33 103,1390 106,2332 102,6233 0,0000% 0,1900%
LU0408877503 JPM Euro Government Short Duration Bond A (dist) - EUR € 9.849.525,05 1.058.993,49 9,3010 9,5800 9,2545 0,0000% 1,3100%
LU0430493139 JPM Aggregate Bond A (acc) - USD € 123.515.549,52 7.964.350,76 15,5100 15,9753 15,4324 0,0000% 0,7800%
LU0430493212 JPM Aggregate Bond A (acc) - EUR (hedged) € 74.298.211,50 8.622.979,08 8,6200 8,8786 8,5769 0,0000% 0,1200%
Γεωγραφικά
LU0890597635 JPM Global Bond Opportunities A (acc)-EUR Hdg € 123.437.196,24 1.340.737,33 92,0700 94,8321 91,6096 0,1300% 1,4400%
LU0867954264 JPM Global Bond Opportunities A (acc)-USD € 568.978.038,33 3.858.813,76 147,4500 151,8735 146,7127 0,1400% 2,2000%
LU0406674076 JPM Global Government Bond A (acc)-EUR € 172.216.494,66 14.327.009,53 12,0200 12,3806 11,9599 -0,0800% -0,1700%
LU0562247428 JPM US Short Duration Bond A (acc)-USD € 100.508.822,42 821.137,54 122,4020 126,0741 121,7900 0,0200% 1,8200%
LU0408877412 JPM Euro Government Short Duration Bond A(acc)-EUR € 181.636.969,93 15.937.652,40 11,3970 11,7389 11,3400 0,0900% 1,3300%

Α/Κ JPMorgan:Διαχείρισης Διαθεσίμων Α/Κ

LU0252499412 JPMorgan Funds - EUR Money Market VNAV Fund A Acc. [EUR] € 265.146.636,67 2.370.638,62 111,8500 111,8500 111,8500 0,0100% 0,9300%
LU0945454980 JPMorgan Funds – USD Money Market VNAV Fund A Acc. [USD] € 1.064.122.503,74 8.882.170,91 119,8000 119,8000 119,8000 0,0100% 1,5600%

Α/Κ JPMorgan:Μικτά Α/Κ

LU0740858229 JPM Global Income A (acc) - EUR  € 933.947.957,50 6.001.570,40 155,6200 163,4010 154,8419 0,2800% 1,3200%
LU0762807625 JPM Global Income A (acc) - USD (hedged) € 579.508.829,96 2.439.738,95 237,5300 249,4065 236,3424 0,2800% 2,0600%
LU0395794307 JPM Global Income A (div) - EUR € 3.592.989.011,77 31.372.110,88 114,5300 120,2565 113,9574 0,2700% 1,3100%
LU0247991317 JPMorgan Investment Funds - Global Balanced Fund € 104.702.359,82 694.638,04 150,7300 158,2665 150,7300 0,1800% -0,2100%
LU0095938881 JPM Global Macro Opportunities Fund - EUR € 288.681.317,05 1.504.176,31 191,9200 201,5160 190,9604 -0,0800% -1,3400%
LU0070212591 JPM Global Balanced (EUR)-EUR € 366.473.262,85 164.300,11 2.230,5100 2.342,0355 2.219,3575 0,1800% -0,2000%
LU0235842555 JPM Global Macro Fund – USD € 61.200.242,35 367.488,27 166,5400 174,8670 165,7073 -0,0400% 0,0700%
LU0957039414 JPM Global Balanced A (acc) - USD (hedged) € 492.333.493,56 2.054.021,16 239,6900 251,6745 238,4915 0,1900% 0,3200%
LU0917670407 JPM GLOBAL MACRO A (ACC) – EUR (HEDGED) € 61.581.675,76 678.071,07 90,8200 95,3610 90,3659 -0,0600% -0,5400%
LU0875415845 JPM Diversified Risk A (acc) - EUR (hedged) € 2.363.064,61 29.377,25 80,4400 84,4620 80,0378 0,2200% 1,4800%

Α/Κ JPMorgan:Specialist Portfolios

LU0194732953 JPM Global Convertibles(USD)-USD € 40.981.635,60 180.986,29 226,4400 237,7620 225,3078 0,1300% 3,1900%
LU0210533500 JPM Global Convertibles(EUR)-EUR € 59.660.360,47 3.727.136,29 16,0100 16,8105 15,9300 0,4400% 4,2300%

Α/Κ PICTET:Μετοχικά Α/Κ

LU0503631987 PICTET GLOBAL ENVIRONMENTAL OPPORTUNITIES € 1.888.233.986,45 6.061.271,50 311,5200 327,0960 302,1744 0,4400% -2,9100%
LU1279335027 Pictet-Robotics - HR EUR € 587.014.059,69 2.341.402,02 250,7100 263,2455 248,2029 -0,0700% -1,7000%
LU1279334483 Pictet-Robotics - R EUR € 2.009.071.568,08 6.400.355,43 313,9000 329,5950 310,7610 -0,0400% -8,5200%
LU1279333832 Pictet-Robotics -R USD € 581.240.127,51 1.646.188,39 353,0800 370,7340 349,5492 -0,0700% -0,8300%
Γεωγραφικά
Διεθνή
LU0474970273 Pictet - Global Megatrend Selection - HR EUR € 188.334.237,96 987.011,33 190,8100 196,5343 188,9019 0,4900% 0,4700%
LU0386865348 Pictet Global Megatrend Selection-R € 261.604.758,29 741.332,96 352,8800 370,5240 342,2936 0,5000% 1,4100%
LU0391944815 Pictet Global Megatrend Sel-R EUR € 3.889.442.563,29 12.397.815,13 313,7200 329,4060 304,3084 0,5200% -6,4500%
LU0256846568 Pictet Security-R € 221.744.815,70 646.071,42 343,2200 360,3810 332,9234 0,1900% 4,4100%
LU0270905242 Pictet Security-R-EUR € 984.648.171,82 3.227.190,76 305,1100 320,3655 295,9567 0,2100% -3,6800%
LU0503635541 Pictet - SmartCity R USD € 8.454.568,85 37.223,48 227,1300 238,4865 220,3161 0,6700% 7,0600%
LU0503634734 Pictet - SmartCity R EUR € 271.062.209,49 1.343.017,76 201,8300 211,9215 195,7751 0,6900% -1,2400%
Ευρώπη
LU0130731713 Pictet Europe Index-R € 184.898.547,99 612.768,65 301,7400 316,8270 292,6878 0,3100% 10,9100%
LU0255981135 Pictet Euroland Index-R € 23.077.251,81 91.087,97 253,3500 266,0175 245,7495 0,3400% 14,9800%
LU0131725367 Pictet Small Cap Europe-R € 40.681.196,44 307.097,43 132,4700 139,0935 128,4959 0,2400% -1,1600%
LU0144510053 PICTET- QUEST EUROPE SUSTAINABLE EQUITIES-R EUR € 180.535.498,99 441.509,94 408,9000 429,3450 396,6330 1,2900% 9,4500%
Η.Π.Α.
LU0130733172 Pictet USA Index-R € 324.984.248,16 614.403,28 528,9400 555,3870 513,0718 0,0900% 1,0500%
LU0592905508 Pictet USA Index-HR [EUR] € 30.553.677,86 69.662,56 438,6000 460,5300 434,2140 0,0600% 0,3300%
Αναπτυσσόμενες Αγορές
LU0257359603 Pictet Emerging Markets-R-EUR € 18.012.379,02 36.510,35 493,3500 518,0175 478,5495 0,0900% -2,1400%
Ασία
LU0148539108 Pictet Pacific (Ex Japan) Index-R € 5.719.482,80 10.407,76 549,5400 577,0170 533,0538 0,0700% 8,1500%
LU0255979154 Pictet Indian Equities-R-EUR € 109.780.262,38 154.430,86 710,8700 746,4135 689,5439 -1,3200% -8,1100%
LU0255979584 Pictet Japanese Equity Opportunities R-EUR € 26.038.297,88 244.605,90 106,4500 111,7725 103,2565 0,4100% -1,0700%
LU0155301624 Pictet Japanese Equity Opportunities -R-JPY € 3.940.431.444,97 227.262,84 17.338,6500 18.205,5825 16.818,4905 0,2500% -0,9300%
LU0155303752 Pictet Asian Equities (Ex Japan)-R € 29.094.292,48 111.476,71 260,9900 274,0395 253,1603 0,1000% 4,8800%
LU0168450194 Pictet-China Equities-R-USD € 32.241.790,83 71.365,88 451,7800 474,3690 438,2266 1,3000% 12,6900%
LU0176901758 Pictet Japanese Equity Selection-R € 1.966.493.638,34 75.671,26 25.987,3300 27.286,6965 25.207,7101 0,4100% -1,9300%
LU0177113007 Pictet Indian Equities-R € 68.801.289,79 86.019,87 799,8300 839,8215 775,8351 -1,3400% -0,3900%
LU0248317017 Pictet Asian Equit (Ex Jap)-HR-EUR € 10.121.598,74 64.733,04 156,3600 164,1780 151,6692 0,1000% 3,8400%
LU0248320581 Pictet Japan Equity Select-HR-EUR € 30.041.956,79 176.528,99 170,1800 178,6890 165,0746 0,4100% -1,4000%
LU0255978263 Pictet-China Equities-R-EUR € 86.082.256,39 214.241,55 401,8000 421,8900 389,7460 1,3200% 3,9500%
Κλαδικά
Διεθνή
LU0650149049 PICTET-SECURITY-HR EUR € 190.659.643,70 770.916,38 247,3200 254,7396 244,8468 0,1900% 3,5200%
LU0650147852 Pictet - Clean Energy Transition - HR EUR € 96.848.420,81 881.965,69 109,8100 113,1043 108,7119 0,5600% 0,1200%
LU0101692753 Pictet Digital-R € 236.850.066,98 431.016,14 549,5200 576,9960 533,0344 -0,1500% 5,8700%
LU0104885248 Pictet Water-R € 1.170.897.414,30 2.642.375,30 443,1200 465,2760 429,8264 0,7700% -1,9500%
LU0112497440 Pictet Biotech-R € 187.137.916,20 279.193,81 670,2800 703,7940 650,1716 0,9200% -11,1000%
LU0188499684 Pictet Emerging Markets Index-R € 18.077.111,20 54.323,07 332,7700 349,4085 322,7869 -0,4800% 8,9600%
LU0280431049 Pictet Clean Energy-R € 135.358.635,92 904.614,32 149,6300 157,1115 145,1411 0,5600% 1,0300%
LU0280434068 Pictet Premium Brands € 38.513.630,18 139.098,64 276,8800 290,7240 268,5736 0,6000% 3,1300%
LU0280435461 Pictet Clean Energy-R-EUR € 634.214.368,62 4.767.812,12 133,0200 139,6710 129,0294 0,5900% -6,8000%
LU0131726092 Pictet Emerging Markets-R € 13.332.408,78 24.027,70 554,8800 582,6240 538,2336 0,0700% 6,0800%
LU0188501331 PICTET-HEALTH-R USD € 52.905.454,46 176.949,27 298,9900 313,9395 290,0203 0,8400% -1,9500%
LU0190162189 Pictet Biotech-HR-EUR € 65.575.986,19 164.380,52 398,9300 418,8765 386,9621 0,9200% -11,9500%
LU0217138725 Pictet Premium Brands-R € 402.383.800,78 1.634.709,34 246,1500 258,4575 238,7655 0,6300% -4,8600%
LU0248320821 PICTET-HEALTH-HR EUR € 41.902.114,26 222.976,95 187,9200 197,3160 182,2824 0,8300% -2,8500%
LU0340555134 Pictet Digital-R-EUR € 863.386.870,93 1.767.315,97 488,5300 512,9565 473,8741 -0,1300% -2,3300%
LU0340558583 Pictet Timber-R € 29.469.294,44 146.506,75 201,1500 211,2075 195,1155 0,6200% -4,4700%
LU0340559805 Pictet Timber-R-EUR € 85.773.860,84 479.773,25 178,7800 187,7190 173,4166 0,6400% -11,8800%
LU0366534773 Pictet Nutrition -R-EUR € 187.739.297,75 872.970,18 215,0600 225,8130 208,6082 0,9400% -2,5300%
LU0385405997 Pictet Water Hdg € 6.821.857,21 10.397,87 656,0800 688,8840 636,3976 0,7700% -1,5400%
LU0407233823 Pictet Emerging Markets Hdg € 8.076.816,65 27.113,27 297,8900 312,7845 288,9533 0,0600% 5,0200%
LU0428746043 Pictet Nutrition -R-USD € 16.623.631,37 68.709,73 241,9400 254,0370 234,6818 0,9100% 5,6600%
LU0434580436 Pictet Timber Hdg € 12.379.879,74 111.717,99 110,8100 116,3505 107,4857 0,6100% -5,3600%

Α/Κ PICTET:Ομολογιακά Α/Κ

LU2049423663 PICTET-EMERGING DEBT BLEND R [EUR] € 9.196.856,94 92.402,86 99,5300 102,5159 98,5347 -0,0300% -3,0600%
LU2049423820 PICTET-EMERGING DEBT BLEND HR [EUR] € 1.434.733,81 15.854,23 90,5000 93,2150 89,5950 0,1000% 4,5500%
LU2049423747 PICTET-EMERGING DEBT BLEND R [USD] € 3.055.585,17 29.965,85 101,9700 105,0291 100,9503 0,1100% 5,5000%
LU0128469839 Pictet Global Emerging Debt-R € 54.110.133,33 144.019,79 375,7100 394,4955 364,4387 0,1900% 1,9500%
LU0128473435 Pictet EUR Corporate Bonds-R € 77.350.812,46 413.761,21 186,9500 196,2975 181,3415 0,0600% 0,4800%
LU0128489860 PICTET USD Government Bonds-R € 127.893.892,53 210.520,32 607,5100 637,8855 601,4349 0,0500% 1,4500%
LU0128492732 Pictet EUR Bonds-R € 45.068.949,64 95.149,40 473,6700 497,3535 459,4599 0,0800% 0,7300%
LU0133806512 Pictet Global Bonds € 5.494.336,32 35.962,56 152,7800 160,4190 148,1966 -0,1000% 4,0900%
LU0133807916 Pictet EUR High Yield-R € 52.969.707,95 202.553,57 261,5100 274,5855 253,6647 0,0000% 1,5200%
LU0135487733 Pictet CHF Bonds-R € 70.302.553,01 153.495,93 458,0100 480,9105 444,2697 0,0000% 0,1100%
LU0167160653 PICTET-EUR INCOME OPPORTUNITIES-R [EUR] € 114.068.209,02 879.344,51 129,7200 136,2060 125,8284 0,0400% 0,7100%
LU0175074516 Pictet USD Short Mid-Term Bonds-R € 85.066.898,70 585.233,30 145,3600 152,6280 140,9992 0,0500% 1,9700%
LU0241468122 Pictet EUR Government Bonds-R € 231.497.571,32 1.597.971,91 144,8700 152,1135 140,5239 0,0600% -0,0200%
LU0255797713 Pictet Asian Local Currency Debt-R € 7.871.689,26 49.292,70 159,6900 167,6745 154,8993 0,1800% 5,3300%
LU0255798364 Pictet Emerging Local Ccy Debt-R € 21.087.887,94 132.006,27 159,7500 167,7375 154,9575 0,7600% 9,2700%
LU0280437830 Pictet Emerging Local Currency Debt-R EUR € 60.680.457,10 427.447,57 141,9600 149,0580 137,7012 -0,1300% 0,7900%
LU0280438564 Pictet Asian Local Ccy Debt-R-EUR € 22.343.737,38 157.461,15 141,9000 148,9950 137,6430 0,3800% -2,5500%
LU0280438648 Pictet Global Emerging Debt-HR-EUR € 64.396.082,74 278.582,59 231,1600 242,7180 224,2252 0,1800% 1,1600%
LU0303496367 Pictet Global Bonds-R € 29.586.248,63 216.410,38 136,7100 143,5455 132,6087 -0,2300% -4,0100%
LU0340554327 Pictet Emerg Local Ccy Debt-HR-EUR € 13.595.978,98 164.672,63 82,5600 86,6880 80,0832 0,7200% 8,1500%
LU0448623362 Pictet - Global High Yield R [USD] € 15.993.709,96 86.288,68 185,3500 194,6175 179,7895 0,1200% 2,3400%
LU0472949915 Pictet - Global High Yield HR [EUR] € 12.333.481,68 118.987,29 103,6500 108,8325 100,5405 0,1200% 1,5800%
LU0503630310 Pictet Global Sustainable Credit HR Eur € 96.888.300,00 729.436,02 132,8300 139,4715 128,8451 0,0800% 0,2600%
LU0988402904 Pictet - Absolute Return Fixed Income - HR EUR € 24.856.653,86 261.901,74 94,9100 99,6555 92,0627 -0,0200% 1,9200%
LU0726358095 Pictet-EUR Short Term High Yield-R dm € 159.306.051,31 1.917.384,14 83,0900 87,2445 82,2591 0,0100% 0,2500%

Α/Κ PICTET:Διαχείρισης Διαθεσίμων Α/Κ

LU0128495834 Pictet Short Term Money Market EUR € 2.285.599.257,06 16.584.623,06 137,8144 144,7051 133,6800 0,0100% 0,9400%
LU0128497889 Pictet Short Term Money Market USD € 520.136.740,30 3.325.328,66 156,4166 164,2374 151,7241 0,0100% 1,5100%
LU0128499588 Pictet Short Term Money Market CHF € 154.115.881,22 1.297.980,89 118,7351 124,6719 115,1730 0,0000% 0,0900%
LU0309035870 Pictet Short Term Money Market JPY € 7.800.123.046,22 790.176,48 9.871,3700 10.364,9385 9.575,2289 0,0000% 0,0500%
LU0366536984 Pictet Sovereign Short Term Money Market EUR € 643.740.818,10 6.234.168,17 103,2601 108,4231 100,1623 0,0100% 0,9100%
LU0366537875 Pictet Sovereign Short Term Money Market USD € 53.445.696,29 436.596,88 122,4143 128,5350 118,7419 0,0100% 1,5300%

Α/Κ PICTET:Μικτά Α/Κ

LU0941349275 Pictet-Multi Asset Global Opportunities -R-EUR € 2.321.438.785,20 17.868.244,81 129,9200 136,4160 128,6208 0,0400% 1,2600%

Α/Κ Invesco Asset Management S.A.:Μετοχικά Α/Κ

Γεωγραφικά
Διεθνή
LU1775976605 INVESCO RESPONSIBLE GLOBAL REAL ASSETS A ACC EUR ΗGD [EUR] € 2.780.047,45 216.514,60 12,8400 13,4820 12,8400 0,7100% 9,6500%
Ιαπωνίας
LU0115142274 INVESCO Nippon Small_Mid CapEquity EUR € 3.391.211,18 335.099,92 10,1200 10,4236 10,1200 1,0000% 2,9500%
LU0607514980 INVESCO Japanese Equity Advantage EUR € 8.457.170,91 326.657,82 25,8900 26,6667 25,8900 1,4500% 0,3500%
Ασία
LU0267984697 INVESCO India Equity EUR € 106.196.042,00 1.121.039,19 94,7300 97,5719 94,7300 -1,2300% -16,6600%
LU0048816135 INVESCO Greater China Equity Fund USD € 220.735.755,76 3.406.415,98 64,8000 68,0400 64,8000 0,9800% 9,2900%
LU0115143082 INVESCO Asia Opportunities Equity EUR € 34.482.182,73 306.344,91 112,5600 115,9368 112,5600 0,5300% -1,2900%
LU0115143165 INVESCO Greater China Equity EUR € 55.550.131,81 1.158.018,17 47,9700 49,4091 47,9700 1,2900% 0,8800%
LU0334857355 INVESCO Asia Consumer Demand Fund USD € 96.291.556,68 5.409.638,02 17,8000 18,6900 17,8000 0,2300% 3,9700%
LU0334857785 INVESCO Asia Consumer Demand Fund EUR € 47.016.249,33 3.375.179,42 13,9300 14,3479 13,9300 0,5800% -4,0000%
LU0482497442 INVESCO Asia Consumer Demand EUR Hdg € 19.328.259,54 1.909.907,07 10,1200 10,6260 10,1200 0,3000% 3,0600%
LU0075112721 INVESCO ASIA OPPORTUNITIES EQUITY A ACC. [USD] € 127.799.844,16 838.031,77 152,5000 160,1250 152,5000 0,2200% 6,9300%
LU1775950477 INVESCO ASIAN EQUITY FUND E (EUR)- ACC. EUR € 19.383.970,27 1.907.871,09 10,1600 10,4648 10,1600 0,5900% -0,2900%
Κλαδικά
Διεθνή
LU0267985314 INVESCO SUSTAINABLE GLOBAL STRUCTURED EQUITY E ACC [EUR] € 24.980.686,24 326.203,79 76,5800 78,8774 76,5800 1,2700% 0,1300%
LU0052864419 Invesco Global Consumer Trends Fund A Acc. [USD] € 1.088.498.899,76 13.597.737,66 80,0500 84,0525 80,0500 2,2300% 4,3100%
LU0115139569 Invesco Global Consumer Trends Fund E Acc. [EUR] € 299.459.097,45 5.066.132,59 59,1100 60,8833 59,1100 2,5500% -3,7100%
LU0123358656 INVESCO ENERGY TRANSITION E ACC [EUR] € 7.934.283,79 1.168.524,86 6,7900 6,9937 6,7900 1,0400% -2,4400%
LU0367024519 INVESCO ENERGY TRANSITION A ACC EUR HGD [EUR] € 5.619.378,45 1.535.349,30 3,6600 3,8430 3,6600 0,8300% 4,5700%
LU0367025755 INVESCO Global IncomeRealEstateSec USD € 2.216.124,66 155.517,52 14,2500 14,9625 14,2500 0,5600% 3,8600%
LU0367026050 INVESCO Global IncomeRealEstateSec EUR € 2.977.801,04 279.343,44 10,6600 10,9798 10,6600 0,9500% -3,9600%
Ευρώπης
LU0194781224 Invesco Social Progress Fund E Acc. [EUR] € 3.196.662,37 98.358,84 32,5000 33,4750 32,5000 1,0900% 3,4000%
LU0267986551 INVESCO Pan European Equity Income EUR € 9.133.574,88 464.340,36 19,6700 20,2601 19,6700 1,4400% 10,2600%
LU0028119013 INVESCO PanEuropSmallCapEquityFund EUR € 59.185.509,44 1.588.446,31 37,2600 39,1230 37,2600 1,5500% 11,4600%
LU0115141201 INVESCO Pan European Equity EUR € 29.368.352,26 1.153.056,63 25,4700 26,2341 25,4700 1,6000% 11,4700%
LU0119753308 INVESCO SUSTAINABLE PAN EUROPEAN STRUCTURED EQUITY E ACC [EUR] € 106.805.550,11 4.692.686,74 22,7600 23,4428 22,7600 1,3400% 13,7400%

Α/Κ Invesco Asset Management S.A.:Ομολογιακά Α/Κ

LU0248037169 Invesco Euro Corporate Bond Fund € 171.062.360,90 14.292.953,96 11,9683 12,5667 11,9683 0,2500% -0,7000%
LU0243958393 INVESCO Euro Corporate Bond EUR € 193.459.352,30 10.691.906,28 18,0940 18,6368 18,0940 0,2800% 0,3100%
LU0115143918 Invesco Environmental Climate Opp. Bond Fund [EUR] € 23.516.781,22 2.728.988,00 8,6174 8,8759 8,6174 0,3500% -5,8200%
LU0115144304 INVESCO Euro Bond EUR € 59.310.154,87 8.291.299,80 7,1533 7,3679 7,1533 0,2800% 0,3300%
LU2903431190 Invesco Global Flexible Bond EH EUR Acc € 4.066.060,75 409.373,44 9,9324 10,2304 9,9324 0,0000% 0,2800%
LU1775947762 INVESCO BOND FUND A-SD USD € 78.845.629,96 3.389.751,93 23,2600 24,4230 23,2600 -0,0400% 2,5100%
LU1775954206 INVESCO EMERGING MARKETS BOND FUND A (EUR HGD)-ACC EUR € 1.585.338,12 51.893,23 30,5500 32,0775 30,5500 -0,0700% 0,9600%
LU1775955864 INVESCO EMERGING MARKETS BOND FUND A-SD USD € 8.856.991,67 574.011,13 15,4300 16,2015 15,4300 -0,0700% -1,0900%
LU1775967950 Invesco Sustainable Global High Income Fund A Eur Hgd Acc [EUR] € 4.181.082,92 185.167,53 22,5800 23,7090 22,5800 0,0000% 1,0700%

Α/Κ Invesco Asset Management S.A.:Διαχείρισης Διαθεσίμων Α/Κ

LU0028121183 INVESCO USD Ultra –Short Term Debt A Acc USD [USD] € 57.552.076,66 543.116,28 105,9664 105,9664 105,9664 0,0200% 1,7500%
LU0115143595 INVESCO Euro Ultra –Short Term Debt A Acc EUR [EUR] € 42.009.115,26 126.900,80 331,0390 331,0390 331,0390 0,0300% 0,9800%

Α/Κ Invesco Asset Management S.A.:Μικτά Α/Κ

LU0243957742 INVESCO Pan European High Income EUR € 1.215.332.314,19 51.064.382,95 23,8000 24,5140 23,8000 0,3800% 2,2800%
LU0367026217 INVESCO Asia Asset Allocation Fund A Acc [USD] € 50.686.833,91 2.149.568,87 23,5800 24,7590 23,5800 0,0000% 5,1300%
LU0367026480 INVESCO Asia Asset Allocation Fund E Acc [EUR] € 16.274.195,44 1.026.763,12 15,8500 16,3255 15,8500 0,3200% -2,8200%
LU0432616737 INVESCO Balanced-Risk AllocFund EUR € 188.433.655,42 10.949.079,34 17,2100 18,0705 17,2100 0,5300% -0,4100%
LU0482498762 INVESCO Balanced-Risk AllocFund USD Hdg € 28.406.877,26 1.028.489,40 27,6200 29,0010 27,6200 0,5500% 0,2900%
LU1701702703 Invesco Sustainable Allocation Fund E Acc (EUR) € 16.690.153,14 1.278.742,96 13,0520 13,4436 13,0520 0,7700% 1,0900%

Α/Κ Invesco Asset Management S.A.:Specialist Portfolios

LU0115144486 Invesco Sustainable Multi-Sector Credit Fund E Acc [EUR] € 3.890.794,48 1.249.051,20 3,1150 3,2085 3,1150 0,0000% 1,2400%

Α/Κ Franklin Templeton Investment Funds:Μετοχικά Α/Κ

Γεωγραφικά
Διεθνή
LU0211332647 TEMPLETON GLOBAL EQUITY INCOME A(acc) EUR € 2.693.229,31 118.273,41 22,7700 24,0793 22,7700 -0,2200% -1,6000%
LU0211333025 FRANKLIN MUTUAL GLOBAL DISCOVERY A(acc) EUR € 116.521.928,02 3.727.262,83 31,2600 33,0575 31,2600 -0,1600% 2,2600%
LU0229945570 TEMPLETON BRIC FUND A(acc) USD € 310.070.621,77 13.376.611,33 23,1800 24,5129 23,1800 -0,1700% 15,3200%
LU0229946628 TEMPLETON BRIC FUND A(acc) EUR € 63.578.395,48 2.557.633,23 24,8600 26,2894 24,8600 -0,5200% 5,9200%
LU0128525929 TEMPLETON GLOBAL FUND A(acc) USD € 76.758.790,46 1.635.000,90 46,9500 49,6496 46,9500 -0,0900% 3,2600%
LU0128526141 TEMPLETON GLOBAL SMALLER COMPANIES A(acc) USD € 31.879.577,23 606.894,91 52,5300 55,5505 52,5300 0,0200% 3,3700%
LU0128526570 TEMPLETON LATIN AMERICA FUND A(acc) USD € 68.737.382,60 1.014.132,24 67,7800 71,6774 67,7800 -0,0100% 28,5400%
LU0211327993 TEMPLETON GLOBAL EQUITY INCOME A(acc) USD € 12.658.321,60 619.416,79 20,4400 21,6153 20,4400 0,1500% 7,3000%
LU0211331839 FRANKLIN MUTUAL GLOBAL DISCOVERY A(acc) USD € 149.441.975,68 5.125.289,24 29,1600 30,8367 29,1600 0,2100% 11,3800%
LU0316493401 TEMPLETON BRIC FUND A (acc) EURHDG € 4.524.031,53 379.730,06 11,9100 12,5948 11,9100 -0,1700% 14,4100%
LU0327757729 TEMPLETON GROWTH EURO(A)-USD € 247.483.664,65 9.750.927,30 25,3800 26,8393 25,3800 0,0000% 7,5000%
LU0294219513 Franklin Mutual Global Discovery Fund Aacc EURHdg € 10.069.608,32 526.982,03 19,1100 20,2088 19,1100 0,0500% 7,0000%
LU0300738514 TEMPLETON EMERG.MRKTS SMALLER COMPANIES A(acc) USD € 54.412.562,73 3.399.116,59 16,0100 16,9306 16,0100 -0,9300% 5,1200%
LU0300743431 TEMPLETON EMERG.MRKTS SMALLER COMPANIES A(acc) EUR € 50.931.799,83 2.511.705,48 20,2800 21,4461 20,2800 -1,3100% -3,4800%
LU0352132103 FRANKLIN MENA FUND USD € 26.725.393,53 2.493.675,01 10,7200 11,3364 10,7200 0,3700% 3,2800%
LU0352132285 FRANKLIN MENA FUND EUR € 20.593.177,41 2.182.932,64 9,4300 9,9722 9,4300 -0,1100% -5,2300%
Ευρώπη
LU0109981661 FRANKLIN MUTUAL EUROPEAN FUND A(acc) USD € 93.922.161,81 2.254.637,98 41,6600 44,0554 41,6600 0,6500% 23,9100%
LU0122612848 Templeton European Opportunities Fund A Acc.[EUR] € 40.012.640,11 2.539.456,20 15,7600 16,6662 15,7600 0,5700% 6,0600%
LU0078277505 TEMPLETON EASTERN EUROPE FUND A(acc) EUR € 86.971.912,64 5.071.207,52 17,1500 18,1361 17,1500 0,0600% 15,0200%
LU0093666013 TEMPLETON EUROLAND FUND A(acc) EUR € 120.107.929,49 3.635.338,99 33,0400 34,9398 33,0400 0,2400% 16,3000%
LU0138075311 FTIF – Templeton European Small-Mid Cap A Acc. [EUR] € 54.130.214,17 1.137.745,35 47,5800 50,3158 47,5800 0,3400% 12,8000%
LU0140363002 FRANKLIN MUTUAL EUROPEAN FUND A(acc) EUR € 288.644.789,55 7.815.831,41 36,9300 39,0535 36,9300 0,2700% 13,7700%
LU0231793349 TEMPLETON EASTERN EUROPE FUND A(acc) USD € 26.099.685,77 1.350.265,95 19,3300 20,4415 19,3300 0,4200% 25,2700%
LU0260871552 FTIF - Templeton European Small-Mid Cap A Acc. [USD] € 12.887.110,66 239.995,75 53,7000 56,7878 53,7000 0,6900% 22,8600%
LU1863844665 Templeton Euroland Fund A (Acc) USD € 8.649.856,67 649.464,44 13,3200 14,0859 13,3200 0,6000% 26,7400%
Η.Π.Α.
LU0208291251 Franklin Mutual U.S. Value Fund A (dist) USD € 13.064.681,42 123.818,26 105,5100 111,5768 105,5100 -0,0900% 2,2800%
LU0070302665 Franklin Mutual U.S. Value Fund A (acc) USD € 130.591.059,31 1.146.351,41 113,9200 120,4704 113,9200 -0,0900% 2,2900%
LU0109391861 FRANKLIN U.S. OPPORTUNITIES FUND A(acc) USD € 3.092.335.083,62 88.299.703,31 35,0200 37,0337 35,0200 -0,5700% -0,3700%
LU0140362707 FRANKLIN MUTUAL BEACON FUND A(acc) EUR € 13.301.874,43 131.651,58 101,0400 106,8498 101,0400 -0,4500% -6,0800%
LU0316494391 Franklin US Opportunities Fund A (Acc) Eur Hdg € 216.151.440,83 10.946.620,24 19,7500 20,8856 19,7500 -0,5500% -0,8000%
LU0260869739 FRANKLIN U.S. OPPORTUNITIES FUND A(acc) EUR € 384.518.371,81 12.371.965,25 31,0800 32,8671 31,0800 -0,9200% -8,5100%
LU0294217905 Franklin Mutual U.S. Value Fund A (acc) EUR - H1 € 1.162.164,42 18.200,91 63,8500 67,5214 63,8500 -0,1100% 1,8000%
IE00B19Z9612 FTGF ClearBridge US Large Cap Growth Fund [EUR] € 73.309.428,00 84.999,39 862,4700 905,5935 862,4700 -0,7000% -8,1100%
IE00B19Z9505 FTGF ClearBridge US Large Cap Growth Fund [USD] € 285.989.988,00 472.094,27 605,7900 636,0795 605,7900 -0,4000% 0,1100%
IE00BYML7L80 FTGF ClearBridge US Large Cap Growth Fund [EUR] € 17.078.287,00 58.351,40 292,6800 307,3140 292,6800 -0,4000% -0,3200%
IE00B19Z4C24 FTGF Royce US Small Cap Opportunity Fund [EUR] € 60.123.044,00 170.648,97 352,3200 369,9360 352,3200 -0,4000% -15,0000%
IE00B7MC4336 FTGF Royce US Small Cap Opportunity Fund [EUR] € 14.801.212,00 68.823,64 215,0600 225,8130 215,0600 0,0000% -7,6800%
Ιαπωνίας
LU0116920520 FRANKLIN TEMPLETON JAPAN FUND A(acc) JPY € 9.529.627.991,59 5.466.344,50 1.743,3300 1.843,5715 1.743,3300 0,0300% 6,5300%
LU0231790675 FRANKLIN TEMPLETON JAPAN FUND A(acc) EUR € 15.622.495,57 1.471.811,05 10,6100 11,2201 10,6100 -0,1900% 6,5300%
LU0231790832 FRANKLIN TEMPLETON JAPAN FUND A(acc) USD € 22.934.434,76 1.904.290,82 12,0400 12,7323 12,0400 0,1700% 15,5500%
Αναπτυσσόμενες Αγορές
LU0260862304 Franklin India Fund € 50.720.366,19 464.758,48 109,1300 115,4050 109,1300 -2,2000% -9,6100%
LU0300738605 Templeton Emerging Markets Smaller Companies Fund € 13.428.484,89 876.424,74 15,3200 16,2009 15,3200 -0,9700% 5,0800%
LU0366004207 Franklin MENA Fund A (acc) EUR-H1 Hdg € 1.593.559,11 298.196,90 5,3400 5,6471 5,3400 0,1900% 2,3000%
Ασία
LU0390135688 Templeton Asian Smaller Companies Fund € 86.477.776,64 1.367.076,90 63,2600 66,8974 63,2600 -1,1900% 1,3800%
LU0128522157 TEMPLETON ASIAN GROWTH FUND A(acc) USD € 507.513.220,93 12.849.955,16 39,5000 41,7713 39,5000 -0,6500% 5,5900%
LU0052750758 TEMPLETON CHINA FUND A(acc) USD € 226.746.687,76 9.874.777,50 22,9600 24,2802 22,9600 0,7000% 16,3100%
LU0229940001 TEMPLETON ASIAN GROWTH FUND A(acc) EUR € 179.408.853,13 5.132.521,40 34,9600 36,9702 34,9600 -0,9900% -3,0500%
LU0316493583 TEMPLETON ASIAN GROWTH A(acc)EUR HDG € 23.951.597,41 1.124.141,36 21,3100 22,5353 21,3100 -0,6500% 4,9800%
LU0231203729 FRANKLIN INDIA FUND A(acc) USD € 812.321.980,57 11.768.228,32 69,0300 72,9992 69,0300 -1,8500% -1,5400%
LU0231205187 FRANKLIN INDIA FUND A(acc) EUR € 472.522.738,07 6.385.399,17 74,0000 78,2550 74,0000 -2,2100% -9,6000%
LU0390135332 TEMPLETON ASIAN SMALL COMPNIES Aacc USD € 150.596.636,94 2.306.592,90 65,2900 69,0442 65,2900 -1,2000% 1,3800%
LU0390135415 TEMPLETON ASIAN SMALL COMPNIES Aacc EUR € 192.152.471,70 2.433.402,99 78,9600 83,5002 78,9600 -1,5600% -6,9300%
Κλαδικά
Διεθνή
LU0114760746 TEMPLETON GROWTH (EURO) FUND A(acc) EUR € 6.863.877.336,44 305.404.770,07 22,4700 23,7620 22,4700 -0,4000% -1,3200%
LU0128520375 FTIF – Templeton Global Climate Change A Acc. [EUR] € 81.919.568,49 2.454.669,23 33,3700 35,2888 33,3700 0,4500% -0,2700%
LU0128522744 TEMPLETON EMERGING MARKETS FUND A(acc) USD € 195.620.304,03 3.751.316,95 52,1500 55,1486 52,1500 -0,4600% 13,2500%
LU0109392836 FRANKLIN TECHNOLOGY FUND A(acc) USD € 4.822.851.541,03 94.851.385,13 50,8500 53,7739 50,8500 -0,2400% -0,2400%
LU0109394709 FRANKLIN BIOTECHNOLOGY DISCOVERY FUND A(acc) USD € 938.197.213,66 25.701.179,39 36,5000 38,5988 36,5000 1,6100% -7,0100%
LU0229948087 FRANKLIN GLOBAL REAL ESTATE (USD) FUND A(acc) USD € 29.726.597,01 2.206.946,31 13,4700 14,2445 13,4700 -0,3000% 4,5000%
LU0260870158 FRANKLIN TECHNOLOGY FUND A(acc) EUR € 1.672.064.477,48 37.019.004,44 45,1700 47,7673 45,1700 -0,5900% -8,4000%
LU0300736062 FRANKLIN NATURAL RESOURCES FUND A(acc) USD € 103.197.985,22 12.616.061,29 8,1800 8,6503 8,1800 0,2500% 1,4900%
LU0300741732 FRANKLIN NATURAL RESOURCES FUND A(acc) EUR € 22.902.011,37 3.154.298,36 7,2600 7,6774 7,2600 -0,1400% -6,8000%
LU0523919115 FRANKLIN GLOBAL REAL ESTATE FUND A(acc) EUR H1 € 13.247.792,34 919.988,27 14,4000 15,2280 14,4000 -0,2800% 3,7500%
LU0390134368 Franklin Sustainable Global Growth A (acc) [USD] € 41.453.947,79 1.384.076,18 29,9500 31,6721 29,9500 -0,1700% 2,3900%
LU0390134954 Franklin Sustainable Global Growth A (acc) [EUR] € 91.665.468,24 2.530.235,63 36,2300 38,3132 36,2300 -0,5200% -5,9700%
LU0390136736 TEMPLETON FRONTIER MARKETS A(acc) USD € 58.412.347,87 2.207.489,39 26,4600 27,9815 26,4600 -0,1900% 5,0400%
LU0390137031 TEMPLETON FRONTIER MARKETS A(acc) EUR € 76.565.510,46 2.392.173,27 32,0100 33,8506 32,0100 -0,5600% -3,5300%
LU0496363770 TEMPLETON FRONTIER MRKTS A(acc) EUR HDG € 13.447.702,83 1.037.175,70 12,9700 13,7158 12,9700 -0,1500% 4,3400%
LU0496367417 Franklin Gold & Precious Metals Fund A (acc) USD € 174.947.295,81 17.424.963,98 10,0400 10,6173 10,0400 2,2400% 51,6600%
LU0496367763 FRANKLIN GOLD PREC METALS A(acc) EUR € 107.640.979,83 9.081.907,76 11,8500 12,5314 11,8500 1,8000% 39,2500%
LU0496368142 Franklin Gold&Precious Metals Fund A(acc) EUR-Hdg € 36.139.273,89 5.003.926,39 7,2200 7,6351 7,2200 2,1200% 49,4800%
IE00BD4GTQ32 FTGF ClearBridge Infrastructure Value Fund [EUR] € 166.204.895,00 9.725.271,80 17,0900 17,9445 17,0900 0,4000% 5,4300%

Α/Κ Franklin Templeton Investment Funds:Ομολογιακά Α/Κ

LU0029872446 Franklin U.S. Government Fund € 308.355.910,89 43.892.461,72 7,0300 7,3815 7,0300 -0,1400% -0,1400%
LU0300745303 Templeton Global Bond Fund € 72.913.133,09 7.389.371,02 9,8700 10,3635 9,8700 -0,1000% 1,2300%
LU0029871042 Templeton Global Bond Fund € 905.747.991,05 84.648.199,42 10,7000 11,2350 10,7000 0,2800% 7,1100%
LU0211332563 TEMPLETON GLOBAL INCOME FUND A(acc) EUR € 61.287.168,23 2.559.579,49 23,9400 25,3166 23,9400 -0,2100% 1,8300%
LU0229949994 TEMPLETON ASIAN BOND FUND A(acc) USD € 27.153.726,19 1.661.660,48 16,3400 17,1570 16,3400 0,1200% 5,3500%
LU0229951891 TEMPLETON ASIAN BOND FUND A(acc) EUR € 11.654.755,30 665.297,70 17,5200 18,3960 17,5200 -0,2300% -3,2600%
LU0131126228 FRANKLIN HIGH YIELD FUND A(acc) USD € 77.670.615,88 3.252.281,73 23,8800 25,0740 23,8800 0,0400% 2,2700%
LU0131126574 TEMPLETON HIGH YIELD (EURO) FUND A(acc) EUR € 42.091.362,42 1.890.047,63 22,2700 23,3835 22,2700 0,0900% 1,6000%
LU0152980495 TEMPLETON GLOBAL BOND FUND A(acc) EUR € 207.974.765,73 9.015.728,10 23,0700 24,2235 23,0700 -0,1300% 1,1800%
LU0170473374 FRANKLIN European Total Return A(acc) EUR € 167.754.610,73 10.845.791,90 15,4700 16,2435 15,4700 0,0000% -0,1300%
LU0170474422 TEMPLETON GLOBAL BOND (EURO) FUND A(acc) EUR € 24.963.259,25 1.946.551,37 12,8200 13,4610 12,8200 0,0000% 2,9700%
LU0170475312 TEMPLETON GLOBAL TOTAL RETURN FUND A(acc) USD € 366.633.618,22 14.466.751,17 25,3400 26,6070 25,3400 0,0800% 10,1700%
LU0211326755 TEMPLETON GLOBAL INCOME FUND A(acc) USD € 28.272.831,00 1.316.600,40 21,4700 22,7045 21,4700 0,1400% 10,9000%
LU0316493153 TEMPLETON GLOBAL TOTAL RETURN (A) MDis GBP-H1 € 13.131.638,63 3.902.377,60 3,3700 3,5385 3,3700 0,3000% 6,9800%
LU0316493740 Templeton Asian Bond Fund A(Acc) EUR Hdg € 7.791.626,02 821.664,36 9,4800 9,9540 9,4800 0,1100% 4,5200%
LU0252652382 TEMPLETON GLOBAL BOND FUND A(acc) USD € 318.830.069,62 12.251.052,21 26,0200 27,3210 26,0200 0,2300% 10,1600%
LU0260870661 TEMPLETON GLOBAL TOTAL RETURN A(acc) EUR € 116.907.637,10 5.207.440,58 22,4500 23,5725 22,4500 -0,2700% 1,1700%
LU0294219869 FRANKLIN TEMPLETON GL BOND EUR HDG € 99.085.218,49 6.388.543,29 15,5100 16,2855 15,5100 0,2600% 9,3000%
LU0294221097 TEMPLETON GLOBAL TOTAL RETURN A(acc) EUR HDG € 66.156.859,43 4.451.198,87 14,8600 15,6030 14,8600 0,0700% 9,2700%
LU0300737037 FRANKLIN STRATEGIC INCOME FUND A(acc) USD € 115.489.866,30 6.715.980,80 17,2000 18,0600 17,2000 0,0000% 1,6600%
LU0300740767 TEMPLETON GLOBAL HIGH YIELD A(acc) USD € 4.616.071,23 265.399,35 17,3900 18,2595 17,3900 0,1200% 4,9500%
LU0300742896 FRANKLIN STRATEGIC INCOME FUND A(acc) EUR € 27.086.899,11 1.773.970,78 15,2700 16,0335 15,2700 -0,3300% -6,6600%
LU0300743944 TEMPLETON GLOBAL HIGH YIELD A(acc) EUR € 9.112.642,36 590.914,77 15,4200 16,1910 15,4200 -0,2600% -3,6300%
LU0543330301 Franklin US Government Fund A (Acc) USD € 72.114.870,24 6.653.687,20 10,8400 11,3820 10,8400 -0,1800% 1,5900%
LU0551246555 Franklin US Low Duration Fund A (Acc) USD € 67.894.775,04 5.599.008,09 12,1300 12,7365 12,1300 0,0800% 1,9300%
LU0554212000 Templeton Global Bond (Euro) Fund A (acc) USD € 211.493,61 25.802,80 8,2000 8,6100 8,2000 0,4900% 12,3300%
LU0478345209 Templeton Emerging Markets Bond Fund A (acc) USD € 55.224.618,24 4.444.251,19 12,4300 13,0515 12,4300 0,2400% 9,4200%
LU0496369546 Templeton European Corporate Bond Fund A (acc) EUR € 16.876.179,08 1.264.088,26 13,3500 14,0175 13,3500 0,0000% 0,9100%
LU0496363937 FTIF - TEMPLETON GLOBAL BOND FUND A INC EUR(Η) € 47.793.342,64 10.405.109,29 4,5900 4,8539 4,5900 0,2200% 9,2900%
LU0450468003 FTIF - TEMPLETON GLOBAL BOND FUND A(acc)CHF-H1 € 6.532.204,23 746.208,79 8,7500 9,1875 8,7500 0,2300% 8,2900%
IE00B19Z3K33 FTGF Western Asset US Core Bond Fund [USD] € 22.919.107,00 167.819,48 136,5700 143,3985 136,5700 -0,1000% 1,8700%
IE00B19Z4V13 FTGF Western Asset US High Yield Fund [USD] € 14.259.363,00 66.920,23 213,0800 223,7340 213,0800 0,1000% 1,9700%
IE00B4Y6F514 FTGF Western Asset Short Duration Blue Chip Bond Fund [EUR] € 5.033.946,00 52.084,28 96,6500 101,4825 96,6500 0,0000% 1,1000%
IE00B19Z3V48 FTGF Western Asset Global Multi Strategy Fund [USD] € 11.326.856,00 65.220,57 173,6700 182,3535 173,6700 0,1000% 2,3800%
IE00BBT3JP45 FTGF Brandywine Global Income Optimiser Fund [USD] € 126.895.535,00 904.329,64 140,3200 147,3360 140,3200 0,0000% 1,4600%
IE00B23Z7J34 FTGF Western Asset Global Multi Strategy Fund [EUR] € 828.947,00 5.927,82 139,8400 146,8320 139,8400 0,1000% 1,6400%
IE00B7VSFQ23 FTGF Brandywine Global Income Optimiser Fund [EUR] € 25.238.738,00 250.086,58 100,9200 105,9660 100,9200 0,0000% 0,7800%

Α/Κ Franklin Templeton Investment Funds:Διαχείρισης Διαθεσίμων Α/Κ

LU0128526901 FRANKLIN U.S. DOLLAR LIQUID RESERVE A(acc) USD € 846.363.941,62 61.856.271,16 13,6800 13,8852 13,6800 0,0000% 1,5600%

Α/Κ Franklin Templeton Investment Funds:Μικτά Α/Κ

LU0128525689 TEMPLETON GLOBAL BALANCED FUND A(acc) USD € 102.420.231,64 2.570.412,44 39,8500 42,1414 39,8500 0,2300% 7,5600%
LU0195953822 TEMPLETON GLOBAL BALANCED FUND A (acc) EUR € 31.058.834,53 878.870,15 35,3400 37,3721 35,3400 -0,1400% -1,2600%
LU0316494557 FRANKLIN GLOBAL FUNDAMENTAL STRATEGIES USD € 65.385.850,90 4.017.061,70 16,2800 17,2161 16,2800 -0,1200% 5,1700%
LU0316494805 FRANKLIN GLOBAL FUNDAMENTAL STRATEGIES EUR € 346.339.039,84 23.981.123,37 14,4400 15,2703 14,4400 -0,4800% -3,4800%
LU0316494987 FRANKLIN Global Fundamental Strategies EUR Hdg € 47.582.341,47 5.314.300,64 8,9500 9,4646 8,9500 -0,1100% 4,4300%
LU0316492858 Templeton Global Balanced Fund Hdg A (acc) EUR-H1 € 3.116.044,19 142.274,02 21,9000 23,1593 21,9000 0,1800% 6,8800%
LU0976567460 Franklin Income Fund A (Mdis) EUR H1 € 202.890.970,92 32.494.480,29 6,2400 6,5988 6,1776 0,0000% -1,8900%
LU0098860793 Franklin Income Fund A (Mdis) USD € 3.414.189.842,58 359.841.586,04 9,4900 10,0357 9,3951 0,0000% -1,2500%
LU1093756168 FTIF - FRANKLIN K2 ALTERN STRATEGIES A ACC USD € 71.026.511,91 5.475.709,74 12,9700 13,7158 12,9700 0,1500% 0,9300%
LU1093756242 FTIF - FRANKLIN K2 ALTERN STRATEGIES A ACC EUR(H) € 61.447.899,67 5.683.439,48 10,8100 11,4316 10,8100 0,0900% 0,2800%

Α/Κ BlackRock Investment Management (UK) Ltd:Μετοχικά Α/Κ

Γεωγραφικά
Διεθνή
LU2041044178 BGF CIRCULAR ECONOMY Class A2 EUR € 12.051.216,80 973.817,86 12,3800 12,9990 12,3800 0,7300% -3,3600%
LU2041044095 BGF CIRCULAR ECONOMY Class A2 USD € 22.090.769,59 1.586.990,16 13,9200 14,6160 13,9200 0,6500% 4,6600%
LU0625451512 BGF Global Equity Income A5G EUR Hedged € 6.349.173,92 506.545,35 12,5300 13,1565 12,5300 0,6400% 2,1200%
LU1864666240 BGF Natural Resources Growth&Income Fund A2 EUR Hdg € 7.638.073,10 594.211,80 12,8500 13,4925 12,8500 0,9400% 4,9800%
LU1861216510 BGF Next Generation Technology Fund A2 EUR Hdg € 82.950.525,76 5.123.871,36 16,1900 16,9995 16,1900 0,1900% -7,2200%
LU1822773807 BGF Sustainable Energy Fund A2 EUR Hdg € 21.953.427,85 1.528.054,21 14,3700 15,0885 14,3700 1,5600% 5,9000%
LU0011850046 BGF Global Long-Horizon Equity Class A2 [USD] € 694.761.413,77 6.908.230,70 100,5700 105,5985 100,5700 0,3200% 0,2200%
LU0047713382 BGF Emerging Markets Class A2 USD € 233.312.304,51 6.050.041,09 38,5600 40,4880 38,5600 0,3600% 5,4400%
LU0054578231 BGF Systematic Sustainable Global SmallCap Fund A2 USD € 169.024.222,22 1.035.247,78 163,2700 171,4335 163,2700 0,5000% 4,4700%
LU0072463663 BGF Latin America Class A2 USD € 472.951.899,77 6.800.468,30 69,5500 73,0275 69,5500 0,7100% 32,9300%
LU0171275786 BGF Emerging Markets Class A2 EUR € 67.979.204,17 1.982.805,91 34,2800 35,9940 34,2800 0,3800% -2,7200%
LU0171285314 BGF Global Long-Horizon Equity Class A2 [EUR] € 144.508.444,99 1.616.247,32 89,4100 93,8805 89,4100 0,3400% -7,5500%
LU0171288334 BGF Systematic Sustainable Global SmallCap Fund A2 EUR € 62.428.903,26 430.095,12 145,1500 152,4075 145,1500 0,5200% -3,6300%
LU0171289498 BGF Latin America Class A2 EUR € 111.489.595,36 1.803.182,29 61,8300 64,9215 61,8300 0,7300% 22,6300%
LU0171289738 BGF Latin America Class A2 GBP € 2.382.924,21 45.774,36 52,0600 54,6630 52,0600 0,7400% 24,6700%
LU0265550359 BGF Systematic Global Equity High Income Fund Class A2 [USD] € 257.567.460,76 11.176.822,82 23,0400 24,1920 23,0400 0,5700% 5,4500%
LU0238690555 BGF SUSTAINABLE GLOBAL DYNAMIC EQUITY HEDGED A2 [EUR] € 5.334.430,56 262.704,89 20,3100 21,3255 20,3100 0,4000% 1,8600%
LU0278718100 BGF Systematic Global Equity High Income Fund Class A2 Hedged [EUR] € 18.098.258,19 1.428.869,09 12,6700 13,3035 12,6700 0,5600% 4,6200%
LU0326422176 BGF World Energy A2 EUR Hdg € 36.535.524,08 6.212.294,85 5,8800 6,1740 5,8800 0,1700% -1,1800%
LU2719174067 BGF Emerging Markets Ex-China Class A2 Hedged [EUR] € 158.682.734,82 2.251.028,97 70,4900 70,4900 70,4900 -0,1700% 2,5800%
LU2719174224 BGF Emerging Markets Ex-China Class A2 [USD] € 40.879.484,81 532.366,36 76,7900 76,7900 76,7900 -0,1600% 3,6400%
Ευρώπη
LU0154234636 BGF European Special Situations A2 EUR € 378.044.118,17 5.799.150,16 65,1900 68,4495 65,1900 0,5600% 2,1300%
LU0011846440 BGF European Class A2 EUR € 354.291.149,11 1.812.946,77 195,4200 205,1910 195,4200 0,7100% 3,9900%
LU0011847091 BGF United Kingdom Class A2 GBP € 74.961.457,28 507.763,89 147,6300 155,0115 147,6300 0,8500% 4,8100%
LU0072462186 BGF European Value Class A2 EUR € 303.563.840,64 2.600.673,18 116,7300 122,5665 116,7300 1,0000% 13,4600%
LU0093502762 BGF Euro Markets Class A2 EUR € 685.250.914,90 13.732.423,15 49,9000 52,3950 49,9000 0,7100% 10,7900%
LU0171293334 BGF United Kingdom Class A2 USD € 15.590.048,44 79.046,21 197,2300 207,0915 197,2300 0,8200% 11,7600%
LU0171301533 BGF World Energy Class A2 EUR € 185.958.630,09 8.631.721,73 21,5400 22,6170 21,5400 0,2800% -8,4200%
LU0171276677 BGF European Special Situations A2 USD € 115.561.082,82 1.575.977,54 73,3300 76,9965 73,3300 0,5400% 10,7200%
LU0171277485 BGF Euro Markets Class A2 USD € 31.531.689,11 561.773,62 56,1300 58,9365 56,1300 0,6800% 20,0900%
LU0171280430 BGF European Class A2 USD € 53.376.974,67 242.826,04 219,8200 230,8110 219,8200 0,6900% 12,7300%
LU0171281750 BGF European Value Class A2 USD € 61.192.863,47 466.072,06 131,2900 137,8545 131,2900 0,9800% 22,9800%
LU0171282212 BGF European Value Class A2 GBP € 6.351.244,99 64.625,12 98,2800 103,1940 98,2800 1,0200% 15,3400%
LU0171293177 BGF United Kingdom Class A2 EUR € 8.205.700,10 46.798,58 175,3400 184,1070 175,3400 0,8400% 3,1000%
LU0252970834 BGF European Equity Transition A2 [USD] € 8.950.029,62 195.257,67 45,8400 48,1320 45,8400 1,2600% 17,8100%
LU0224105477 BGF Continental European Flexible Fund A2 EUR € 1.048.082.492,88 21.946.029,72 47,7600 50,1480 47,7600 0,7400% 8,5200%
LU0229084990 BGF European Equity Transition A2 [EUR] € 74.631.737,06 1.831.431,28 40,7500 42,7875 40,7500 1,2900% 8,6700%
LU0238689110 BGF SUSTAINABLE GLOBAL DYNAMIC EQUITY A2 [USD] € 174.099.004,21 4.864.781,51 35,7900 37,5795 35,7900 0,3700% 2,5500%
LU0238689623 BGF SUSTAINABLE GLOBAL DYNAMIC EQUITY A2 [EUR] € 31.438.259,21 988.118,41 31,8200 33,4110 31,8200 0,4100% -5,3800%
LU0562822386 BGF European Equity Income Fund Class A2 EUR € 157.292.067,89 5.023.715,18 31,3100 32,8755 31,3100 1,2000% 12,0600%
LU0561744862 BGF European Equity Income A5G EUR € 33.226.051,41 1.904.035,34 17,4500 18,3225 17,4500 1,1600% 11,5000%
Η.Π.Α.
LU0154236417 BGF US Flexible Equity Class A2 USD € 649.311.707,95 9.172.656,45 70,7900 74,3295 70,7900 0,1800% 2,7100%
LU0072461881 BGF US Basic Value Class A2 USD € 351.622.290,52 2.559.995,49 137,3500 144,2175 137,3500 0,5600% 6,4200%
LU0171293920 BGF US Basic Value Class A2 EUR € 26.185.306,74 214.439,07 122,1100 128,2155 122,1100 0,5900% -1,8300%
LU0171296279 BGF US Basic Value Class A2 GBP € 2.752.496,89 26.771,94 102,8100 107,9505 102,8100 0,6000% -0,2100%
LU0171296865 BGF US Flexible Equity Class A2 EUR € 46.660.647,81 741.440,16 62,9300 66,0765 62,9300 0,2100% -5,2500%
LU0171298135 BGF US Growth Class A2 EUR € 38.918.414,30 899.877,48 43,2500 45,4125 43,2500 -0,0200% -8,1900%
LU0200684693 BGF US Flexible A2 EUR Hedged € 58.541.857,25 1.445.645,61 40,5000 42,5250 40,5000 0,1700% 2,3200%
LU0200685153 BGF US Basic Value Fund A2 EUR HDG € 4.075.814,93 51.890,15 78,5500 82,4775 78,5500 0,5600% 5,7900%
LU0097036916 BGF US Growth A2RF USD € 167.525.338,63 3.443.699,94 48,6500 51,0825 47,1905 -0,0600% -0,4700%
Ιαπωνίας
LU0006061252 BGF Japan Small&Mid Cap Opps A2 USD € 72.211.914,22 901.692,66 80,0800 84,0840 80,0800 -0,3500% 7,6600%
LU0171289068 BGF Japan Small&Mid Cap Opps A2 EUR € 7.979.092,65 112.069,29 71,2000 74,7600 71,2000 -0,3200% -0,2000%
LU0249411835 BGF Japan Small&Mid Cap Opps A2 JPY € 6.386.665.144,10 550.655,87 11.598,0000 12.177,9000 11.598,0000 -0,4800% -1,2100%
LU0255399239 BGF Japan Flexible Equity A2 EUR Hedged € 6.918.035,33 382.294,95 18,1000 19,0050 18,1000 0,2800% -4,6900%
LU0255399742 BGF Japan Small&Mid Cap Opps A2 EUR Hdg € 2.312.971,53 30.685,37 75,3800 79,1490 75,3800 -0,4600% -0,3200%
LU0212924517 BGF Japan Flexible Equity A2 USD € 42.762.858,22 2.116.798,14 20,2000 21,2100 20,2000 0,3500% 3,0100%
LU0212924608 BGF Japan Flexible Equity A2 EUR € 10.749.732,79 598.540,89 17,9600 18,8580 17,9600 0,3900% -4,5200%
LU0249410860 BGF Japan Flexible Equity A2 JPY € 13.103.691.192,53 4.478.811,86 2.926,0000 3.072,3000 2.926,0000 0,2400% -5,4600%
LU0940328577 BGF Japan Flexible Equity Fund Class A2 Hedged USD € 41.330.506,34 1.259.809,44 32,8100 34,4505 32,8100 0,2400% -3,9800%
Ασία
LU0072462343 BGF Asian Dragon Fund Class A2 USD € 144.038.878,40 2.931.151,76 49,1400 51,5970 49,1400 0,0600% 5,4700%
LU0171269466 BGF Asian Dragon Fund Class A2 EUR € 22.099.640,57 505.856,38 43,6900 45,8745 43,6900 0,0900% -2,7000%
LU0171270639 BGF Asian Dragon Fund Class A2 GBP € 4.333.026,55 117.798,60 36,7800 38,6190 36,7800 0,1100% -1,1000%
LU0248271941 BGF India Fund Class A2 EUR € 32.347.776,35 676.376,68 47,8300 50,2215 47,8300 -1,3800% -11,4400%
LU0248272758 BGF India Fund Class A2 USD € 228.624.102,69 4.249.939,62 53,7900 56,4795 53,7900 -1,4300% -4,0300%
LU0359201455 BGF China Fund Hedged A2 EUR € 27.589.610,87 2.025.322,52 13,6200 14,3010 13,6200 1,1100% 10,2800%
LU0359201612 BGF China Fund A2 USD € 593.618.769,28 31.892.447,42 18,6100 19,5405 18,6100 1,0900% 11,7100%
Κλαδικά
Διεθνή
LU0106831901 BGF World Financials Class A2 USD € 704.586.296,83 11.868.776,83 59,3600 62,3280 59,3600 0,0000% 10,3600%
LU0122376428 BGF World Energy Class A2 USD € 973.575.798,88 40.176.066,55 24,2300 25,4415 24,2300 0,2500% -0,7400%
LU0122379950 BGF World Healthscience Class A2 USD € 3.881.231.893,22 58.807.033,53 66,0000 69,3000 66,0000 1,0000% -0,5000%
LU0124384867 BGF Sustainable Energy Class A2 [USD] € 1.089.672.189,47 65.405.256,88 16,6600 17,4930 16,6600 1,5200% 6,8600%
LU0006061336 BGF US Small&Mid Cap Opps Fund A2 USD € 157.587.836,45 417.131,61 377,7900 396,6795 377,7900 0,8000% 2,0500%
LU0055631609 BGF World Gold Class A2 USD € 2.986.713.435,66 55.084.266,97 54,2200 56,9310 54,2200 2,4200% 40,0300%
LU0056508442 BGF World Technology Class A2 USD € 5.165.344.403,43 55.411.578,62 93,2200 97,8810 93,2200 -0,0400% -2,0000%
LU0075056555 BGF World Mining Class A2 USD € 2.410.735.004,06 39.421.056,96 61,1500 64,2075 61,1500 1,1400% 8,5200%
LU0171298648 BGF US Small&Mid Cap Opps Fund A2 EUR € 46.480.912,99 138.391,21 335,8700 352,6635 335,8700 0,8300% -5,8600%
LU0171304719 BGF World Financials Class A2 EUR € 153.317.082,64 2.904.997,52 52,7800 55,4190 52,7800 0,0400% 1,8100%
LU0171305526 BGF World Gold Class A2 EUR € 775.500.602,88 16.087.909,20 48,2000 50,6100 48,2000 2,4400% 29,1500%
LU0171307068 BGF World Healthscience Class A2 EUR € 2.101.588.040,16 35.817.124,54 58,6800 61,6140 58,6800 1,0300% -8,2000%
LU0171289902 BGF Sustainable Energy Class A2 [EUR] € 546.335.819,16 36.885.859,83 14,8100 15,5505 14,8100 1,5800% -1,4600%
LU0171310443 BGF World Technology Class A2 EUR € 1.771.689.667,20 21.378.259,25 82,8700 87,0135 82,8700 -0,0200% -9,6000%
LU0171311680 BGF World Technology Class A2 GBP € 44.045.588,84 631.239,06 69,7800 73,2690 69,7800 0,0000% -8,0900%
LU0172157280 BGF World Mining Class A2 EUR € 799.938.963,38 14.713.604,88 54,3700 57,0885 54,3700 1,1700% 0,1300%
LU0326422689 BGF World Gold A2 EUR Hdg € 124.201.759,48 17.703.302,42 7,0200 7,3710 7,0200 2,4800% 38,4600%
LU0326424115 BGF World Mining A2 EUR Hdg € 52.012.597,02 11.918.233,23 4,3600 4,5780 4,3600 1,1600% 7,3900%
LU0385154629 BGF Nutrition A2 [USD] € 17.384.836,96 1.370.758,63 12,6800 13,3140 12,6800 0,8000% 4,2800%
LU0471298348 BGF Nutrition A2 EUR Hdg [EUR] € 3.240.491,84 333.665,48 9,7100 10,1955 9,7100 0,8300% 3,3000%
LU0545039389 BGF Global Equity Income Fund A2 USD € 183.383.043,83 7.309.806,54 25,0900 26,3445 25,0900 0,7200% 3,2900%
LU0625451603 BGF Global Equity Income Fund Hedged A2 EUR € 17.779.779,48 966.220,35 18,4000 19,3200 18,4000 0,7100% 2,4500%
LU1861214812 BLACKROCK FUNDS - FUTURE OF TRANSPORT - A2 USD € 121.965.477,01 9.112.472,39 13,3800 14,0490 13,3800 0,3000% 6,1100%
LU1861217088 BlackRock Global Funds - FINTECH - A2 USD € 40.146.310,56 2.957.858,34 13,5700 14,2485 13,5700 0,5200% 2,5700%
LU1861217674 BlackRock Global Funds - FINTECH - A2 EUR HDG € 6.203.488,94 546.877,85 11,3400 11,9070 11,3400 0,4400% 1,8900%
LU1861215389 BGF Future of Transport A2 EUR Hedged € 12.662.695,61 1.127.596,00 11,2300 11,7915 11,2300 0,2700% 5,1500%

Α/Κ BlackRock Investment Management (UK) Ltd:Ομολογιακά Α/Κ

LU0200680436 BGF Emerging Markets Bond Fund € 3.717.978,11 426.164,78 8,7200 9,1560 8,7200 0,2300% 0,9300%
LU0118259232 BGF Euro Bond Fund € 4.337.250,20 243.769,25 17,7900 18,6795 17,7900 0,1100% -0,5600%
LU0118255248 BGF Euro Short Duration Bond Fund € 4.978.696,81 419.859,35 11,8600 12,4530 11,8600 0,0800% 0,5900%
LU1003076855 BGF Fixed Income Global Opportunities Fund € 19.135.424,72 1.888.000,56 10,1400 10,6470 10,1400 0,2000% 0,8000%
LU0118256485 BGF Global Government Bond Fund € 1.032.960,89 53.043,41 19,4700 20,4435 19,4700 -0,0500% -0,2600%
LU0297940495 BGF Global Government Bond Fund € 1.640.961,18 106.712,54 15,3800 16,1490 15,3800 0,0000% -0,9700%
LU0028835386 BGF US Dollar Core Bond Fund € 7.388.047,98 501.793,56 14,7200 15,4560 14,7200 0,0700% -0,3400%
LU0046675905 BGF US Dollar High Yield Bond Fund € 41.385.606,04 7.562.322,90 5,4700 5,7435 5,4700 0,0000% 0,0000%
LU0155445546 BGF US Dollar Short Duration Bond Fund € 17.921.718,64 2.199.289,95 8,1500 8,5575 8,1500 0,0000% 0,4900%
LU0012053665 BGF Sustainable World Bond Fund A1 USD € 590.545,52 11.118,97 53,1100 55,7655 53,1100 0,0200% -0,4500%
LU0973708182 BGF Fixed Income Global Opportunities Fund € 2.949.507,54 340.287,16 8,6700 9,1035 8,6700 0,1200% 1,5200%
LU0825403933 BGF Global Corporate Bond Fund € 1.647.149,79 159.530,11 10,3300 10,8465 10,3300 0,1900% 0,7800%
LU0578943853 BGF US Dollar High Yield Bond Fund A3 EUR Hdg € 2.240.600,49 286.126,89 7,8300 8,2215 7,8300 0,1300% -0,2600%
LU0093504206 BGF Global High Yield Bond (Euro) A2 EUR Hdg € 33.351.069,23 1.809.153,27 18,4300 19,3515 18,4300 0,1100% 1,3800%
LU0096258362 BGF US Dollar Core BondFd Class A2 USD € 72.652.448,44 2.178.486,31 33,3500 35,0175 33,3500 0,1200% 1,2400%
LU0096258446 BGF US Government Mortgage Impact Fund A2 USD € 20.211.438,40 1.085.741,33 18,6200 19,5510 18,6200 0,1100% 0,7000%
LU0154237225 BGF US Dollar Short Duration Bond Class A2 USD € 401.208.745,64 26.771.134,63 14,9900 15,7395 14,9900 0,0700% 1,9000%
LU0006061385 BGF Global Government Bond A2 USD € 102.363.861,98 3.430.166,74 29,8400 31,3320 29,8400 -0,0300% 0,7800%
LU0046676465 BGF US Dollar High Yield Bond Class A2 USD € 250.090.493,56 5.855.498,11 42,7100 44,8455 42,7100 0,1400% 2,3000%
LU0050372472 BGF Euro Bond Fund Class A2 EUR € 373.478.358,78 13.605.124,93 27,4500 28,8225 27,4500 0,1100% 0,2200%
LU0063729296 BGF Asian Tiger Bond Class A2 USD € 261.802.030,54 6.278.919,17 41,7000 43,7850 41,7000 0,1900% 2,0800%
LU0093503810 BGF Euro Short Duration Bond Class A2 EUR € 476.527.094,10 29.561.200,86 16,1200 16,9260 16,1200 0,0600% 1,5100%
LU0162658883 BGF Euro Corporate Bond Fund Class A2 EUR € 245.556.040,71 14.384.845,64 17,0700 17,9235 17,0700 0,1800% 0,9500%
LU0171279184 BGF Euro Bond Fund A2 USD € 63.390.940,30 2.052.961,66 30,8800 32,4240 30,8800 0,1000% 8,6600%
LU0171284937 BGF Global High Yield Bond (Euro) A2 USD € 221.461.733,00 6.983.219,11 31,7100 33,2955 31,7100 0,1000% 2,1300%
LU0278453476 BGF Fixed Inc Global Opps Fd Hdg A2 EUR € 54.194.141,36 5.289.181,91 10,2500 10,7625 10,2500 0,2000% 1,5900%
LU0278457204 BGF Emerging Mkts Local Ccy Bond A2 EUR € 8.493.694,59 378.028,68 22,4700 23,5935 22,4700 0,2700% 0,7200%
LU0278466700 BGF Fixed Inc Global Opps Fd A2 USD € 495.051.868,83 29.691.719,50 16,6700 17,5035 16,6700 0,1200% 2,2700%
LU0278470058 BGF Emerging Markets Local Currency Bond A2 € 165.184.223,91 6.536.017,83 25,2700 26,5335 25,2700 0,2400% 9,2100%
LU0184696937 BGF Sustainable World Bond Fund A2 USD € 57.345.777,42 702.420,67 81,6400 85,7220 81,6400 0,0400% 0,7000%
LU0200680600 BGF Emerging Market Bond Fund Class A2 USD € 62.888.402,02 3.004.167,32 20,9300 21,9765 20,9300 0,2900% 2,9500%
LU0200683885 BGF Emerging Market Bond Fund Class A2 EUR € 39.221.872,82 2.107.489,08 18,6100 19,5405 18,6100 0,3200% -5,0000%
LU0297942194 BGF Global Corporate Bond A2 USD € 156.700.000,77 10.169.262,61 15,4100 16,1805 15,4100 0,1300% 1,6500%
LU0297942434 BGF Global Corporate Bond Hdg A2EUR € 27.184.510,14 2.194.877,26 12,3900 13,0095 12,3900 0,1600% 0,9000%
LU0297942863 BGF Global Government Bond A2 EUR Hedged € 119.421.206,19 5.150.201,38 23,1900 24,3495 23,1900 0,0000% 0,0400%
LU0330917880 BGF Sustainable World Bond Fund A2 Hedged EUR € 6.681.038,33 38.084,12 175,4300 184,2015 175,4300 0,0200% -0,0600%
LU0330917963 BGF US Dollar High Yield Bond A2 EUR Hdg € 11.673.524,27 50.242,32 232,3400 243,9570 232,3400 0,1300% 1,5600%
LU0413376566 BGF Emerging Markets Bond A2 EUR Hdg € 79.454.593,52 4.838.717,24 16,4200 17,2410 16,4200 0,3100% 2,1800%
LU0456865749 BGF Euro Short Duration Bond Fund Hdg € 43.901.552,67 3.190.877,22 13,7600 14,4480 13,7600 0,1500% 2,2300%
LU1005243255 BGF FIX.INC GLOBAL OPPS FD A2 EUR € 28.390.947,44 1.915.349,26 14,8200 15,5610 14,8200 0,1400% -5,6700%

Α/Κ BlackRock Investment Management (UK) Ltd:Διαχείρισης Διαθεσίμων Α/Κ

LU0006061419 BGF Reserve Class A2 USD € 526.952.479,36 2.943.742,91 179,0076 179,0076 179,0076 0,0200% 1,5300%
LU0297945965 BGF USD Reserve GBP Hedged A2 GBP € 15.194.757,60 72.249,98 210,3081 210,3081 210,3081 0,0100% 1,5100%
LU0432365988 BGF Euro Reserve FundA2EUR € 52.978.771,97 693.211,69 76,4251 76,4251 76,4251 0,0100% 0,7800%

Α/Κ BlackRock Investment Management (UK) Ltd:Μικτά Α/Κ

LU1238068834 BGF Global Multi-Asset Income Fund Class A3G EUR € 679.553.880,69 86.456.465,55 7,8600 8,2530 7,8600 0,2600% -6,5400%
LU0784385840 BGF Global Multi-Asset Income A2 USD € 215.685.450,04 12.839.489,87 16,8000 17,6400 16,8000 0,3000% 3,5100%
LU0784383399 BGF Global Multi-Asset Income A2 EUR Hedged € 15.675.402,88 1.355.348,30 11,5700 12,1485 11,5700 0,3500% 2,7500%
LU0724617625 BGF Global Allocation Fund € 191.575.577,92 2.422.435,61 79,0800 83,0340 79,0800 0,3400% 4,8100%
LU0784383712 BGF Global Multi Asset Income Fund A4G EUR Hdg € 19.851.658,85 2.947.163,45 6,7400 7,0770 6,7400 0,3000% 2,7400%
LU1133085917 BGF Global Multi Asset Income Fund A6 EUR Hdg € 121.969.352,91 19.248.372,72 6,3400 6,6570 6,3400 0,3200% 0,6400%
LU0072462426 BGF Global Allocation Class A2 USD € 4.191.699.009,58 50.427.602,18 83,1200 87,2760 83,1200 0,3500% 4,8000%
LU0093503497 BGF ESG Multi-Asset A2 [EUR] € 523.650.674,78 26.940.423,04 19,4400 20,4120 19,4400 0,2600% -1,5200%
LU0171283459 BGF Global Allocation Class A2 EUR € 2.327.361.779,67 31.493.836,89 73,9000 77,5950 73,9000 0,3800% -3,3100%
LU0212925753 BGF Global Allocation A2 EUR Hedged € 750.938.112,05 16.200.539,07 46,3500 48,6675 46,3500 0,3500% 3,9700%
LU0236177068 BGF Global Allocation A2 GBP Hedged € 73.714.945,99 1.837.283,96 40,1200 42,1260 40,1200 0,3500% 4,5900%
LU0343169966 BGF Global Allocation Fund CHF € 24.586.794,89 1.708.280,74 14,3900 15,1095 14,3900 0,3500% 3,0800%
LU0468326631 BGF Global Allocation Class A2 AUD € 178.717.239,58 7.920.092,87 22,5700 23,6985 22,5700 0,3600% 4,0600%
LU0494093205 BGF ESG Multi-Asset Fund Class A2 Hedged [USD] € 132.465.294,41 2.437.646,25 54,3400 57,0570 54,3400 0,2600% -0,9500%
LU0784384876 BGF Global Multi-Asset Income A6 USD € 760.414.793,26 92.326.051,40 8,2400 8,6520 8,2400 0,3700% 1,3500%

Α/Κ Schroder Invest.Mngnt (Lux) S.A. :Μετοχικά Α/Κ

LU0203345920 SISF QEP Global Active Value A Acc € 22.315.717,05 68.349,46 326,4944 342,8191 326,4944 0,8800% 9,6400%
LU0205193047 SISF US Small & Mid-Cap Eq A Acc € 82.463.338,29 185.398,64 444,7893 467,0288 444,7893 0,4300% -7,7200%
LU0248176017 SISF QEP Global Active Value EUR A Acc € 113.707.534,05 394.661,15 288,1143 302,5200 288,1143 1,1100% 1,4300%
LU0248178732 SISF US Small & Mid-Cap Eq EUR A Acc € 87.469.354,00 222.254,68 393,5546 413,2323 393,5546 0,6600% -14,6200%
LU0270818197 SISF Japanese Opportunities A Acc € 12.847.845.332,92 4.102.551,70 3.131,6718 3.288,2554 3.131,6718 0,2900% -2,7500%
LU0271483876 SISF US Large Cap EUR Hedged A Acc € 64.895.917,36 167.913,12 386,4851 405,8094 386,4851 1,0300% 4,2400%
LU0306804302 SISF Global Climate Change Equity EUR Hg A Acc € 155.168.007,12 8.098.634,98 19,1598 20,1178 19,1598 1,0400% 4,8700%
LU0323591593 SISF QEP Global Quality A Acc € 228.408.918,59 853.162,26 267,7204 281,1064 267,7204 1,1100% 5,0500%
LU0323591833 SISF QEP Global Quality EUR A Acc € 58.863.063,90 174.358,82 337,5973 354,4772 337,5973 1,3400% -2,8200%
LU0334663233 SISF US Small & Mid EUR Hg A Acc € 21.526.977,58 92.280,64 233,2773 244,9412 233,2773 0,4200% -8,4000%
LU0365775922 SISF Greater China EUR A Acc € 194.650.086,14 2.884.159,91 67,4894 70,8639 67,4894 1,3900% -0,4400%
LU0374901568 SISF Global Energy EUR A Acc € 30.089.421,30 1.872.190,54 16,0718 16,8754 16,0718 0,2800% -7,8300%
LU0491680715 SISF Emerging Markets AUD Hdg A Acc € 603.913,87 4.033,71 149,7167 157,2025 149,7167 0,4800% 7,1600%
LU0491681010 SISF Global Equity AUD Hdg A Acc € 1.980.491,10 5.337,71 371,0376 389,5895 371,0376 1,2400% 3,2000%
LU0557290698 SISF Global Demographic Opportunities A Acc € 1.053.987.658,37 2.632.348,45 400,3982 420,4181 400,3982 1,2400% 3,0500%
LU0557291076 SISF Global Demographic Opportunities EUR Hdg € 174.826.640,02 557.174,09 313,7738 329,4625 313,7738 1,2300% 2,1800%
LU0562313402 SISF Frontier Markets Equity A Acc € 203.217.111,46 785.369,26 258,7536 271,6913 258,7536 0,3400% 5,2000%
LU0607220059 SISF Hong Kong Equity USD A Acc € 86.135.179,19 1.673.661,00 51,4651 54,0384 51,4651 0,9100% 7,1900%
LU0638090042 SISF Global Cities EUR A [EUR] € 17.505.435,63 89.382,70 195,8481 205,6405 195,8481 0,6700% -4,6600%
LU0671501558 SISF Global Energy EUR Hdg A Acc € 4.363.882,80 438.893,84 9,9429 10,4400 9,9429 0,0500% -1,2300%
LU0747139391 SISF QEP Global Emerging Markets A Acc € 2.119.940,67 16.202,51 130,8403 137,3823 130,8403 0,6300% 11,5700%
LU0747140563 SISF QEP Global Emerging Markets EUR A Acc € 4.081.952,31 26.364,26 154,8290 162,5704 154,8290 0,8600% 3,2200%
LU0757966410 SISF QEP Global Emerging Markets GBP A Acc € 15.798,47 101,21 156,0959 163,9007 156,0959 0,8800% 4,7900%
LU0820943859 SISF Asian Equity Yield CHF A Acc € 2.412.662,55 14.581,45 165,4611 173,7342 165,4611 0,2100% -1,3400%
LU0820944071 SISF Asian Equity Yield EUR A Acc € 19.853.694,12 93.021,66 213,4309 224,1024 213,4309 0,4600% -0,9500%
LU0847528352 SISF European Special Situations GBP A Acc € 942.552,21 3.860,67 244,1421 256,3492 244,1421 1,2900% 4,5700%
LU0867894346 SISF Global Dividend Maximiser EUR Hdg A Acc € 6.448.662,33 401.302,90 16,0693 16,8728 16,0693 0,7600% 9,0100%
LU0903425923 SISF Japanese Equity USD Hdg A Acc € 18.515.670,41 61.908,46 299,0814 314,0355 299,0814 0,7800% 1,4300%
LU0943301571 SISF Japanese Opportunities EUR H A Acc € 42.933.531,20 1.467.289,02 29,2604 30,7234 29,2604 0,3000% -2,1900%
LU0106261612 SISF US Smaller Companies Impact A Acc € 62.792.043,15 272.665,90 230,2893 241,8038 230,2893 0,5000% -3,6700%
LU0671501392 Schroder ISF Global Dividend Maximiser A1 Distribution EUR Hedged QF € 17.187.154,09 2.789.238,78 6,1620 6,4085 6,1620 0,7500% 6,9000%
LU1223082196 SISF Global Gold A acc USD € 106.256.492,64 533.597,58 199,1323 209,0889 199,1323 0,4800% 44,1200%
LU1223083087 SISF Global Gold A acc EUR Hedged € 40.423.125,01 260.378,73 155,2474 163,0098 155,2474 0,4800% 42,4300%
Γεωγραφικά
LU0106259046 SISF Latin America € 61.850.374,20 1.306.691,37 47,3336 49,8248 47,3336 1,4600% 24,5200%
LU0248181363 SISF Latin America € 19.575.242,62 467.508,92 41,8714 44,0752 41,8714 1,6900% 15,2000%
Διεθνή
LU1046234768 SISF European Alpha Absolute Return A Acc [EUR] € 11.061.125,11 132.081,38 83,7448 86,2571 83,7448 0,0200% -4,2200%
LU1822774284 BGF World Healthscience Fund A2 EUR Hdg € 79.902.330,42 5.766.431,30 13,8600 14,5530 13,8600 1,0200% -1,2800%
LU2399670608 Schroder ISF-GLOBAL SUSTAINABLE FOOD&WATER-A EUR ACC € 2.478.540,47 25.942,41 95,5401 100,3171 95,5401 0,7800% -0,4400%
LU2665173949 Schroder ISF Global Sustainable Value A EUR € 13.133.285,70 104.951,94 125,1362 131,3930 125,1362 1,0100% 11,1400%
LU2665174160 Schroder ISF Global Sustainable Value A1 EUR € 1.396.834,30 11.250,04 124,1626 129,1291 124,1626 1,0100% 10,9400%
LU0133713007 SISF Latin American A1 USD € 85.361.066,82 1.992.620,86 42,8386 44,6235 42,8386 1,4500% 24,2900%
LU0248166992 SISF Global Equity Yield € 28.301.064,31 119.495,33 236,8382 249,3033 236,8382 1,0500% 1,7800%
LU0248168428 SISF Global Equity Alpha € 119.331.214,66 328.149,98 363,6484 382,7878 363,6484 1,3800% -0,7800%
LU0215105999 SISF Global Equity € 160.034.060,00 3.124.569,23 51,2180 53,9137 51,2180 1,2400% 4,3100%
LU0225283273 SISF Global Equity Alpha € 48.487.453,69 118.499,97 409,1769 430,7125 409,1769 1,1500% 7,2500%
LU0225284248 SISF Global Equity Yield € 40.343.795,89 151.635,78 266,0572 280,0602 266,0572 0,8200% 10,0200%
LU0228659867 SISF BIC (Brazil, India, China) A1 Acc [USD] € 37.727.350,51 168.450,32 223,9672 233,2992 223,9672 0,3600% 8,5800%
LU0240877869 SISF Global Smaller Companies € 31.754.630,12 114.997,73 276,1327 290,6660 276,1327 0,6700% -1,8100%
LU0248178229 SISF Emerging Markets EUR A1 € 46.288.541,25 3.148.789,44 14,7004 15,3129 14,7004 0,7100% -0,0500%
LU0248178906 SISF BIC (Brazil, India, China) A1 Acc [EUR] € 8.425.374,30 42.278,13 199,2845 207,5880 199,2845 0,5900% 0,4500%
LU0248184383 SISF Latin American EUR A1 € 3.499.147,20 92.043,06 38,0164 39,6004 38,0164 1,6800% 14,9800%
LU0306806265 SISF Global Dividend Maximiser € 18.109.590,41 1.152.854,97 15,7085 16,5353 15,7085 0,7600% 10,0600%
Ευρώπη
LU1910162970 SISF European Sustainable Equity A Acc [EUR] € 23.194.474,98 145.523,85 159,3861 167,3554 0,0000 1,5200% 6,7400%
LU2293689589 SISF European Sustainable Equity A Acc A1 Acc [EUR] € 3.693.013,48 31.522,68 117,1542 121,8404 0,0000 1,5200% 6,5400%
LU0106238719 SISF Italian Equity € 76.106.325,27 1.048.753,36 72,5684 76,3878 72,5684 1,1500% 21,4300%
LU0106244287 SISF Swiss Equity € 103.209.824,65 1.637.948,88 63,0116 66,3280 63,0116 1,1400% 8,6200%
LU0106244527 SISF UK Equity € 17.161.544,90 3.483.994,95 4,9258 5,1851 4,9258 1,3600% 2,5700%
LU0106235293 SISF Euro Equity € 228.371.217,07 4.162.909,94 54,8586 57,7459 54,8586 1,4600% 16,6400%
LU0106237406 SISF European Smaller Companies € 17.510.400,39 401.074,81 43,6587 45,9565 43,6587 1,5800% 7,5000%
LU0133714401 SISF UK Equity A1 GBP € 1.193.226,00 289.377,73 4,1234 4,2952 4,1234 1,3500% 2,3700%
LU0133716950 SISF Emerging Europe A1 EUR € 13.746.714,63 585.071,99 23,4958 24,4748 23,4958 0,7700% 12,9000%
LU0106817157 SISF Emerging Europe € 297.848.150,72 11.536.253,19 25,8184 27,1773 25,8184 0,7700% 13,1200%
LU0133710243 SISF European Smaller Companies A1 EUR € 12.865.970,71 328.139,77 39,2088 40,8425 39,2088 1,5800% 7,3000%
LU0133712025 SISF Italian Equity A1 EUR € 8.619.157,66 139.934,72 61,5941 64,1605 61,5941 1,1400% 21,0800%
LU0133713858 SISF Swiss Equity A1 CHF € 3.962.651,14 74.231,28 53,3825 55,6068 53,3825 1,1400% 8,3000%
LU0149524034 SISF Swiss Small & Mid Cap Equity € 76.872.576,22 1.397.708,40 54,9990 57,8937 54,9990 0,8900% 8,3300%
LU0149538414 SISF Swiss Small Mid Cap A1 CHF € 7.974.725,81 160.549,73 49,6714 51,7410 49,6714 0,8900% 8,1300%
LU0161304786 SISF European Value A1 EUR € 7.273.782,50 81.999,34 88,7054 92,4015 88,7054 1,6100% 12,8100%
LU0161305163 SISF European Value € 82.076.499,45 841.903,78 97,4892 102,6202 97,4892 1,6200% 13,0300%
LU0246035637 SISF European Special Situations € 123.221.319,09 471.157,02 261,5292 275,2939 261,5292 1,2700% 2,7400%
LU0246036528 SISF European Special Sits A1 EUR € 5.740.871,91 24.073,65 238,4711 248,4074 238,4711 1,2700% 2,5400%
LU0251572144 SISF Emerging Europe USD A1 € 18.821.767,13 715.928,54 26,2900 27,3854 26,2900 0,5400% 22,0400%
LU0251572656 SISF European Smaller Cos USD A1 € 10.380.100,08 235.959,73 43,9910 45,8240 43,9910 1,3500% 15,9800%
LU0319791538 SISF European Dividend Maximiser € 9.214.746,27 78.975,89 116,6780 122,8189 116,6780 1,4100% 11,5200%
LU0319791967 SISF European Div Maxmsr A1 EUR € 2.925.230,12 27.249,63 107,3494 111,8223 107,3494 1,4100% 11,3000%
LU0321371998 Schroder ISF European Dividend Maximiser A Distribution QF € 75.483.641,03 2.410.500,43 31,3145 32,8802 31,3145 1,4100% 9,5600%
Η.Π.Α.
LU0133715804 SISF US Large Cap A1 USD € 156.705.082,35 507.906,77 308,5312 321,3867 308,5312 1,0300% 4,7000%
LU0133716109 SISF US Smaller Companies Impact A1 Acc € 109.732.156,51 529.929,43 207,0694 215,6973 207,0694 0,5000% -3,8500%
LU0106261372 SISF US Large Cap € 321.134.729,62 884.334,26 363,1373 382,2498 363,1373 1,0300% 5,0100%
LU0205193989 SISF US Small Mid-Cap Eq A1 USD € 121.522.939,67 299.589,98 405,6309 422,5322 405,6309 0,4300% -7,8900%
LU0271484924 SISF US Large Cap EUR Hdg A1 € 4.062.197,90 11.986,48 338,8983 353,0191 338,8983 1,0300% 3,9500%
LU0248177338 SISF US Sml Mid-Cap Eq EUR A1 € 6.771.068,27 18.800,54 360,1529 375,1593 360,1529 0,6600% -14,7900%
LU0248185190 SISF US Large Cap € 203.724.497,66 631.871,26 322,4146 339,3838 322,4146 1,2600% -2,8600%
LU0248185273 SISF US Large Cap EUR A1 € 4.516.016,62 16.480,47 274,0223 285,4399 274,0223 1,2600% -3,1400%
LU0334663589 SISF US Small Mid EUR Hg A1 € 2.444.580,70 11.373,84 214,9301 223,8855 214,9301 0,4200% -8,5600%
LU0205194284 Schroder ISF US Small & Mid-Cap Equity A Distribution AV € 6.094.966,54 15.252,77 399,5974 419,5773 399,5974 0,4300% -7,7100%
Ιαπωνίας
LU0106239873 SISF Japanese Equity € 8.280.304.266,08 4.481.691,84 1.847,5845 1.944,8256 1.847,5845 0,7600% 0,1600%
LU0106242315 SISF Japanese Smaller Companies € 1.400.753.525,52 7.508.350,98 186,5594 196,3783 186,5594 0,1800% 0,5900%
LU0133712371 SISF Japanese Equity A1 JPY € 795.453.638,78 513.884,15 1.547,9241 1.612,4210 1.547,9241 0,7600% -0,1400%
LU0133712611 SISF Japanese Smaller Companies A1 JPY € 623.342.862,33 3.712.284,78 167,9135 174,9099 167,9135 0,1800% 0,4000%
LU0236737465 SISF Japanese Equity Hdg € 89.815.556,95 505.268,52 177,7581 187,1138 177,7581 0,7700% 0,6800%
LU0236738604 SISF Japanese Equity EUR Hdg A1 € 4.310.507,57 27.869,13 154,6696 161,1142 154,6696 0,7700% 0,3900%
LU0270819674 SISF Japanese Opportunities A1 JPY € 929.702.899,33 327.797,09 2.836,2146 2.954,3903 2.836,2146 0,2900% -2,9400%
LU0280807784 SISF Japanese Opportunities € 38.050.877,19 1.763.748,38 21,5739 22,7094 21,5739 0,4100% 5,7300%
LU0251570791 SISF Japanese Smaller Cos EUR A1 € 190.014,80 183.732,18 1,0342 1,0773 1,0342 0,5300% 0,9500%
LU0251572730 SISF Japanese Smaller Cos USD A1 € 771.700,78 666.221,57 1,1583 1,2066 1,1583 0,2900% 9,1600%
LU1453624402 SISF Japanese Equity USD € 2.142.953,88 187.719,13 11,4157 11,9865 11,4157 0,8800% 8,9000%
Αναπτυσσόμενες Αγορές
LU0049853897 Schroder ISF Emerging Markets A Distribution AV € 13.399.875,96 977.633,49 13,7064 14,3917 13,7064 0,4800% 8,2400%
LU0106252389 SISF Emerging Markets € 181.656.215,97 9.829.086,87 18,4815 19,4542 18,4815 0,4800% 8,2400%
LU0228659784 SISF BIC (Brazil, India, China) A Acc [USD] € 138.721.446,79 570.002,81 243,3698 256,1787 243,3698 0,3700% 8,7800%
LU0232931963 SISF BIC (Brazil, India, China) A Acc [EUR] € 55.225.245,53 255.007,55 216,5632 227,9612 216,5632 0,5900% 0,6400%
LU0279459456 SISF Global Emerging Market Opportunities € 122.798.711,61 4.942.442,53 24,8458 26,1535 24,8458 0,8000% -0,8200%
LU0248176959 SISF Emerging Markets € 306.266.098,99 18.664.804,66 16,4087 17,2723 16,4087 0,7100% 0,1400%
LU0269904917 SISF Global Emerging Market Opportunities € 124.535.861,30 5.764.161,26 21,6052 22,7423 21,6052 0,5700% 7,2100%
Ασία
LU0048388663 Schroder ISF Asian Opportunities A Distribution AV € 140.351.862,38 8.263.837,28 16,9839 17,8331 16,9839 0,4200% 4,2300%
LU0106259558 SISF Asian Opportunities € 270.226.835,26 11.567.769,09 23,3603 24,5898 23,3603 0,4200% 4,2300%
LU0133713346 SISF Asian Opportunities A1 USD Acc € 44.652.909,47 2.118.338,60 21,0792 21,9575 21,0792 0,4200% 4,0300%
LU0140636845 SISF Greater China € 870.389.835,14 11.482.009,69 75,8047 79,7944 75,8047 1,1600% 7,6200%
LU0161616080 SISF Greater China A1 USD € 35.303.623,12 512.930,47 68,8273 71,6951 68,8273 1,1600% 7,4100%
LU0181495838 SISF Emerging Asia € 515.543.717,17 9.682.681,93 53,2439 56,0462 53,2439 0,3200% 7,4100%
LU0181496216 SISF Emerging Asia A1 USD € 416.440.688,22 8.606.944,42 48,3843 50,4003 48,3843 0,3200% 7,2000%
LU0188438112 SISF Asian Equity Yield € 235.969.235,06 5.547.488,62 42,5362 44,7749 42,5362 0,2400% 7,0700%
LU0188439193 SISF Asian Equity Yield A1USD € 42.682.300,45 1.104.762,66 38,6348 40,2446 38,6348 0,2400% 6,8600%
LU0244355631 SISF China Opportunities A1 USD € 21.148.544,45 62.161,66 340,2185 354,3943 340,2185 1,4000% 10,4400%
LU0248172537 SISF Emerging Asia € 331.253.477,29 6.992.976,33 47,3695 49,8626 47,3695 0,5500% -0,6400%
LU0248174152 SISF Emerging Asia EUR A1 € 9.844.610,67 228.592,96 43,0661 44,8605 43,0661 0,5500% -0,8300%
LU0227179875 SISF Asian Smaller Companies € 7.541.350,07 27.520,40 274,0276 288,4501 274,0276 -0,0100% -4,5800%
LU0227180295 SISF Asian Smaller Companies A1 USD € 1.438.734,22 5.756,09 249,9499 260,3645 249,9499 -0,0100% -4,7600%
LU0244354667 SISF China Opportunities € 474.476.933,52 1.275.405,03 372,0206 391,6006 372,0206 1,4000% 10,6500%
LU0270814014 SISF Taiwanese Equity € 40.764.949,44 1.038.068,35 39,2700 41,3368 39,2700 0,7500% -1,2500%
LU0248179623 SISF Asian Opportunities EUR A1 € 7.796.688,96 415.855,42 18,7486 19,5298 18,7486 0,6500% -3,7600%
LU0248184466 SISF Asian Opportunities € 246.119.178,36 11.861.654,47 20,7491 21,8412 20,7491 0,6500% -3,5800%
LU0264410563 SISF Indian Equity € 174.456.143,86 506.909,86 344,1561 362,2696 344,1561 -1,3100% -0,5700%
LU0264411371 SISF Indian Equity A1 USD € 11.004.119,60 34.845,18 315,8003 328,9587 315,8003 -1,3100% -0,7600%
Κλαδικά
Διεθνή
LU0133703974 SISF Emerging Markets A1 USD € 32.426.330,92 1.962.665,10 16,5216 17,2100 16,5216 0,4800% 8,0400%
LU0203346738 SISF QEP Global Active Value A1 USD € 5.792.492,63 20.380,92 284,2115 296,0537 284,2115 0,8700% 9,3200%
LU0248167537 SISF Global Equity Alpha EUR A1 € 7.317.522,37 21.819,62 335,3643 349,3378 335,3643 1,3800% -0,9700%
LU0248167966 SISF Global Eq Yield EUR A1 EUR € 3.899.705,25 17.983,79 216,8456 225,8808 216,8456 1,0500% 1,5900%
LU0248173188 SISF QEP Global Active Value EUR A1 € 570.264,20 2.255,38 252,8462 263,3815 252,8462 1,1000% 1,1400%
LU0219517496 SISF Global Equity A1 USD € 5.671.192,86 127.312,70 44,5454 46,4015 44,5454 1,2400% 4,0100%
LU0224508324 SISF Global Cities A [USD] € 45.246.473,29 244.343,44 185,1757 194,9218 185,1757 0,4400% 3,0600%
LU0224508837 SISF Global Cities A1 [USD] € 4.951.660,63 29.233,06 169,3857 176,4434 169,3857 0,4400% 2,8600%
LU0224509132 SISF Global Cities A Hdg [EUR] € 20.933.789,12 152.498,88 137,2718 144,4966 137,2718 0,4400% 2,1700%
LU0224509645 SISF Global Cities EUR Hdg A1 [EUR] € 2.248.243,55 17.906,86 125,5521 130,7834 125,5521 0,4400% 1,9800%
LU0225283869 SISF Global Equity Alpha A1 USD € 4.495.845,31 11.940,72 376,5137 392,2018 376,5137 1,1500% 7,0500%
LU0240878594 SISF Global Smaller Cos A1 USD € 3.885.808,51 15.377,11 252,7008 263,2300 252,7008 0,6700% -2,0000%
LU0279460116 SISF Glbl Emerging Mkt Opps EUR A1 € 7.150.984,47 312.897,12 22,8541 23,8064 22,8541 0,7900% -1,0100%
LU0279460892 SISF Global Smaller Cos EUR A1 € 1.564.275,67 6.890,26 227,0271 236,4866 227,0271 0,9000% -9,3300%
LU0279460975 SISF Global Energy EUR A1 € 3.580.965,99 244.654,56 14,6368 15,2467 14,6368 0,2800% -8,0100%
LU0256331488 SISF Global Energy € 80.100.868,02 4.439.856,46 18,0413 18,9908 18,0413 0,0600% -0,3700%
LU0256332296 SISF Global Energy A1 USD € 57.311.091,21 3.466.128,62 16,5346 17,2235 16,5346 0,0600% -0,5600%
LU0269905484 SISF Global Emgng Mkt Opps A1 USD € 23.821.579,64 1.199.549,44 19,8588 20,6863 19,8588 0,5700% 7,0000%
LU0302445910 SISF Glbl Climate Change Eq USD A € 448.235.065,39 17.979.744,83 24,9300 26,2421 24,9300 1,0500% 5,8400%
LU0302446645 SISF Global Climate Change Equity € 288.852.433,96 9.643.472,07 29,9532 31,5297 29,9532 1,2800% -2,0800%
LU0306805531 SISF Glbl Climate Change Eq EUR Hdg A1 € 12.740.344,42 721.581,21 17,6561 18,3918 17,6561 1,0400% 4,6700%
LU0308882272 SISF Global Div Maximiser A1 USD € 7.245.542,79 501.957,62 14,4346 15,0360 14,4346 0,7600% 9,8500%
LU0306807586 Schroder ISF Global Dividend Maximiser A Distribution QF € 162.616.763,24 39.337.542,45 4,1339 4,3406 4,1339 0,7600% 8,1300%
LU0240878834 Schroder ISF Global Smaller Companies A Distribution AV € 826.245,88 3.476,02 237,6988 249,5837 237,6988 0,6700% -1,8100%
LU0562314046 Schroder ISF Frontier Markets Equity USD A1 ACC € 18.340.150,00 75.886,87 241,6775 251,3446 241,6775 0,3400% 5,0000%
LU2407913743 Schroder ISF Frontier Markets Equity EUR A ACC € 8.770.365,78 63.742,34 137,5909 144,4704 137,5909 0,5700% -2,6800%
LU2407913826 Schroder ISF Frontier Markets Equity EUR A1 ACC € 829.355,46 6.128,61 135,3252 140,7382 135,3252 0,5600% -2,8600%
Ευρώπης
LU0133706308 SISF EURO Equity A1 EUR € 19.245.731,47 393.187,41 48,9480 50,9875 48,9480 1,4600% 16,4100%
LU0150928074 SISF EURO Eqt (USD denominated) A1 USD € 4.724.453,12 85.983,91 54,9458 57,2352 54,9458 1,2300% 25,8900%

Α/Κ Schroder Invest.Mngnt (Lux) S.A. :Ομολογιακά Α/Κ

LU0428345051 SISF EURO Corporate Bond USD Hd A Acc € 49.769.086,62 246.947,34 201,5372 207,5833 201,5372 0,2100% 1,5300%
LU0476445340 SISF Emerging Markets Debt Total Return A Acc CHF Hdg [CHF] € 298.795,57 15.329,11 19,4920 20,0768 19,4920 0,2900% 3,2400%
LU0491680806 SISF Emerging Markets Debt Total Return A Acc AUD Hdg [AUD] € 161.828,79 1.332,18 121,4767 125,1210 121,4767 0,2900% 4,7600%
LU0491680988 SISF Global Corporate Bond AUD Hdg A Acc € 4.861.766,97 26.825,58 181,2362 186,6733 181,2362 0,4100% 1,0100%
LU0575582027 SISF Global Credit High Income A Acc USD € 4.115.102,56 25.121,22 163,8098 168,7241 163,8098 0,4000% 3,3300%
LU0579528497 SISF EURO Corporate Bond CHF Hd A Acc € 57.189.057,32 435.060,31 131,4509 135,3944 131,4509 0,2100% -0,0600%
LU0592039324 SISF Global Credit High Income A Acc Eur Hdg € 5.447.342,11 40.777,50 133,5870 137,5946 133,5870 0,4000% 2,5800%
LU0607220562 SISF EURO Corporate Bond EUR Dur Hd A Acc € 6.551.996,44 304.911,37 21,4882 22,1328 21,4882 0,0800% 1,4500%
LU0665709241 SISF Emerging Markets Debt Total Return A Acc SEK Hdg [SEK] € 60.185,28 66,81 900,8423 927,8676 900,8423 0,2900% 3,9800%
LU0665709753 SISF Strategic Bond SEK Hdg A Acc € 487.863,72 466,32 1.046,1994 1.077,5854 1.046,1994 0,2000% 1,7200%
LU0694808618 SISF Global Bond EUR HDG A Acc € 15.896.418,47 1.491.360,21 10,6590 10,9788 10,6590 0,0900% 0,2100%
LU0795632180 SISF Emerging Market Bond A Acc € 6.115.826,43 47.593,23 128,5020 132,3571 128,5020 0,4000% 3,5600%
LU0795633584 SISF Emerging Market Bond EUR Hdg A Acc € 2.833.740,08 27.166,07 104,3117 107,4411 104,3117 0,3900% 2,8200%
LU0795634988 SISF Emerging Market Corporate Bond A Acc € 1.881.423,15 13.814,43 136,1926 140,2784 136,1926 0,5100% 2,4300%
LU0795636256 SISF Emerging Market Corporate Bond EUR Hdg A Acc € 1.723.837,50 15.438,40 111,6591 115,0089 111,6591 0,5000% 1,7500%
LU0845699254 SISF CHINA LOCAL CURRENCY BOND A ACC [EUR] € 18.786.779,35 132.478,62 141,8099 146,0642 141,8099 0,0900% -6,0900%
LU0845699502 SISF CHINA LOCAL CURRENCY BOND A ACC [USD] € 600.994,14 4.811,16 124,9167 128,6642 124,9167 -0,1400% 1,5100%
LU0849399786 SISF EURO High Yield A Acc € 360.245.416,76 2.054.334,90 175,3587 180,6195 175,3587 0,1300% 1,9100%
LU0890606485 SISF Global Bond USD HDG A Acc € 4.518.687,79 25.642,67 176,2175 181,5040 176,2175 0,1000% 0,8700%
LU0894412930 SISF Sustainable Global Sovereign Bond A Acc Hdg [USD] € 2.575.346,49 19.272,10 133,6308 137,6397 133,6308 0,1700% 0,4300%
LU0894413409 SISF Sustainable Global Sovereign Bond A Acc [EUR] € 2.861.768,07 25.831,18 110,7874 114,1110 110,7874 0,1600% -0,2400%
LU1514168969 SISF-Global Credit Income-AIAUDH FC € 214.260.980,70 1.797.234,74 119,2170 122,7935 119,2170 0,2000% 0,1300%
LU1514168530 SISF-Global Credit Income-AIGBPH MF € 75.763.637,53 886.022,39 85,5098 88,0751 85,5098 0,2000% 0,5400%
LU0106253197 SISF Emerging Markets Debt Total Return A Acc USD [USD] € 26.037.576,26 912.194,40 28,5439 29,4267 28,5439 0,2900% 4,9400%
LU0106256372 SISF Global Bond € 18.097.445,88 1.592.399,26 11,3649 11,7164 11,3649 0,0400% 3,9800%
LU0106258311 SISF Global Corporate Bond € 187.034.529,66 14.454.505,79 12,9395 13,3397 12,9395 0,4000% 1,1400%
LU0106234643 SISF Euro Short Term Bond € 75.607.490,75 10.300.222,00 7,3404 7,5674 7,3404 0,0700% 1,2600%
LU0106235533 SISF Euro Bond € 206.994.800,16 10.458.927,35 19,7912 20,4033 19,7912 0,2400% 0,3500%
LU0106235962 SISF Euro Government Bond € 166.270.562,43 15.432.913,98 10,7738 11,1070 10,7738 0,2900% 0,0800%
LU0133715127 SISF US Dollar Bond A1 USD € 25.643.364,22 1.227.813,14 20,8854 21,3116 20,8854 0,4500% 1,4800%
LU0133717412 SISF Inflation Plus A1 Acc EUR € 3.060.470,93 152.525,08 20,0654 20,6860 20,0654 0,2900% 3,4600%
LU0133717503 SISF EURO Corporate Bond A1 EUR € 109.789.767,16 5.061.148,01 21,6927 22,1354 21,6927 0,2000% 0,7100%
LU0106260564 SISF US Dollar Bond € 70.136.294,87 2.953.955,35 23,7432 24,4775 23,7432 0,4500% 1,7000%
LU0113257694 SISF Euro Corporate Bond € 3.343.411.310,96 139.324.014,94 23,9974 24,7396 23,9974 0,2000% 0,8800%
LU0133703115 SISF Asian Bond Total Return A1 Acc [USD] € 41.464.209,91 2.744.996,52 15,1054 15,4137 15,1054 0,1800% 1,1900%
LU0133705839 SISF Emerging Markets Debt Total Return A1 Acc USD [USD] € 21.456.605,19 810.160,84 26,4844 27,0249 26,4844 0,2900% 4,7800%
LU0133706050 SISF EURO Bond A1 EUR € 11.608.881,27 663.614,81 17,4934 17,8504 17,4934 0,2400% 0,1400%
LU0133706993 SISF Euro Short Term Bond A1 EUR € 2.769.694,09 421.405,36 6,5725 6,7066 6,5725 0,0700% 1,0700%
LU0133707454 SISF EURO Government Bond A1 EUR € 7.578.471,02 795.852,95 9,5225 9,7168 9,5225 0,2900% -0,1300%
LU0133710755 SISF Global Bond A1 USD € 7.144.259,84 708.699,57 10,0808 10,2865 10,0808 0,0400% 3,7600%
LU0133711647 SISF Global Corporate Bond A1 USD € 70.719.349,94 6.042.888,14 11,7029 11,9417 11,7029 0,4000% 0,9700%
LU0201322137 SISF Strategic Bond € 24.701.727,38 152.589,29 161,8838 166,8905 161,8838 0,2100% 2,5800%
LU0201323028 SISF Strategic Bond A1 USD € 2.972.428,64 20.128,39 147,6734 150,6871 147,6734 0,2000% 2,4000%
LU0201323531 SISF Strategic Bond Hdg € 15.342.972,64 119.572,88 128,3148 132,2833 128,3148 0,2000% 1,8600%
LU0201324000 SISF Strategic Bond EUR Hdg A1 € 6.921.951,38 59.117,38 117,0883 119,4778 117,0883 0,2000% 1,7000%
LU0201324851 SISF Global Corporate Bond Hdg € 84.030.220,63 532.515,62 157,7986 162,6790 157,7986 0,4000% 0,4300%
LU0206453341 SISF Global High Yld EUR Hdg A1 € 8.583.876,92 44.677,50 192,1298 196,0508 192,1298 0,2700% 0,5900%
LU0150927696 SISF EURO Bond (USD denominated) A1 USD € 1.593.097,48 80.895,75 19,6932 20,0951 19,6932 0,0100% 8,2400%
LU0177592218 SISF Emerging Markets Debt Total Return A Acc EUR Hdg [EUR] € 18.055.880,32 726.918,88 24,8389 25,6071 24,8389 0,2900% 4,1400%
LU0180781048 SISF Global Inflation Linked Bond € 95.278.393,68 3.417.023,93 27,8834 28,7458 27,8834 0,2700% 0,0100%
LU0180781477 SISF Global Inf Lkd Bd A1 EUR € 11.404.083,39 459.421,95 24,8227 25,3293 24,8227 0,2700% -0,2000%
LU0186875935 SISF Emerging Markets Debt Total Return A1 Acc EUR Hdg [EUR] € 3.918.763,50 169.490,89 23,1208 23,5927 23,1208 0,2900% 3,9800%
LU0188096647 SISF Global Inf Lkd Bd USD Hdg € 26.790.866,70 786.453,30 34,0654 35,1190 34,0654 0,2800% 0,6400%
LU0189893018 SISF Global High Yield € 69.647.871,60 1.192.037,74 58,4276 60,2346 58,4276 0,2700% 1,4500%
LU0189894172 SISF Global High Yld A1 USD € 25.941.908,51 486.159,66 53,3609 54,4499 53,3609 0,2700% 1,2700%
LU0189894842 SISF Global High Yield Hdg € 50.921.844,03 1.112.749,55 45,7622 47,1775 45,7622 0,2700% 0,7600%
LU0225285054 SISF Global Equity Yield A1 USD € 17.493.335,65 71.889,07 243,3379 253,4770 243,3379 0,8200% 9,8100%
LU0291343597 SISF US Dollar Bond EUR Hdg € 29.259.552,96 220.177,61 132,8907 137,0007 132,8907 0,4400% 0,9400%
LU0248179540 SISF Global Corp Bond EUR Hdg A1 € 9.533.744,39 66.875,91 142,5587 145,4681 142,5587 0,4000% 0,2500%
LU0251569942 SISF Asian Bond Total Return Eur A1 Acc [EUR] € 866.169,96 64.642,10 13,3995 13,6730 13,3995 0,4100% -6,3800%
LU0251571252 SISF Inflation Plus A1 Acc USD € 64.214,21 2.845,69 22,5654 23,2633 22,5654 0,0600% 11,8300%
LU0327381843 SISF Asian Bond Total Return Eur Hdg A Acc [EUR] € 3.066.853,26 26.994,56 113,6100 117,1237 113,6100 0,1700% 0,6500%
LU0327382148 SISF Asian Bond Total Return Eur Hdg A1 Acc [EUR] € 142.362,92 1.333,26 106,7781 108,9572 106,7781 0,1700% 0,5000%
LU0425487740 SISF EURO CORPORATE BOND A DIS SF € 1.259.508.381,60 83.652.423,85 15,0564 15,5081 15,0564 0,2000% 0,8800%
LU0106250508 SISF Asian Bond Total Return A Acc [USD] € 35.364.831,45 2.175.666,23 16,2547 16,7423 16,2547 0,1800% 1,3500%
LU0093472081 Schroder ISF EURO Bond A Distribution QF € 34.546.171,09 4.710.700,65 7,3336 7,5536 7,3336 0,2400% -0,3800%
LU0053903893 Schroder ISF EURO Government Bond A Distribution AV € 20.613.222,67 3.609.157,25 5,7114 5,8827 5,7114 0,3000% 0,0800%
LU0053903380 Schroder ISF Global Corporate Bond A Distribution MV € 114.102.409,46 22.188.646,06 5,1424 5,2967 5,1424 0,4100% -0,2400%
LU1737068558 SCHRODER ISF-Global Credit Income-AA USD € 419.958.897,72 3.103.142,96 135,3334 139,3934 135,3334 0,2000% 2,4000%
LU1514167722 SCHRODER ISF-Global Credit Income-AA EUR H € 363.012.467,12 3.232.707,40 112,2936 115,6624 112,2936 0,1900% 1,7000%
LU1514167136 Schroder ISF Global Credit Income A Distribution MF € 1.597.542.905,50 18.488.674,66 86,4066 88,9988 86,4066 0,2000% 0,2000%
LU1514168027 Schroder ISF Global Credit Income A Distribution EUR Hedged QF € 136.775.915,57 1.649.417,10 82,9238 85,4115 82,9238 0,1900% 0,5300%

Α/Κ Schroder Invest.Mngnt (Lux) S.A. :Διαχείρισης Διαθεσίμων Α/Κ

LU0135992385 SISF Euro Liquidity A1 EUR € 27.136.350,81 227.916,63 119,0626 119,0626 119,0626 0,0100% 0,9400%
LU0135992468 SISF US Dollar Liquidity A1 USD € 34.710.279,67 288.068,05 120,4933 120,4933 120,4933 0,0100% 1,5100%
LU0136043394 SISF Euro Liquidity € 285.226.330,74 2.286.284,99 124,7554 124,7554 124,7554 0,0100% 0,9400%
LU0136043808 SISF US Dollar Liquidity € 219.338.690,45 1.763.762,43 124,3584 124,3584 124,3584 0,0100% 1,5100%

Α/Κ Schroder Invest.Mngnt (Lux) S.A. :Μικτά Α/Κ

LU0757359368 SISF Global Multi-Asset Income A Acc € 47.908.653,83 319.330,30 150,0285 157,5299 150,0285 0,5100% 4,1600%
LU0757360457 SISF Global Multi-Asset Income EUR HDG A Acc € 18.892.451,89 154.139,86 122,5669 128,6952 122,5669 0,5000% 3,3900%
LU0776410689 SISF Global Diversified Growth A Acc € 12.669.824,34 87.858,74 144,2068 151,4171 144,2068 0,1600% -0,3300%
LU0776411653 SISF Global Diversified Growth CHF Hdg A Acc € 246.587,28 1.988,36 124,0154 130,2162 124,0154 0,1700% -1,3000%
LU0776412461 SISF Global Diversified Growth USD Hdg A Acc € 1.173.825,87 7.001,23 167,6599 176,0429 167,6599 0,1700% 0,2700%
LU0776414087 SISF Global Multi -Asset Balanced A Acc [EUR] € 173.874.974,42 1.106.280,01 157,1709 163,4577 157,1709 0,6400% 3,3800%
LU0776415050 SISF GLOBAL MULTI - ASSET BALANCED CHF HDG A ACC € 15.612.242,49 124.947,87 124,9500 129,9480 124,9500 0,6400% 2,4900%
LU0776415308 SISF GLOBAL MULTI - ASSET BALANCED SEK HDG A ACC € 124.717.185,30 87.045,82 1.432,7763 1.490,0874 1.432,7763 0,6400% 3,0200%
LU0903425840 SISFGlobal Multi-Asset Income GBP HDG A Acc € 33.124.373,30 239.999,19 138,0187 144,9196 138,0187 0,5100% 4,0300%
LU2097343540 SISF-Sustainable Multi-Asset Income-A EUR INC € 15.628.655,10 181.651,04 86,0367 90,3385 86,0367 0,6100% -0,3000%
LU1900986727 Schroder ISF-GLOBAL TARGET RETURN-A EUR ACC € 8.071.918,02 77.451,53 104,2190 108,3878 104,2190 0,4800% 1,7700%
LU2097344431 SISF Sustainable Multi-Asset Income-A USD INC € 14.446.485,06 164.501,81 87,8196 92,2106 87,8196 0,6100% -0,1800%
LU0107768052 SISF Inflation Plus A Acc EUR € 22.645.462,96 1.042.440,63 21,7235 22,6286 21,7235 0,2900% 3,6600%
LU0776410762 SISF Global Diversified Growth Fund € 2.076.661,44 15.732,09 132,0016 137,5017 132,0016 0,1600% -0,5200%
LU0776414160 SISF Global Multi -Asset Balanced A1 Acc [EUR] € 14.225.386,06 97.896,08 145,3111 149,8053 145,3111 0,6400% 3,1800%
LU0776416371 SISF Global Multi-Asset Growth and Income A1 Acc [USD] € 18.820.558,70 81.679,77 230,4189 237,5452 230,4189 0,5300% 6,0100%
LU0757359525 SISF GLOBAL MULTI-ASSET INCOME € 17.093.209,76 121.663,55 140,4957 146,1155 140,4957 0,5100% 3,9600%
LU1196710195 SISF-Emerging Markets Multi-Asset A Acc [USD] € 3.445.661,34 28.900,54 119,2248 125,1860 119,2248 0,3300% 6,5300%
LU1469675745 SISF-Emerging Markets Multi-Asset A EUR Hedged [EUR] € 6.458.440,84 121.443,94 53,1804 55,8394 53,1804 0,3200% 4,3800%

Α/Κ Schroder Invest.Mngnt (Lux) S.A. :Specialist Portfolios

LU0352096621 SISF Asian Convertible Bond EUR Hdg A Acc € 5.868.982,11 39.023,39 150,3965 154,9084 150,3965 0,4200% 8,4900%
LU0352097439 SISF Global Convertible Bond EUR Hdg A Acc € 38.850.534,43 265.578,38 146,2865 150,6751 146,2865 0,1100% 3,9000%
LU0484518021 SISF Global Convertible Bond CHF Hdg A Acc € 7.418.084,28 53.692,75 138,1580 142,3027 138,1580 0,1200% 3,0100%
LU0489877026 SISF Asian Convertible Bond GBP Hdg A Acc € 36.714,00 208,31 176,2469 181,5343 176,2469 0,4300% 9,1900%
LU0489880327 SISF Global Convertible Bond GBP Hdg A Acc € 327.052,55 1.864,49 175,4113 180,6736 175,4113 0,1200% 4,5400%
LU0494083826 SISF Asian Convertible Bond CHF Hdg A Acc € 1.446.080,15 10.785,90 134,0713 138,0934 134,0713 0,4300% 7,6200%
LU0232504117 SAS Commodity Fund A Acc USD € 98.905.024,52 1.132.771,14 87,3100 91,9053 87,3100 0,4300% 5,8300%
LU0351440481 SISF Asian Convertible Bond € 4.227.326,86 23.180,77 182,3635 188,0036 182,3635 0,4300% 9,4400%
LU0351440994 SISF Asian Convertible Bond A1 USD € 1.812.012,66 10.587,91 171,1398 174,6324 171,1398 0,4300% 9,2500%
LU0351442180 SISF Global Convertible Bond € 40.208.132,39 222.259,56 180,9062 186,5012 180,9062 0,1200% 4,6800%
LU0351442420 SISF Global Convertible Bond A1 USD € 14.659.797,98 86.477,85 169,5208 172,9804 169,5208 0,1200% 4,5000%
LU0352096894 SISF Asian Convertible Bond EUR Hdg A1 € 3.219.194,31 22.812,85 141,1132 143,9931 141,1132 0,4200% 8,3000%
LU0352097603 SISF GlobalConvertibleBond EURHdgA1 € 3.526.253,28 25.725,80 137,0707 139,8681 137,0707 0,1100% 3,7200%
LU0233036713 SAS Commodity Fund EUR Hdg A Acc € 3.914.145,05 61.435,82 63,7100 67,0632 63,7100 0,4100% 4,9900%
LU0256322222 SAS Commodity Fund GBP Hdg A Acc € 322.477,64 4.836,75 66,6700 70,1789 66,6700 0,4200% 5,7100%

AK BNP Paribas Investment Partners:Ομολογιακά Α/Κ

LU1080341495 BNP PARIBAS FLEXI I US MORTGAGE CLASSIC H EUR-ACC € 521.241,42 496,71 1.049,3900 1.080,8717 1.049,3900 0,0000% 0,9700%
LU1080341065 BNP PARIBAS FLEXI I US MORTGAGE ACC € 1.513.506,22 903,36 1.675,4100 1.725,6723 1.675,4100 0,0000% 1,6200%
LU1080341149 BNP PARIBAS FLEXI I US MORTGAGE CLASSIC-DIS € 810.108,60 11.275,00 71,8500 74,0055 71,8500 0,0000% -3,8700%

AK BNP Paribas Insticash:Μετοχικά Α/Κ

LU1165135440 BNP Paribas Aqua [EUR] € 1.073.567.627,09 4.769.296,19 225,1000 231,8530 225,1000 -0,5000% 1,5000%
LU0347711466 BNP Paribas Global Environment [EUR] € 453.285.777,53 1.420.290,70 319,1500 328,7245 319,1500 0,0000% -1,3100%

AK BNP Paribas Insticash:Ομολογιακά Α/Κ

LU1620156999 BNP Paribas Green Bond [EUR] € 98.313.021,00 1.096.686,64 89,6500 92,3395 89,6500 0,0100% 0,2000%
LU1819948784 BNP Paribas Funds Sustainable Enhanced Bond 12M € 326.442.786,75 3.044.458,26 107,2300 107,2300 107,2300 0,0200% 1,1000%

AK BNP Paribas Insticash:Διαχείρισης Διαθεσίμων Α/Κ

LU0547770783 BNP PARIBAS INSTICASH EUR 1D Classic T1-C [EUR] € 181.798.044,91 1.739.604,00 104,5054 104,5054 104,5054 0,0100% 0,9000%
LU0423950210 BNP PARIBAS INSTICASH EUR 3M [EUR] € 2.806.655.211,10 26.219.661,40 107,0439 107,0439 107,0439 0,0100% 1,0000%
LU0783285413 BNP PARIBAS INSTICASH USD 1D LVNAV € 385.165.962,66 3.169.675,34 121,5159 121,5159 121,5159 0,0100% 1,6000%
LU0167237972 BNP PARIBAS INSTICASH EUR 1D Privilege-C [EUR] € 444.242.254,92 3.567.210,91 124,5349 124,5349 124,5349 0,0100% 1,0000%
LU0167239168 BNP Paribas InstiCash 1D USD LVNAV Privilege-CAP [USD] € 217.911.851,76 1.492.369,59 146,0173 146,0173 146,0173 0,0100% 1,7000%
LU0167237543 BNP PARIBAS INSTICASH EUR 1D Classic C [EUR] € 1.724.024.176,22 14.165.889,58 121,7025 121,7025 121,7025 0,0000% 0,9000%
LU0783285769 BNPP INSTICASH GBP 1D LVNAV € 3.487.272,25 3.486.980,64 1,0000 1,0000 1,0000 0,0000% 0,0000%

AK Parvest Funds:Μετοχικά Α/Κ

LU0154245756 BNP Paribas US Mid Cap [USD] € 30.411.505,12 86.560,97 351,3300 361,8699 351,3300 -0,2900% -1,0000%
LU0111491469 BNP Paribas Europe Dividend [EUR] € 34.535.142,27 259.545,64 133,0600 139,7130 133,0600 0,0000% 7,8400%
LU0265266980 BNP Paribas Brazil Equity [USD] € 74.571.019,63 903.343,67 82,5500 86,6775 82,5500 0,0000% 27,9100%
LU0265293521 BNP Paribas Turkey Equity [EUR] € 24.202.285,40 90.648,66 266,9900 280,3395 266,9900 0,0000% -18,9800%
LU0406802339 BNP Paribas Climate Change Classic Cap [EUR] € 1.168.305.480,64 4.560.165,92 256,2000 269,0100 256,2000 -0,8700% -3,8000%
LU0823397368 BNP Paribas Asia Ex-Japan Equity [EUR] € 76.804.948,77 104.623,05 734,1100 770,8155 734,1100 -1,3800% -1,3000%
LU0823399810 BNP Paribas Europe Equity [EUR] € 349.687.391,71 1.122.795,56 311,4400 327,0120 311,4400 0,2500% 9,0000%
LU0823413587 BNP Paribas Emerging Equity [USD] € 61.674.023,13 96.164,32 641,3400 673,4070 641,3400 0,0000% 9,2400%
LU0823426308 BNP Paribas China Equity [USD] € 91.075.601,52 208.087,19 437,6800 459,5640 437,6800 0,0000% 15,6200%
LU0823428932 BNP Paribas India Equity [USD] € 81.057.051,98 357.567,83 226,6900 238,0245 226,6900 0,0000% 2,6400%
Γεωγραφικά
Διεθνή
LU0194438338 BNP JAPAN EQUITY CLASSIC H E € 79.736.804,00 489.813,90 162,7900 167,6737 162,7900 0,0000% 2,8400%
Η.Π.Α.
LU1458427785 BNP Paribas Sustainable US Value Multi-Factor Equity [USD] € 31.787.924,15 145.355,31 218,6900 221,9703 218,6900 0,3800% 4,3000%
LU1956163023 BNP Paribas Sustainable US Multi-Factor Equity [USD] € 235.021.220,09 956.069,09 245,8200 253,1946 245,8200 0,4000% 2,9000%
Κλαδικά
Διεθνή
LU0823414478 BNP PARIBAS ENERGY TRANSITION Classic USD Capitalisation € 326.796.423,62 5.123.003,98 63,7900 65,7037 63,7900 0,0000% 10,1900%
LU0823421333 BNP Paribas Disruptive Technology € 136.239.512,83 47.893,07 2.844,6600 2.929,9998 2.844,6600 0,0000% 0,8600%
LU0823421689 BNP Paribas Disruptive Technology € 1.760.639.088,90 693.113,15 2.540,1900 2.616,3957 2.540,1900 0,0000% -6,3800%
LU0823411706 BNP Paribas Consumer Innovators € 399.434.308,91 1.180.431,20 338,3800 348,5314 338,3800 0,0000% -8,3200%
LU0823416762 BNP Paribas Health Care Innovators € 1.247.808.637,35 816.814,84 1.527,6500 1.573,4795 1.527,6500 0,3400% -10,9000%
LU1721428347 BNP Paribas Climate Change Classic [USD] € 11.653.879,66 83.312,91 139,8800 144,0764 139,8800 0,0000% 4,6000%
LU1165136174 BNP Paribas Inclusive Growth Classic Acc € 300.406.868,26 1.779.634,32 168,8000 173,8640 168,8000 -0,4800% -1,0000%
LU1165136257 BNP Paribas Inclusive Growth Classic Inc € 3.577.688,48 23.018,33 155,4300 160,0929 155,4300 -0,4800% -2,8000%

AK Parvest Funds:Ομολογιακά Α/Κ

LU2536822138 BNP PARIBAS A FUND Global Bond Portfolio 2025 € 21.828.112,74 217.788,52 100,2300 103,2369 99,2277 0,0300% -0,5000%
LU1956132143 BNP Paribas Global Income Bond Classic RH EUR Acc [EUR] € 69.452.093,26 168.183,29 412,9500 425,3385 412,9500 -0,0100% 2,1000%
LU0325598166 BNP Paribas Enhanced Bond 6M [EUR] € 295.220.529,86 2.526.916,54 116,8300 120,3349 116,8300 0,0300% 1,2000%
LU0075938133 BNP Paribas Euro Bond [EUR] € 97.906.389,22 483.049,35 202,6800 212,8140 202,6800 0,0200% 0,0000%
LU0086913042 BNP Paribas Europe Convertible [EUR] € 34.953.827,75 206.643,97 169,1500 177,6075 169,1500 0,0000% 11,1200%
LU0086914362 BNP Paribas Euro Medium Term Income Bond [EUR] € 105.501.691,08 583.688,47 180,7500 189,7875 180,7500 0,0000% 1,0900%
LU0111548326 BNP Paribas Euro Government Bond [EUR] € 223.718.804,40 610.736,27 366,3100 384,6255 366,3100 0,0000% 0,0600%
LU0111549480 BNP Paribas US High Yield Bond [USD] € 11.976.093,89 39.193,92 305,5600 320,8380 305,5600 0,0000% 2,3900%
LU0111547609 BNP Paribas Euro Government Bond Classic Distribution € 7.082.425,91 72.992,13 97,0300 99,9409 97,0300 0,0000% -2,6500%
LU0265288877 BNP Paribas Sustainable Euro Corporate Bond [EUR] € 376.962.566,37 12.967.408,54 29,0700 30,5235 29,0700 0,0000% 0,4500%
LU0265291665 BNP PARIBAS EUROPE SMALL CAP CONVERTIBLE € 55.942.173,38 296.281,49 188,8100 198,2505 188,8100 0,0300% 2,9000%
LU0823380802 BNP Paribas Euro High Yield Bond [EUR] € 58.996.884,05 240.762,48 245,0400 257,2920 245,0400 -0,0400% 1,3000%
LU0823386163 BNP Paribas Local Emerging Bond [USD] € 10.163.796,84 78.134,15 130,0800 136,5840 130,0800 0,7000% 9,1000%
LU0823394852 BNP Paribas Global Convertible [EUR] € 74.223.712,27 388.826,10 190,8900 200,4345 190,8900 -0,0900% 4,7000%
LU2355554416 BNP Paribas Euro Flexible Bond Classic Cap Fund[EUR] € 74.617.803,84 718.636,41 103,8300 106,9449 103,8300 0,0100% 0,4000%

AK Parvest Funds:Διαχείρισης Διαθεσίμων Α/Κ

LU0012186622 BNP Paribas USD Money Market € 624.911.787,82 2.496.215,14 250,3437 262,8609 250,3437 0,0000% 1,5500%
LU0083138064 BNP Paribas Euro Money Market [EUR] € 2.548.263.969,94 11.535.361,06 220,9089 231,9543 220,9089 0,0000% 0,9000%

AK Parvest Funds:Μικτά Α/Κ

LU1104110066 BNP Target Risk Balanced C RH USD A € 43.877,34 430,49 101,9200 104,9776 101,9200 0,2100% -1,2000%
LU0089291651 BNP Paribas Target Risk Balanced [EUR] € 123.278.400,02 493.706,05 249,7000 257,1910 249,7000 0,0000% -1,9600%
LU1104110140 BNP Target Risk Balanced RHUSDMD € 68.715,51 776,54 88,4900 91,1447 88,4900 0,1900% -3,3000%
LU0089290844 BNP Paribas Target Risk Balanced [EUR] € 19.435.038,94 202.342,94 96,0500 98,9315 96,0500 0,0000% -4,9900%
LU1956154386 BNP Paribas Sustainable Multi-Asset Balanced Classic-CAP € 305.789.725,07 1.256.213,12 243,4200 250,7226 243,4200 0,5200% -1,6000%

AK Parvest Funds:Specialist Portfolios

LU1931956285 BNP Paribas Flexi I Commodities € 15.970.016,92 220.286,97 72,5000 74,6750 72,5000 -0,5800% 2,8000%
LU1931957093 BNP Paribas Flexi I Commodities € 95.159.137,46 1.570.327,96 60,6000 62,4180 60,6000 -0,5900% 1,9000%

A/K Amundi:Μετοχικά Α/Κ

LU0201575346 AMUNDI FUNDS LATIN AMERICA EQUITY A ACC. USD € 91.709.067,71 64.892,87 566,6700 592,1701 566,6700 1,4000% 28,7000%
LU0236501697 AMUNDI FUNDS SBI FM INDIA EQUITY A ACC. USD € 1.018.058.916,71 109.800,15 413,3900 431,9925 413,3900 0,2000% 3,3000%
LU0248702192 AMUNDI FUNDS JAPAN EQUITY VALUE A2 ACC. JPY € 12.889.317.210,00 234.995,43 19.706,0000 20.592,7700 19.706,0000 -0,1000% 0,3000%
LU0319685854 AMUNDI FUNDS EMERGING MARKETS EQUITY FOCUS A ACC. USD € 2.880.142.281,61 251.686,26 135,9100 142,0259 135,9100 0,0000% 10,4000%
LU0347592197 AMUNDI FUNDS EMERGING WORLD EQUITY A ACC. USD € 1.243.729.419,17 285.559,86 130,0200 135,8709 130,0200 -0,1000% 11,1000%
LU0552028184 AMUNDI FUNDS EMERGING MARKETS EQUITY FOCUS A ACC. EUR € 2.880.142.281,61 1.630.135,62 165,0400 172,4668 165,0400 -0,9000% 1,6000%
LU0552029232 AMUNDI FUNDS SBI FM INDIA EQUITY A ACC. EUR € 1.018.058.916,71 615.880,33 260,6200 272,3479 260,6200 -0,7000% -4,9000%
LU0552029406 AMUNDI FUNDS LATIN AMERICA EQUITY A ACC. EUR € 91.709.067,71 77.840,77 91,6000 95,7220 91,6000 0,5000% 18,4000%
LU0557854147 AMUNDI FUNDS ASIA EQUITY FOCUS A ACC. [EUR] € 158.004.756,83 174.659,83 171,4300 179,1444 171,4300 -1,4000% -2,9000%
LU0557858130 AMUNDI FUNDS EMERGING WORLD EQUITY A ACC. EUR € 1.243.729.419,17 592.820,15 159,7900 166,9805 159,7900 -1,0000% 2,2000%
LU0557866588 AMUNDI FUNDS JAPAN EQUITY VALUE A2 ACC. EUR € 12.889.317.210,00 11.293,70 230,0200 240,3709 230,0200 -0,3000% 0,4000%
LU0568583008 AMUNDI FUNDS EQUITY JAPAN TARGET A ACC. JPY € 33.849.888.835,00 22.110,49 35.590,3200 37.191,8844 35.590,3200 0,0000% 1,4000%
LU0568583420 AMUNDI FUNDS EQUITY JAPAN TARGET A ACC. EUR € 33.849.888.835,00 187.031,65 254,6100 266,0675 254,6100 -0,2000% 1,4000%
LU0568583933 AMUNDI FUNDS EQUITY JAPAN TARGET A ACC. EUR HGD € 33.849.888.835,00 115.853,30 347,9700 363,6287 347,9700 0,0000% 2,3000%
LU0568607203 AMUNDI FUNDS EUROLAND EQUITY SMALL CAP SELECT A ACC. [EUR] € 416.587.447,62 455.151,22 241,4900 252,3571 241,4900 0,2000% 15,5000%
LU0569690471 AMUNDI FUNDS EQUITY MENA A ACC. EUR HGD € 42.932.688,61 3.364,69 192,1200 200,7654 192,1200 0,0000% 0,8000%
LU0613075240 AMUNDI FUNDS EMERGING MARKETS EQUITY FOCUS A ACC. EUR HDG € 2.880.142.281,61 383.518,25 108,2800 113,1526 108,2800 0,0000% 9,3000%
LU0755949848 AMUNDI FUNDS EUROPEAN EQUITY CONSERVATIVE A ACC. EUR € 694.478.457,33 1.473.284,69 228,9600 239,2632 228,9600 0,3000% 10,2000%
LU0801842559 AMUNDI FUNDS GLOBAL EQUITY CONSERVATIVE A ACC. USD € 340.100.090,40 105.577,97 248,4600 259,6407 248,4600 0,7000% 8,9000%
LU0119085271 AMUNDI FUNDS ASIA EQUITY FOCUS A ACC. [USD] € 158.004.756,83 782.299,45 37,8600 39,5637 37,8600 -0,6000% 5,5000%
LU0389811372 AMUNDI INDEX MSCI EMU € 58.790.952,70 217.159,07 271,3200 283,5294 271,3200 0,3000% 11,3000%
LU0389811885 AMUNDI INDEX MSCI EUROPE € 154.314.829,36 497.226,98 310,9900 324,9846 310,9900 0,3000% 10,5000%
LU0442407853 AMUNDI INDEX MSCI NORTH AMERICA (USD) € 62.051.099,87 106.617,19 582,1000 608,2945 582,1000 0,1000% 1,2000%
LU0389812347 AMUNDI INDEX MSCI NORTH AMERICA (EUR) € 207.928.656,39 287.564,82 723,1900 755,7336 723,1900 -0,8000% -7,4000%
LU0390717543 AMUNDI MSCI PACIFIC EX JAPAN € 9.913.046,85 35.861,03 276,3200 288,7544 276,3200 -0,4000% -0,1000%
LU1923161894 AMUNDI FUNDS JAPAN EQUITY SELECT A ACC. [USD] € 2.730.008,35 43.234,80 63,1400 65,9813 63,1400 0,6000% 4,6000%
Γεωγραφικά
Ευρώπη
LU1883868819 AMUNDI FUNDS EUROPE EQUITY CLIMATE A [EUR] € 192.486.805,42 15.129.530,82 12,7200 13,2924 12,7200 0,8000% 7,3000%
LU1883868900 AMUNDI FUNDS EUROPE EQUITY CLIMATE A [USD] € 7.378.204,13 514.492,92 14,3400 14,9853 14,3400 1,0000% 16,8000%
LU1883869114 AMUNDI FUNDS EUROPE EQUITY CLIMATE A USD Hdg [USD] € 3.483.056,75 32.180,86 108,2300 113,1004 108,2300 0,9000% 8,6000%
LU1883311224 AMUNDI FUNDS EUROPE EQUITY INCOME SELECT A2 ACC. [EUR] € 182.406.461,91 1.959.304,77 93,1000 97,2895 93,1000 0,8000% 10,1000%
LU1883314244 AMUNDI FUNDS EUROPEAN EQUITY VALUE - A EUR ( C ) € 682.883.806,63 3.805.934,82 179,4300 187,5044 179,4300 0,9000% 10,7000%
LU1883314756 AMUNDI FUNDS EUROPEAN EQUITY VALUE - A USD (C) € 4.767.822,27 23.548,46 202,4700 211,5812 202,4700 1,1000% 20,4000%
LU1883306497 AMUNDI FUNDS EUROPEAN EQUITY SMALL CAP - A EUR (C) € 101.095.109,19 481.977,60 209,7500 219,1887 209,7500 0,8000% 10,3000%
LU1883306570 AMUNDI FUNDS EUROPEAN EQUITY SMALL CAP - A USD (C) € 10.630.853,99 44.992,56 236,2800 246,9126 236,2800 0,9000% 20,1000%
LU1883306653 AMUNDI FUNDS EUROPEAN EQUITY SMALL CAP - A USD Hgd (C) € 5.606.736,61 61.898,86 90,5800 94,6561 90,5800 0,8000% 11,2000%
LU1883303635 AMUNDI FUNDS EUROLAND EQUITY - A EUR (C) € 1.365.312.790,77 103.910.206,93 13,1400 13,7313 13,1400 0,7000% 10,1000%
Η.Π.Α.
LU1883854199 AMUNDI FUNDS US EQUITY FUNDAMENTAL GROWTH A [EUR] € 533.181.612,52 956.199,22 557,6100 582,7024 557,6100 -0,6000% -6,0000%
LU1883854272 AMUNDI FUNDS US EQUITY FUNDAMENTAL GROWTH A EUR HDG [EUR] € 45.636.569,00 224.104,31 203,6400 212,8038 203,6400 -0,5000% 1,5000%
LU1883854355 AMUNDI FUNDS US EQUITY FUNDAMENTAL GROWTH A [USD] € 503.126.822,61 799.977,28 628,9300 657,2318 628,9300 -0,5000% 2,3000%
LU2146567289 AMUNDI FUNDS US EQUITY SELECT- A [USD] € 51.385.064,70 628.519,38 81,7600 85,8480 81,7600 -0,3000% 2,0000%
LU2146567875 AMUNDI FUNDS US EQUITY SELECT A EUR HDG [EUR] € 2.208.483,17 36.510,66 60,4900 63,5145 60,4900 -0,3000% 1,2000%
LU2146567529 AMUNDI FUNDS US EQUΙTY SELECT - A [EUR] € 59.817.142,10 839.151,75 71,2800 74,8440 71,2800 -0,4000% -6,3000%
LU1926208726 AMUNDI FUNDS JAPAN EQUITY SELECT A ACC. [EUR] € 10.535.221,24 86.776,84 121,4100 126,8734 121,4100 0,5000% -3,7000%
LU1883859230 AMUNDI FUNDS US EQUITY RESEARCH-A (C) [EUR] € 17.768.640,14 875.379,60 20,3000 21,2135 20,3000 -0,6000% -6,8000%
LU1883859313 AMUNDI FUNDS US EQUITY RESEARCH-A EUR HDG (C) [EUR] € 4.258.336,37 31.057,35 137,1100 143,2800 137,1100 -0,5000% 0,7000%
LU1883859404 AMUNDI FUNDS US EQUITY RESEARCH-A USD (C) [USD] € 44.774.967,91 1.956.515,03 22,8900 23,9200 22,8900 -0,4000% 1,5000%
LU1883872332 AMUNDI FUNDS US PIONEER FUND - A EUR (C) € 1.040.444.359,11 45.594.794,65 22,8200 23,8469 22,8200 -0,5000% -6,0000%
LU1883872415 AMUNDI FUNDS US PIONEER FUND - A USD (C) € 1.020.012.863,36 39.668.021,18 25,7100 26,8669 25,7100 -0,3000% 2,3000%
LU1894682704 AMUNDI FUNDS US EQUITY RESEARCH VALUE A [EUR] € 367.845.170,94 1.502.560,36 244,8100 255,8264 244,8100 -0,3000% -5,6000%
LU1894682969 AMUNDI FUNDS PIONEER US EQUITY RESEARCH VALUE - A EUR Hgd (C) € 32.650.270,65 479.756,05 68,0600 71,1227 68,0600 -0,1000% 2,0000%
LU1894683009 AMUNDI FUNDS US EQUITY RESEARCH VALUE A [USD] € 78.859.696,90 284.865,11 276,8300 289,2874 276,8300 -0,1000% 2,7000%
Ασία
LU0823038988 AMUNDI FUNDS EQUITY ASIA CONCENTRATED - A2U € 158.004.756,83 399.286,25 37,2200 38,8949 37,2200 -0,6000% 5,4000%
LU1882445569 AMUNDI FUNDS CHINA EQUITY - A EUR (C) € 71.958.228,64 5.460.860,16 13,1800 13,7731 13,1800 1,0000% 4,7000%
LU1882445643 AMUNDI FUNDS CHINA EQUITY - A USD (C) € 71.027.072,59 4.784.481,60 14,8500 15,5183 14,8500 1,2000% 13,9000%
Κλαδικά
Διεθνή
LU2389405080 CPR INVEST HYDROGEN A EUR ACC € 265.162.812,37 2.656.448,19 99,8200 104,8110 99,8200 -0,3000% -2,3000%
LU1653748860 CPR INV FOOD FOR GENERATN -AA € 312.547.647,02 2.343.910,17 133,3400 133,3400 133,3400 -0,5000% -1,5000%
LU2013745885 N € 28.873.531,96 258.062,01 111,8900 111,8900 111,8900 0,4000% 7,0000%
LU1989767253 CPR INV GLOBAL LIFESTYLES A EUR - Acc € 230.649.673,02 1.911.214,98 120,6800 120,6800 120,6800 -0,6000% -5,0000%
LU1989767923 CPR INV GLOBAL LIFESTYLES A USD - Acc € 30.819.590,91 265.554,35 116,0600 116,0600 116,0600 0,3000% 3,2000%
LU1883318740 AMUNDI FUNDS GLOBAL EQUITY RESPONSIBLE A ACC. [EUR] € 1.225.852.737,41 2.477.311,86 494,8300 517,0974 494,8300 -0,1000% 5,9000%
LU1883318666 AMUNDI FUNDS GLOBAL EQUITY RESPONSIBLE A ACC. [CHF] € 2.724.896,49 5.881,72 463,2800 484,1276 463,2800 -0,1000% 5,7000%
LU1883319045 AMUNDI FUNDS GLOBAL EQUITY RESPONSIBLE A ACC. [USD] € 26.642.651,30 47.812,78 557,2300 582,3053 557,2300 0,0000% 15,2000%
LU1883320993 AMUNDI FUNDS GLOBAL EQUITY INCOME SELECT Α2 EUR (C) [EUR] € 374.489.083,92 2.487.627,92 150,5400 157,3143 150,5400 0,0000% -2,0000%
LU1883321371 AMUNDI FUNDS GLOBAL EQUITY INCOME SELECT Α2 EUR (C) [USD] € 13.170.745,10 77.639,70 169,6400 177,2738 169,6400 0,2000% 6,6000%
LU1883342377 AMUNDI FUNDS GLOBAL EQUITY - A EUR (C) [EUR] € 1.047.911.006,96 5.254.628,30 199,4300 208,4043 199,4300 0,5000% 4,1000%
LU1883342617 AMUNDI FUNDS GLOBAL EQUITY - A USD (C) [USD] € 67.982.788,40 302.431,06 224,7900 234,9056 224,7900 0,7000% 13,3000%

A/K Amundi:Ομολογιακά Α/Κ

LU1882450213 AMUNDI FUNDS EMERGING MARKETS BOND-A EUR MTD D € 10.855.437,66 2.348.886,70 4,6200 4,8279 4,6200 0,0000% -8,2000%
LU0201576401 AMUNDI FUNDS EURO INFLATION BOND A ACC. EUR € 43.671.412,26 58.576,78 140,7400 147,0733 140,7400 0,0000% 0,0000%
LU1883336999 AMUNDI FUNDS OPTIMAL YIELD - A USD Hgd (C) € 2.050.090,04 19.152,26 107,0400 111,8568 107,0400 0,1000% 0,8000%
LU1883834837 AMUNDI FUNDS PIONEER GLOBAL HIGH YIELD BOND - A EUR (C) € 2.803.177,33 21.396,54 131,0100 136,9055 131,0100 0,0000% -5,8000%
LU0319688015 AMUNDI FUNDS GLOBAL AGGREGATE BOND A ACC. USD € 4.497.330.127,22 279.669,42 260,0700 271,7731 260,0700 0,0000% 2,4000%
LU0319688791 AMUNDI FUNDS GLOBAL CORPORATE BOND A ACC. USD € 822.948.932,99 78.424,14 193,4400 202,1448 193,4400 0,0000% 1,7000%
LU1883835057 AMUNDI FUNDS PIONEER GLOBAL HIGH YIELD BOND - A USD (C) € 6.813.531,36 46.151,07 147,6400 154,2838 147,6400 0,1000% 2,6000%
LU0442405998 Amundi Funds Global Inflation Short Duration Bond A Acc. [EUR] € 24.804.836,28 36.345,42 105,0800 109,8086 105,0800 0,1000% 1,7000%
LU0518421895 AMUNDI FUNDS EURO GOVERNMENT BOND RESPONSIBLE A [EUR] € 563.949.440,00 326.810,19 122,6400 128,1588 122,6400 0,0000% -0,2000%
LU1883841022 AMUNDI FUNDS STRATEGIC INCOME A EUR C [EUR] € 124.690.880,62 11.038.790,72 11,3000 11,8085 11,3000 -0,1000% -5,8000%
LU0557861274 AMUNDI FUNDS GLOBAL AGGREGATE BOND A ACC. EUR € 4.497.330.127,22 1.648.211,40 186,2000 194,5790 186,2000 -0,9000% -5,8000%
LU0557861860 AMUNDI FUNDS GLOBAL GOVERNMENT BOND A ACC. [EUR] € 89.210.470,00 146.165,80 138,1100 144,3250 138,1100 -0,5000% -3,1000%
LU0557863056 AMUNDI FUNDS GLOBAL CORPORATE BOND A ACC. EUR € 822.948.932,99 94.429,36 201,8400 210,9228 201,8400 -0,9000% -6,5000%
LU1883841295 AMUNDI FUNDS STRATEGIC INCOME A EUR HDG (C) [EUR] € 24.757.004,37 302.637,26 81,8000 85,4810 81,8000 0,0000% 1,8000%
LU0616241476 AMUNDI FUNDS EURO AGGREGATE BOND A ACC. EUR € 894.713.623,43 805.014,12 130,9400 136,8323 130,9400 0,1000% 0,6000%
LU1883841378 AMUNDI FUNDS STRATEGIC INCOME A EUR HDG AD [EUR] € 2.195.559,68 56.405,62 38,9200 40,6714 38,9200 0,0000% 1,8000%
LU0755948444 AMUNDI FUNDS EMERGING MARKETS CORPORATE BOND A ACC. USD € 455.567.108,15 6.966,01 130,3500 136,2157 130,3500 0,3000% 2,0000%
LU0755948790 AMUNDI FUNDS EMERGING MARKETS CORPORATE BOND A ACC. EUR € 455.567.108,15 7.129,85 153,9400 160,8673 153,9400 -0,5000% -6,1000%
LU0755948956 AMUNDI FUNDS EMERGING MARKETS CORPORATE BOND A ACC. EUR HGD € 455.567.108,15 5.219,87 107,8900 112,7451 107,8900 0,3000% 1,3000%
LU0839536322 AMUNDI FUNDS GLOBAL CORPORATE BOND A ACC. EUR HGD € 822.948.932,99 51.382,56 114,8200 119,9869 114,8200 0,0000% 0,9000%
LU1883841535 AMUNDI FUNDS STRATEGIC INCOME A USD (C) [USD] € 123.621.445,79 9.706.323,90 12,7400 13,3133 12,7400 0,1000% 2,6000%
LU0906524193 AMUNDI FUNDS GLOBAL AGGREGATE BOND A ACC. EUR HGD € 4.497.330.127,22 2.631.530,96 108,0000 112,8600 108,0000 0,0000% 1,7000%
LU0907331507 AMUNDI FUNDS EURO HIGH YIELD SHORT TERM BOND A ACC. EUR € 220.104.530,08 34.612,32 118,9500 124,3028 118,9500 0,0000% 1,1000%
LU1883841618 AMUNDI FUNDS STRATEGIC INCOME A USD MD [USD] € 15.633.841,13 2.802.060,82 5,5800 5,8311 5,5800 0,0000% 0,5000%
LU0119099819 AMUNDI FUNDS EURO CORPORATE BOND SELECT A ACC. [EUR] € 799.522.929,34 988.595,02 20,1400 21,0463 20,1400 0,0000% 0,8000%
LU0119110723 AMUNDI FUNDS EURO HIGH YIELD BOND A ACC. EUR € 209.535.532,29 2.010.051,59 24,3800 25,4771 24,3800 0,0000% 0,8000%
LU0119133188 AMUNDI FUNDS GLOBAL GOVERNMENT BOND A ACC. [USD] € 89.210.470,00 616.526,81 26,5200 27,7134 26,5200 0,4000% 5,4000%
LU0389812933 AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES € 141.278.079,93 1.138.615,68 124,1400 129,7263 124,1400 0,0000% 0,3000%
LU1883861137 AMUNDI FUNDS US HIGH YIELD BOND A EUR (C) [EUR] € 11.955.797,72 800.828,72 14,9300 15,6018 14,9300 -0,1000% -6,7000%
LU1883861210 AMUNDI FUNDS US HIGH YIELD BOND A EUR HDG [EUR] € 723.130,22 7.104,16 101,7900 106,3706 101,7900 0,1000% 0,8000%
LU1883861483 AMUNDI FUNDS US HIGH YIELD BOND A [USD] € 35.940.007,11 2.135.586,68 16,8300 17,5873 16,8300 0,1000% 1,4000%
LU0839528907 AMUNDI FUNDS EURO CORPORATE BOND SELECT A2 [EUR] € 799.522.929,34 103.848,08 100,1700 104,6776 100,1700 0,0000% 0,7000%
LU0987187969 AMUNDI FUNDS EURO CORPORATE BOND SELECT A2 [USD] € 799.522.929,34 3.890,48 100,7700 105,3046 100,7700 0,9000% 9,5000%
LU1882449801 AMUNDI FUNDS EMERGING MARKETS BOND - A EUR (C) € 55.275.631,68 2.917.212,36 18,9500 19,8027 18,9500 -0,1000% -6,1000%
LU1882450304 AMUNDI FUNDS EMERGING MARKETS BOND - A USD (C) € 46.019.653,24 2.160.715,44 21,3000 22,2585 21,3000 0,1000% 2,1000%
LU1103159536 AMUNDI FUNDS BOND EURO AGGREGATE - A2E € 894.713.623,43 387.962,19 93,7700 97,9896 93,7700 0,1000% 0,6000%
LU1882467886 AMUNDI FUNDS EURO AGGREGATE BOND - A2 USD Hgd (C) € 894.713.623,43 3.118,30 51,5000 53,8175 51,5000 0,1000% 1,2000%
LU1882473264 AMUNDI FUNDS EURO GOVERNMENT BOND RESPONSIBLE A2 [EUR] € 563.949.440,00 1.172.594,85 44,9300 46,9519 44,9300 0,0000% -0,3000%
LU1882473694 AMUNDI FUNDS EURO GOVERNMENT BOND RESPONSIBLE A2 [USD] € 563.949.440,00 18.030,89 44,6000 46,6070 44,6000 0,9000% 8,4000%
LU1883336569 AMUNDI FUNDS OPTIMAL YIELD - A EUR (C) € 10.959.976,59 97.246,98 112,7000 117,7715 112,7000 0,1000% 0,1000%
LU1883336643 AMUNDI FUNDS OPTIMAL YIELD - A EUR AD (D) € 9.236.838,48 151.082,01 61,1400 63,8913 61,1400 0,1000% 0,1000%
LU1882457143 AMUNDI FUNDS EMERGING MARKETS CORPORATE HIGH YIELD BOND - A EUR (C) € 1.098.787,61 11.798,63 93,1300 97,3208 93,1300 -0,1000% -6,5000%
LU1882457572 AMUNDI FUNDS EMERGING MARKETS CORPORATE HIGH YIELD BOND - A USD (C) € 2.897.207,50 27.602,60 104,9600 109,6832 104,9600 0,0000% 1,7000%
LU1882441816 AMUNDI FUNDS US SHORT TERM BOND A2 EUR (C) [EUR] € 19.547.210,72 2.754.885,95 7,1000 7,4195 7,1000 0,0000% -6,6000%
LU1882441907 AMUNDI FUNDS US SHORT TERM BOND A2 USD (C) [USD] € 522.824.051,08 65.418.556,17 7,9900 8,3496 7,9900 0,0000% 1,7000%
LU1882459511 AMUNDI FUNDS EMERGING MARKETS LOCAL CURRENCY BOND - A EUR (C) € 7.139.905,55 100.822,45 70,8200 74,0069 70,8200 0,0000% -1,1000%
LU1882459784 AMUNDI FUNDS EMERGING MARKETS LOCAL CURRENCY BOND - A USD (C) € 2.608.313,15 32.583,77 80,0500 83,6522 80,0500 0,1000% 7,6000%
LU1880401101 AMUNDI FUNDS US BOND A EUR C [EUR] € 16.061.955,34 309.190,98 51,9500 54,2878 51,9500 -0,2000% -6,1000%
LU1880401366 AMUNDI FUNDS US BOND A EUR HDG C [EUR] € 45.911.072,45 1.000.087,65 45,9100 47,9759 45,9100 0,0000% 1,4000%
LU1880401523 AMUNDI FUNDS US BOND A USD C [USD] € 54.903.514,76 1.061.249,06 51,7300 54,0578 51,7300 0,0000% 2,2000%

A/K Amundi:Διαχείρισης Διαθεσίμων Α/Κ

LU0568620560 AMUNDI FUNDS CASH EUR A2 ACC. EUR € 5.576.268.882,44 24.999.752,18 104,8700 109,5892 104,8700 0,0000% 0,8000%
LU0568621618 AMUNDI FUNDS CASH USD A2 ACC. USD € 2.316.938.584,52 18.538.346,54 124,9800 130,6041 124,9800 0,0000% 1,6000%
LU0568620131 AMUNDI FUNDS CASH EUR I2 ACC. EUR € 5.576.268.882,44 264.482,40 1.067,5700 1.067,5700 1.067,5700 0,0000% 0,9000%

A/K Amundi:Μικτά Α/Κ

LU0433182416 First Eagle Amundi International Fund € 6.866.858.684,28 2.824.770,28 212,3500 222,9675 212,3500 0,3000% 7,3000%
LU0565135232 First Eagle Amundi International Fund € 6.866.858.684,28 23.186,96 195,0100 204,7605 195,0100 0,3000% 8,0000%
LU0565135745 Amundi Funds First Eagle SICAV-International € 6.866.858.684,28 7.199.354,91 257,3300 270,1965 257,3300 -0,6000% -0,4000%
LU0650092850 First Eagle Amundi International Fund € 6.866.858.684,28 15.066,58 1.583,1900 1.662,3495 1.583,1900 0,3000% 6,5000%
LU0068578508 Amundi Funds First Eagle SICAV-International € 6.866.858.684,28 78.241,24 10.395,7600 10.915,5480 10.395,7600 0,3000% 8,3000%

A/K Amundi:Specialist Portfolios

LU0272941971 AMUNDI FUNDS VOLATILITY EURO A ACC. EUR € 97.872.064,73 137.056,25 122,2100 127,7094 122,2100 0,0000% 6,5000%
LU0319687124 AMUNDI FUNDS VOLATILITY WORLD A ACC. USD € 555.113.558,09 161.690,47 116,8500 122,1082 116,8500 0,2000% 6,5000%
LU0442406889 AMUNDI FUNDS VOLATILITY WORLD A ACC. EUR HGD € 555.113.558,09 93.775,16 72,0300 75,2713 72,0300 0,2000% 5,7000%
LU0557872479 AMUNDI FUNDS VOLATILITY WORLD A ACC. EUR € 555.113.558,09 82.195,71 106,0000 110,7700 106,0000 -0,7000% -2,0000%
LU0568615057 AMUNDI FUNDS EUROPEAN CONVERTIBLE BOND A ACC. EUR € 34.932.586,04 67.914,11 110,6300 115,6084 110,6300 0,7000% 4,2000%
LU0568619638 AMUNDI FUNDS ABSOLUTE RETURN FOREX A ACC. [EUR] € 68.794.394,33 28.234,45 100,5400 105,0643 100,5400 0,1000% 0,5000%
LU0613079408 AMUNDI FUNDS VOLATILITY EURO A ACC. CHF HGD € 97.872.064,73 1.676,03 72,1200 75,3654 72,1200 0,0000% 5,3000%
LU0615786091 AMUNDI FUNDS VOLATILITY WORLD A ACC. GBP HGD € 555.113.558,09 334,15 64,7400 67,6533 64,7400 0,2000% 6,7000%
LU1883326172 AMUNDI FUNDS ABSOLUTE RETURN FOREX A ACC. [USD] € 68.794.394,33 144,53 50,9000 53,1905 50,9000 1,0000% 9,3000%
LU0119108826 Amundi Funds Montpensier Global Convertible Bond A Acc. [EUR] € 31.593.013,91 626.228,48 14,6300 15,2884 14,6300 0,1000% 5,1000%
LU1882439323 AMUNDI FUNDS ABSOLUTE RETURN MULTI-STRATEGY - A EUR (C) € 35.449.845,40 576.756,88 61,4600 64,2257 61,4600 0,1000% -0,6000%
LU1894677027 AMUNDI FUNDS ABSOLUTE RETURN GLOBAL OPPORTUNITIES BOND - A EUR © € 151.176.472,43 3.183.231,53 47,4900 49,6271 47,4900 0,0000% 1,3000%
LU1894677290 AMUNDI FUNDS ABSOLUTE RETURN GLOBAL OPPORTUNITIES BOND - A USD © € 258.988,89 4.840,27 53,5100 55,9179 53,5100 0,1000% 10,2000%

A/K Pimco:Ομολογιακά Α/Κ

IE00B4TG9K96 PIMCO DIVERSIFIED INCOME FUND E EUR HDG € 476.775.192,17 53.162.465,94 8,9900 9,4395 8,9900 0,0000% 0,4500%
IE00B3L7TM54 PIMCO GIS GLOBAL HIGH YIELD BOND FUND E EUR HDG INC € 23.259.844,81 2.798.831,87 8,4000 8,8200 8,4000 0,1200% 0,0000%
IE00BFRSV866 PIMCO GIS-CAPITAL SECURITIES FUND E ACC USD € 301.829.853,93 18.387.842,02 16,5600 17,3880 16,5600 0,0600% 2,4100%
IE00B46MFP70 PIMCO GIS-EURO INCOME BOND-E EUR INC € 423.999.197,51 48.617.665,67 8,6900 9,1245 8,6900 0,0000% -0,4600%
IE00B8K7V925 PIMCO GIS-INCOME FUND-EI € 11.180.764.021,55 1.177.641.777,48 9,4300 9,9015 9,4300 -0,1100% 0,2100%
IE00B8N0MW85 PIMCO GIS-INCOME FUND-EEHI € 3.490.796.378,70 459.457.857,70 7,5400 7,9170 7,5400 0,0000% -0,5300%
IE00B7KFL990 PIMCO GIS-INCOME FUND-EA € 8.088.510.990,13 483.413.171,44 16,6300 17,4615 16,6300 0,0000% 2,3400%
IE00B84J9L26 PIMCO GIS-INCOME FUND-EEHA € 5.144.342.904,19 373.502.032,74 13,6700 14,3535 13,6700 -0,0700% 1,7100%
IE00B11XYY66 PIMCO Euro Bond Fund € 117.256.764,30 5.764.696,62 20,2200 21,2310 20,2200 -0,1000% 0,1500%
IE00B11XZ103 PIMCO Global Bond Fund Hedged € 602.790.073,92 25.843.934,21 23,0900 24,2445 23,0900 -0,1700% 0,3000%
IE00B11XZ210 PIMCO Global Bond Fund € 375.623.199,49 12.274.231,52 30,3200 31,8360 30,3200 -0,2000% 0,9300%
IE00B11XZ327 PIMCO Global High Yield Bond Fund Hedged € 194.429.694,12 7.830.112,89 25,0800 26,3340 25,0800 0,0400% 1,1700%
IE00B11XZ434 PIMCO Global Investment Grade Credit Fund Hedged € 276.906.540,31 17.475.065,91 15,6800 16,4640 15,6800 -0,1300% 0,7100%
IE00B11XZ541 PIMCO Global Real Return Fund Hedged € 116.384.290,35 7.404.491,24 15,5000 16,2750 15,5000 -0,1900% 0,3200%
IE00B11XZ657 PIMCO Global Real Return Fund € 82.245.402,26 4.200.067,08 19,3300 20,2965 19,3300 -0,2100% 0,8900%
IE00B11XZ988 PIMCO Total Return Bond Fund € 347.604.403,67 12.607.169,02 27,1700 28,5285 27,1700 -0,1800% 1,9100%
IE00B11XZB05 PIMCO Total Return Bond Fund Hedged € 345.700.208,85 19.566.467,72 17,3900 18,2595 17,3900 -0,2300% 1,2800%
IE00B5B5L056 PIMCO Unconstrained Bond Fund Hedged € 63.271.407,81 5.464.286,27 11,5300 12,1065 11,5300 0,0000% 1,2300%
IE00B62Z3J44 PIMCO Dynamic Bond Fund E Acc Hedged GBP € 1.419.173,75 118.276,08 11,9600 12,5580 11,9600 0,0000% 1,9600%
IE00B884NX39 PIMCO Total Return Bond Fund Hedged € 12.130.010,12 1.449.588,71 8,2300 8,6415 8,2300 -0,1200% 0,3700%
IE00B1D7YK27 PIMCO Diversified Income Fund € 515.842.201,26 21.790.045,45 23,7500 24,9375 23,7500 0,0000% 2,1100%
IE00B1D7YM41 PIMCO Global High Yield Bond Fund € 134.035.936,97 4.977.528,24 27,2300 28,5915 27,2300 0,0700% 1,7600%
IE00B1Z6D669 PIMCO Diversified Income Fund Hedged € 803.437.853,60 53.600.537,37 15,0200 15,7710 15,0200 0,0000% 1,4900%
IE00B3FNF870 PIMCO Global Bond Fund Unhedged € 35.851.216,64 2.814.292,09 12,5800 13,2090 12,5800 -0,1600% 4,1400%
IE00B3K7XK29 PIMCO Global Investment Grade Credit Fund € 602.687.592,75 32.028.731,14 18,6400 19,5720 18,6400 -0,1100% 1,3000%
IE00B3NHMY62 PIMCO Unconstrained Bond Fund Hedged € 6.441.133,36 697.778,67 9,1800 9,6390 9,1800 0,0000% 0,3300%
IE00B3SL5777 PIMCO Global Investment Grade Credit Fund Hedged € 38.971.306,24 3.816.637,72 10,0900 10,5945 10,0900 -0,1000% -0,3000%
IE00B3Y6DR28 PIMCO Dynamic Bond Fund E Acc Hedged USD € 67.473.806,47 5.340.776,96 12,5900 13,2195 12,5900 0,0000% 1,8600%
IE00BJMZC096 PIMCO Income Fund E Class CHF (Hedged) Income € 396.344.466,80 61.411.443,51 6,4000 6,7200 6,4000 0,0000% -1,5400%
IE00BDTM8703 PIMCO Income Fund E Class EUR (Hedged) Income II € 239.653.732,34 26.890.821,46 8,8500 9,2925 8,7615 0,0000% 0,3400%
IE00B0MD9M11 PIMCO Global Bond Fund € 137.024.950,14 10.151.355,17 13,3700 14,0385 13,3700 -0,2200% 0,0800%
IE00B66BK865 PIMCO Global Investment Grade Credit Fund € 174.328.837,98 20.854.680,67 8,2700 8,6835 8,2700 -0,1200% -0,1200%
IE00B2R34T20 PIMCO Global Investment Grade Credit Fund € 186.495.888,13 14.899.548,84 12,4000 13,0200 12,4000 -0,0800% 0,4900%
IE00B193ML14 PIMCO-Global High Yield Bond Fund-E-INCOME € 69.062.691,08 6.620.707,88 10,5500 11,0775 10,5500 0,1000% 0,5700%

A/K Pimco:Μικτά Α/Κ

IE00B957J671 PIMCO GIS INFLATION MULTI ASSET FUND E EUR € 32.055.316,93 3.194.416,37 10,0600 10,5630 10,0600 0,1000% 1,7200%
IE00B4YYXB79 PIMCO GIS Balanced Income and Growth Fund E Acc USD € 65.365.298,25 3.114.015,29 21,7500 22,8375 21,7500 -0,0500% 5,5800%

A/K Pimco:Specialist Portfolios

IE00B600QL41 PIMCO Emerging Markets Currency Fund € 7.559.434,47 517.548,30 14,9800 15,7290 14,9800 0,0000% -0,7300%
IE00B3DD5P64 PIMCO Emerging Markets Currency Fund € 3.772.968,53 273.634,74 14,0200 14,7210 14,0200 0,1400% 8,0100%

A/K CALAMOS GLOBAL FUNDS PLC:Μικτά Α/Κ

IE00B296VQ55 CALAMOS GLOBAL CONVERTIBLE OPPORTUNITIES FUND CLASS A U.S. DISTRIBUTING € 4.210.974,01 304.789,10 13,8160 14,5068 13,6778 -0,0200% 6,0000%
IE00B28VTV28 CALAMOS GLOBAL CONVERTIBLE OPPORTUNITIES FUND CLASS A U.S. ACCUMULATING € 66.189.601,76 3.367.565,46 19,6550 20,6378 19,4585 -0,0200% 6,0000%
IE00B28VTW35 CALAMOS GLOBAL CONVERTIBLE OPPORTUNITIES FUND CLASS A EUR ACCUMULATING € 3.356.464,36 267.782,30 12,5343 13,1610 12,4090 -0,0100% 5,3400%

Α/Κ M&G Investments:Μετοχικά Α/Κ

LU1670710075 M&G (Lux) Global Dividend Fund Euro A Acc [EUR] € 3.280.362.978,05 100.214.590,86 17,1793 17,8665 17,1793 1,2000% -4,4000%
LU1670710158 M&G (Lux) Global Dividend Fund Euro A Distribution [EUR] € 3.280.362.978,05 19.551.569,00 14,1190 14,6838 14,1190 1,2000% -5,9000%
LU1670711040 M&G (Lux) Global Dividend Fund USD A Acc [USD] € 3.688.768.693,68 8.188.608,43 16,4859 17,1453 16,4859 0,8000% 3,3000%
LU1670711123 M&G (Lux) Global Dividend Fund USD A Distribution [USD] € 3.688.768.693,68 887.909,70 13,5478 14,0897 13,5478 0,8000% 1,6000%
Γεωγραφικά
Διεθνή
LU1665236995 M&G (LUX) GLOBAL LISTED INFRASTRUCT.FUND USD A ACC € 1.670.418.926,72 14.932.878,42 15,0960 15,6998 15,0960 0,6000% 9,0000%
LU1665237704 M&G (LUX) GLOBAL LISTED INFRASTRUCT.FUND EUR A ACC € 1.485.476.824,41 33.366.667,66 15,7563 16,3866 15,7563 0,9000% 0,9000%
Η.Π.Α.
LU1670627923 M&G (Lux) North American Dividend Fund USD A Acc [USD] € 312.945.466,57 3.354.618,32 39,7638 41,7520 39,7638 1,4000% -0,2000%
LU1670627097 M&G (Lux) North American Value Fund USD A Acc [USD] € 71.107.469,81 389.219,69 25,3440 26,6112 25,3440 0,9000% 0,3000%
LU1670627253 M&G (Lux) North American Dividend Fund Euro A Acc [EUR] € 278.297.396,21 1.234.265,09 45,0493 47,3018 45,0493 1,7000% -7,6000%
Ιαπωνίας
LU1670626446 M&G (Lux) Japan Fund Euro A Acc [EUR] € 933.133.871,35 1.301.414,99 27,3976 28,7675 27,3976 1,3000% -0,7000%
LU1684384271 M&G (Lux) Japan Fund USD A Acc [USD] € 1.049.309.187,33 540.076,33 18,4065 19,3268 18,4065 1,0000% 7,3000%
Αναπτυσσόμενες Αγορές
LU1582978505 M&G (LUX) EME.MRKTS HARD CURR BOND FUND  EUR A ACC € 92.361.965,38 54.968,86 11,8188 12,2916 11,8188 0,6000% -6,2000%
LU1582978760 M&G (LUX) EME.MRKTS HARD CURR BOND FUND EUR A DIS € 92.361.965,38 14.912,11 7,1869 7,4744 7,1869 0,6000% -9,9000%
LU1670618690 M&G (Lux) Global Emerging Markets Fund Euro A Acc [EUR] € 152.364.749,69 1.737.890,65 39,5349 41,1163 39,5349 0,9000% 3,1000%
LU1670624664 M&G (Lux) Global Emerging Markets Fund USD A Acc [USD] € 171.334.185,40 378.270,59 34,5276 35,9087 34,5276 0,6000% 11,4000%
Ασία
LU1670618187 M&G (Lux) Asian Fund Euro A Acc [EUR] € 165.933.302,87 749.389,51 61,9838 65,0830 61,9838 0,7000% 0,4000%
LU1670618344 M&G (Lux) Asian Fund USD A Acc [USD] € 186.592.025,63 79.316,17 40,3138 42,3295 40,3138 0,4000% 8,4000%
Κλαδικά
Διεθνή
LU1670628061 M&G (Lux) North American Dividend A Dist [USD] € 312.945.466,57 397.797,49 33,6431 35,3253 33,6431 1,4000% -1,1000%

Α/Κ M&G Investments:Ομολογιακά Α/Κ

LU1670719613 M&G (Lux) Global Macro Bond Fund Euro A Acc [EUR] € 409.398.220,78 6.492.947,45 13,5397 14,0813 13,5397 0,7000% -3,1000%
LU1670723300 M&G LUX Global Floating Rate High Yield -USD AM Dis € 2.957.007.471,47 5.928.896,61 9,3435 9,7172 9,3435 0,0000% -0,8000%
LU1665234511 M&G (LUX) Sustainable Global High Yield Bond Fund USD A Acc [USD] € 40.126.294,92 139.910,46 12,4808 12,9800 12,4808 0,1000% 2,2000%
LU1665235914 M&G (LUX) Sustainable Global High Yield Bond Fund EUR AH Acc [EUR] € 35.683.672,04 123.948,35 10,6167 11,0414 10,6167 0,1000% 1,3000%
LU1670719969 M&G (Lux) Global Macro Bond Fund Euro A-H Distribution € 409.398.220,78 428.256,28 6,9184 7,1951 6,9184 0,4000% 0,8000%
LU1670718995 M&G (Lux) Global Macro Bond Fund USD A Acc € 460.368.364,77 1.175.267,20 15,0662 15,6688 15,0662 0,4000% 4,7000%
LU1670719027 M&G (Lux) Global Macro Bond Fund USD A Distribution [USD] € 460.368.364,77 117.164,99 11,5079 11,9682 11,5079 0,4000% 1,8000%
LU1670718219 M&G (Lux) Short Dated Corporate Bond Fund Euro A Acc [EUR] € 608.007.645,56 18.438.626,47 11,6315 12,0095 11,6315 0,1000% 1,3000%
LU1670717831 M&G (Lux) Short Dated Corporate Bond Fund USD A-H Acc € 683.704.694,52 380.781,96 13,9995 14,4545 13,9995 0,1000% 2,1000%
LU1670629549 M&G (Lux) Euro Corporate Bond Fund Euro A Acc [EUR] € 158.714.873,55 5.392.032,02 18,3732 18,9703 18,3732 0,3000% 1,2000%
LU1670630042 M&G (Lux) Euro Corporate Bond Fund USD A-H Acc [USD] € 178.474.900,65 284.141,59 13,2008 13,6298 13,2008 0,3000% 1,9000%
LU1670708335 M&G (Lux) Global Convertibles Fund Euro A Acc [EUR] € 157.566.445,39 2.579.654,50 20,0737 20,8766 20,0737 0,6000% -0,2000%
LU1670709655 M&G (Lux) Global Convertibles Fund USD A-H Acc [USD] € 177.183.493,05 365.268,43 17,0042 17,6844 17,0042 0,3000% 6,4000%
LU1670631016 M&G (Lux) Emerging Markets Bond Fund Euro A Acc [EUR] € 2.809.039.853,46 14.186.354,11 12,9534 13,4715 12,9534 0,5000% -3,3000%
LU1670632337 M&G (Lux) Emerging Markets Bond Fund USD A Acc [USD] € 3.158.765.764,66 2.382.341,76 12,3831 12,8784 12,3831 0,2000% 4,5000%
LU1670713335 M&G (Lux) Global Credit Investment Euro A-H Acc [ΕUR] € 177.964.657,41 3.187.182,33 12,0793 12,5625 12,0793 0,5000% 1,1000%
LU1670713418 M&G (Lux) Global Credit Investment Euro A-H Inc [ΕUR] € 177.964.657,41 2.689.807,33 8,5801 8,9233 8,5801 0,5000% -1,9000%
LU1670712956 M&G (Lux) Global Credit Investment USD A Acc [USD] € 200.121.285,73 880.958,88 14,7083 15,2966 14,7083 0,5000% 1,9000%
LU1670713095 M&G (Lux) Global Credit Investment USD A Inc [USD] € 200.121.285,73 240.300,09 10,5590 10,9814 10,5590 0,5000% -1,2000%
LU1670726402 M&G (Lux) Global High Yield Bond Fund Euro A-H Accumulation € 50.175.441,90 1.314.871,97 15,6450 16,2708 15,6450 0,1000% 0,5000%
LU1670725933 M&G (Lux) Global High Yield Bond Fund USD A Accumulation € 56.422.292,44 201.972,36 19,2252 19,9942 19,2252 0,1000% 1,3000%

Α/Κ M&G Investments:Μικτά Α/Κ

LU1900799617 M&G (Lux) Sustainable Allocation Fund EUR A Acc € 273.520.828,99 14.359.350,96 11,7205 12,1893 0,0000 1,3000% 0,9000%
LU1900799708 M&G (Lux) Sustainable Allocation Fund EUR A Dist € 273.520.828,99 2.211.177,37 9,5249 9,9059 0,0000 1,3000% -1,0000%
LU1900799880 M&G (Lux) Sustainable Allocation Fund EUR B Acc € 273.520.828,99 3.070.081,07 11,3473 11,3473 0,0000 1,3000% 0,7000%
LU1900799963 M&G (Lux) Sustainable Allocation Fund EUR B Dist € 273.520.828,99 1.146.741,99 9,2223 9,2223 0,0000 1,3000% -1,2000%
LU1531594833 M&G (LUX) GLOBAL TARGET RETURN FUND EUR A ACC € 35.380.586,59 553.568,94 11,5996 11,7156 11,5996 0,4000% 1,7000%
LU1531595210 M&G (LUX) GLOBAL TARGET RETURN FUND USD A-H ACC € 39.785.475,27 24.844,19 13,7515 13,8890 13,7515 0,4000% 2,5000%
LU1582984818 M&G (LUX) INCOME ALLOCATION FUND EUR A ACC € 721.041.020,88 13.935.177,34 10,8353 11,2687 10,8353 1,0000% -0,5000%
LU1582984909 M&G (LUX) INCOME ALLOCATION FUND EUR A DIS € 721.041.020,88 21.201.904,12 8,3370 8,6705 8,3370 1,0000% -2,5000%
LU1582988058 M&G (LUX) DYNAMIC ALLOCATION FUNDEUR A ACC € 1.792.789.064,06 75.919.228,22 11,1871 11,6346 11,1871 1,1000% 3,7000%
LU1582988132 M&G (LUX) DYNAMIC ALLOCATION FUND EUR A DIS € 1.792.789.064,06 7.431.040,96 9,3044 9,6766 9,3044 1,1000% 1,7000%
LU1670714226 M&G (Lux) Episode Macro Fund Euro S-H Acc [EUR] € 661.204.986,93 1.575.512,74 17,3711 18,0659 17,3711 0,9000% 3,8000%
LU1670713921 M&G (Lux) Episode Macro Fund USD S Acc [USD] € 743.525.113,60 2.480.430,32 21,2813 22,1326 21,2813 0,9000% 4,8000%
LU1670724373 M&G (Lux) Optimal Income Fund Euro A Acc [EUR] € 8.535.215.843,79 380.656.647,00 10,5174 10,9381 10,5174 0,5000% 1,5000%
LU1670724456 M&G (Lux) Optimal Income Fund Euro A Distribution [EUR] € 8.535.215.843,79 55.018.984,13 8,2755 8,6065 8,2755 0,5000% -1,0000%
LU1670725347 M&G (Lux) Optimal Income Fund USD A-H Acc [USD] € 9.597.851.579,24 61.125.555,32 11,9989 12,4789 11,9989 0,5000% 2,2000%
LU1670725420 M&G (Lux) Optimal Income Fund USD A-H Distribution [USD] € 9.597.851.579,24 5.312.645,57 9,4374 9,8149 9,4374 0,5000% -0,5000%
LU1670725693 M&G (Lux) Optimal Income Fund USD A-H M Distribution [USD] € 9.597.851.579,24 18.074.395,68 9,6130 9,9975 9,6130 0,5000% 0,2000%

Περισσότερα άρθρα

Είμαστε δίπλα σας

Θα χαρούμε να σας ενημερώσουμε διεξοδικά για τα προϊόντα και τις υπηρεσίες που σας προσφέρουμε. Επισκεφτείτε μας σε ένα από τα καταστήματά μας ή επικοινωνήστε μαζί μας τηλεφωνικά για να σας κατευθύνουμε ανάλογα με τις ανάγκες σας.

Χρειάζεστε βοήθεια;