U ASSET ALLOCATION - Balanced Asian Biased USD AD

YTD 1 mese 3 mesi 6 mesi 1 anno 2 anni 3 anni 5 anni
+6.42%
31.12.24 - 05.06.25
+2.51%
05.05.25 - 05.06.25
+4.85%
05.03.25 - 05.06.25
+4.42%
05.12.24 - 05.06.25
+9.32%
05.06.24 - 05.06.25
+19.35%
05.06.23 - 05.06.25
+16.02%
07.06.22 - 05.06.25
+2.64%
19.07.21 - 05.06.25
102.64 (H)
05.06.2025
102.64 (H)
05.06.2025
102.64 (H)
05.06.2025
102.64 (H)
05.06.2025
102.64 (H)
05.06.2025
102.64 (H)
05.06.2025
102.64 (H)
05.06.2025
102.64 (H)
05.06.2025
93.36 (L)
08.04.2025
99.97 (L)
08.05.2025
93.36 (L)
08.04.2025
93.36 (L)
08.04.2025
92.65 (L)
05.08.2024
81.93 (L)
27.10.2023
77.99 (L)
03.11.2022
77.99 (L)
03.11.2022