PWM Funds- Balanced EUR S

YTD 1 mese 3 mesi 6 mesi 1 anno 2 anni 3 anni 5 anni
+1.96%
31.12.24 - 12.12.25
-0.71%
12.11.25 - 12.12.25
+1.78%
12.09.25 - 12.12.25
+4.88%
12.06.25 - 12.12.25
+0.09%
12.12.24 - 12.12.25
+13.24%
12.12.23 - 12.12.25
+16.43%
12.12.22 - 12.12.25
+6.64%
07.10.21 - 12.12.25
111.56 (H)
30.10.2025
111.49 (H)
12.11.2025
111.56 (H)
30.10.2025
111.56 (H)
30.10.2025
111.56 (H)
30.10.2025
111.56 (H)
30.10.2025
111.56 (H)
30.10.2025
111.56 (H)
30.10.2025
99.55 (L)
09.04.2025
109.34 (L)
21.11.2025
108.41 (L)
17.09.2025
104.70 (L)
20.06.2025
99.55 (L)
09.04.2025
97.76 (L)
12.12.2023
92.01 (L)
27.10.2023
92.00 (L)
20.10.2022