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Templeton Europ. Sust. Improvers N EUR

ISIN: LU0645133033 - Mercato: Fondi Comuni d'Investimento

19,79
-0,15%

Ultimo aggiornamento: 24/10/2025
Dati differiti di 15 minuti.

Dati forniti da FIDA S.r.l. – Torino (Italy)

Caratteristiche
LU0645133033
Fondi Esteri
EUR
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Azionari Europa
29/07/2011
Franklin Templeton Intern Serv
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3
Grafico
Distribuzione Settoriale
2,01%
18,91%
7,12%
11,45%
20,41%
5,91%
20,06%
7,55%
4,98%
13,57%
2,29%
2,56%
6,87%
3,56%
1,40%
3,01%
3,87%
9,10%
2,80%
4,67%
1,92%
2,51%
1,71%
8,95%
2,01%
2,53%
1,58%
1,03%
3,00%
10,86%
2,17%
3,20%
2,44%
4,25%
3,20%
11,77%
1,12%
1,06%
2,80%
0,87%
13,32%
1,58%
3,58%
0,85%
1,30%
2,10%
1,10%
1,42%
3,11%
8,76%
7,78%
1,44%
10,15%
5,05%
2,53%
2,37%
1,10%
1,14%
2,09%
2,41%
1,29%
3,43%
2,21%
0,92%
0,99%
2,58%
4,92%
2,19%
3,04%
-192,57%
3,34%
1,25%
0,94%
1,89%
1,37%
4,90%
1,46%
2,36%
2,82%
0,86%
2,25%
Rendimenti
+1,96%
+11,24%
+11,62%
+6,63%
+41,05%
Asset Allocation
4,54%
96,96%
3,04%
Distribuzione Settoriale
31,21%
27,31%
14,28%
5,86%
5,09%
4,80%
3,50%
3,23%
3,11%
3,04%
Società di Gestione
Franklin Templeton Intern Serv
- Lussemburgo