SYZ ASSET MGMT

Nombre del fondo VL
Rentabilidad 12 meses
SRRI
Patrimonio
OYSTER World Opportunities
276,950€
9,22%
5
52M€
OYSTER Italian Opportunities
39,640€
8,04%
6
30M€
OYSTER Euro Fixed Income
275,460€
8,60%
3
101M€
OYSTER European Opportunities
221,570€
6,98%
6
323M€
OYSTER Multi-Asset Diversified
173,523€
4,71%
4
86M€
OYSTER Multi-Asset Absolute Return EUR
176,590€
4,48%
3
126M€
OYSTER European Corporate Bonds
278,800€
3,15%
3
94M€
OYSTER Global High Yield
179,723€
3,22%
4
52M€
OYSTER Multi-Asset Inflation Shield
0,000€
1,51%
5
5M€
OYSTER US Selection
224,256€
-0,48%
5
78M€
OYSTER European Selection
2.066,520€
-1,31%
6
59M€
OYSTER Global Convertibles
176,720€
-0,16%
4
63M€
OYSTER Dynamic Allocation
200,650€
-1,10%
4
27M€
OYSTER Japan Opportunities
238,230€
0,51%
6
390M€
OYSTER European Mid & Small Cap
456,500€
-3,14%
5
15M€
OYSTER Equity Premia Europe
140,910€
-11,14%
3
30M€
OYSTER Italian Value
0,000€
-9,36%
6
12M€

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