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    Fund

    AcomeA Fondo ETF Attivo A2 (IT0004718711.MI)

    4.02 Up 0.05(1.26%) Feb 4
    Prev Close:3.97
    YTD Return*:-2.03%
    Net Assets*:17.63M
    Yield*:N/A

    * As of 31-Dec-15

    Quotes delayed, except where indicated otherwise. Currency in EUR.

    Headlines

    • No Headlines available for IT0004718711.MI at this time.

    Top Holdings

    Symbol% AssetsYTD Return %
    Lyxor ETF FTSE MIB Daily Leveraged A/I8.93N/A
    Amundi ETF Japan Topix Daily Hdg EUR A/I6.83N/A
    Amundi ETF Leverg EuroStoxx 50 Daily A/I6.39N/A
    Amundi ETF Leverg MSCI USA Daily EUR A/I6.26N/A
    iShares MSCI Brazil Dist4.96N/A

    Fund Basics

    Morningstar Overall Rating:
    Total Assets:17.63M
    Category:EUR Flexible Allocation - Global
    Annual Report Expense Ratio (net):2.82%

    Performance & Risk

    YTD Return:-2.03%
    5y Avg Return:N/A
    Rank in Category (ytd):81
    % Rank in Category (ytd):4.24%
    Beta (3y):1.58
    Morningstar Risk Rating:5

    Fund Summary

    Principali tipologie di strumenti finanziari e valuta di denominazione: Investimento in ETF, ETC ed ETN. L?investimento diretto in strumenti di natura monetaria è residuale. E? escluso l?investimento in OICR diversi dagli ETF e in titoli di natura azionaria ed obbligazionaria. Possibilità di investimento in depositi bancari in misura residuale. Gli investimenti sono denominati principalmente in Euro. View More
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