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Rendimenti al 2026-05-21 ISIN CodeNAVYTD20251 year3 yearsSince inceptionSRISFDR
ELEVA Absolute Return Dynamic - A1 acc EURLU2719141728124,97 €+1,08 %+11,87 %+8,02 %-+24,97 %
3/7
Art. 8
ELEVA Absolute Return Europe - A1 acc EURLU1331971769153,72 €-0,24 %+5,05 %+4,17 %+13,87 %+53,72 %
2/7
Art. 8
ELEVA Euro Bonds Strategies - A1 acc EURLU216853512397,95 €-0,22 %+1,88 %+1,46 %+15,74 %-2,05 %
3/7
Art. 8
ELEVA Euroland Selection - A1 acc EURLU1616920697214,60 €+6,19 %+24,51 %+18,43 %+45,72 %+114,60 %
4/7
Art. 8
ELEVA European Multi Opportunities - A1 acc EURLU2539367461133,18 €+2,53 %+10,95 %+10,18 %+27,04 %+33,18 %
3/7
Art. 8
ELEVA European Selection - A1 acc EURLU1111642408264,64 €+4,11 %+19,13 %+15,73 %+42,48 %+164,64 %
4/7
Art. 8
ELEVA Global Bonds Opportunities - A1 acc EURLU2168540040109,74 €+0,63 %+4,94 %+2,82 %+17,29 %+9,67 %
2/7
Art. 8
ELEVA Leaders Small & Mid Cap Europe - A1 acc EURLU1920213326183,27 €+5,20 %+6,81 %+4,42 %+13,61 %+83,27 %
4/7
Art. 8
ELEVA Sustainable Thematics - A1 acc EURLU3059467616104,89 €-----
4/7
Art. 9
Rendimenti al 2026-05-21 ISIN CodeNAVYTD20251 year3 yearsSince inceptionSRISFDR
ELEVA European Selection - A1 acc EURLU1111642408264,64 €+4,11 %+19,13 %+15,73 %+42,48 %+164,64 %
4/7
Art. 8
ELEVA Euroland Selection - A1 acc EURLU1616920697214,60 €+6,19 %+24,51 %+18,43 %+45,72 %+114,60 %
4/7
Art. 8
ELEVA Leaders Small & Mid Cap Europe - A1 acc EURLU1920213326183,27 €+5,20 %+6,81 %+4,42 %+13,61 %+83,27 %
4/7
Art. 8
ELEVA Sustainable Thematics - A1 acc EURLU3059467616104,89 €-----
4/7
Art. 9
Rendimenti al 2026-05-21 ISIN CodeNAVYTD20251 year3 yearsSince inceptionSRISFDR
ELEVA Absolute Return Europe - A1 acc EURLU1331971769153,72 €-0,24 %+5,05 %+4,17 %+13,87 %+53,72 %
2/7
Art. 8
ELEVA Absolute Return Dynamic - A1 acc EURLU2719141728124,97 €+1,08 %+11,87 %+8,02 %-+24,97 %
3/7
Art. 8
Rendimenti al 2026-05-21 ISIN CodeNAVYTD20251 year3 yearsSince inceptionSRISFDR
ELEVA European Multi Opportunities - A1 acc EURLU2539367461133,18 €+2,53 %+10,95 %+10,18 %+27,04 %+33,18 %
3/7
Art. 8
Rendimenti al 2026-05-21 ISIN CodeNAVYTD20251 year3 yearsSince inceptionSRISFDR
ELEVA Global Bonds Opportunities - A1 acc EURLU2168540040109,74 €+0,63 %+4,94 %+2,82 %+17,29 %+9,67 %
2/7
Art. 8
ELEVA Euro Bonds Strategies - A1 acc EURLU216853512397,95 €-0,22 %+1,88 %+1,46 %+15,74 %-2,05 %
3/7
Art. 8
La performance passata non è una garanzia di risultati futuri e non è possibile garantire che il capitale inizialmente investito sarà preservato.
Rendimenti al 2026-05-21