SYZ ASSET MGMT

Nombre del fondo VL
Rentabilidad 12 meses
SRRI
Patrimonio
OYSTER Euro Fixed Income
275,100€
8,07%
3
101M€
OYSTER Global High Yield
182,115€
3,44%
4
59M€
OYSTER Multi-Asset Absolute Return EUR
176,660€
2,98%
3
131M€
OYSTER Multi-Asset Diversified
175,402€
2,83%
4
89M€
OYSTER European Corporate Bonds
279,700€
2,57%
3
104M€
OYSTER World Opportunities
273,490€
0,11%
5
56M€
OYSTER Global Convertibles
177,060€
-1,63%
4
66M€
OYSTER Italian Opportunities
38,170€
-3,93%
6
33M€
OYSTER US Selection
227,411€
-3,96%
5
86M€
OYSTER European Opportunities
213,885€
-5,05%
6
398M€
OYSTER Dynamic Allocation
195,060€
-7,90%
4
28M€
OYSTER European Selection
1.676,451€
-10,13%
61M€
OYSTER Japan Opportunities
221,690€
-10,37%
6
376M€
OYSTER Equity Premia Europe
143,170€
-11,09%
3
30M€
OYSTER European Mid & Small Cap
440,640€
-13,36%
5
15M€

Divisas

Materias primas

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