IFS Funds - IFS BVG Balanced Fund X

YTD 1 mese 3 mesi 6 mesi 1 anno 2 anni 3 anni 5 anni
+1.98%
31.12.24 - 31.03.25
-1.22%
28.02.25 - 31.03.25
+1.98%
31.12.24 - 31.03.25
+0.85%
24.10.24 - 31.03.25
+0.85%
24.10.24 - 31.03.25
+5.38%
31.03.23 - 31.03.25
+0.85%
01.06.22 - 31.03.25
-
102.95 (H)
13.02.2025
102.10 (H)
28.02.2025
102.95 (H)
13.02.2025
102.95 (H)
13.02.2025
102.95 (H)
13.02.2025
102.95 (H)
13.02.2025
102.95 (H)
13.02.2025
-
98.76 (L)
14.01.2025
100.19 (L)
11.03.2025
98.76 (L)
14.01.2025
98.46 (L)
19.12.2024
98.46 (L)
19.12.2024
93.78 (L)
26.10.2023
91.32 (L)
12.10.2022
-