Bull & Bear finance srl - LISTA DEI SIMBOLI

Esplora

Nr. BnB ID ISIN Name First Date Last Date
1LU1496349918LU1496349918ACFranklin Diversified Conservative Fund A(acc) SGD-H12016-10-212025-06-19
2LU1244550908LU1244550908ACFranklin Diversified Conservative Fund A(Qdis)EUR2015-06-262025-06-19
3LU1685367390LU1685367390ACFranklin Diversified Conservative Fund A(Qdis)USD-H12017-09-272025-06-19
4LU1147470683LU1147470683ACFranklin Diversified Conservative Fund Class A Acc EUR2015-03-202025-06-19
5LU1147470253LU1147470253ACFranklin Diversified Conservative Fund Class A Ydis EUR2015-03-202025-06-19
6LU1147470410LU1147470410ACFranklin Diversified Conservative Fund Class I Acc EUR2015-03-202025-06-19
7LU1147470337LU1147470337ACFranklin Diversified Conservative Fund Class I Ydis EUR2015-03-202025-06-19
8LU1147470501LU1147470501ACFranklin Diversified Conservative Fund Class N Acc EUR2015-03-202025-06-19
9LU1496350098LU1496350098ACFranklin Diversified Conservative Fund I(acc) USD-H12016-10-212025-06-19
10LU1244551039LU1244551039ACFranklin Diversified Conservative Fund I(Qdis)EUR2015-06-262025-06-19
11LU1501547407LU1501547407ACFranklin Diversified Conservative Fund N(acc) USD-H12016-10-212025-06-19
12LU1244551112LU1244551112ACFranklin Diversified Conservative Fund N(Ydis)EUR2015-06-262025-06-19
13LU1350353949LU1350353949ACFranklin Diversified Conservative Fund W(Ydis)EUR2016-02-192025-06-19
14LU1926204220LU1926204220ACFranklin Emerging Markets Debt Opportunities Hard Currency Fund I (Acc) USD2019-01-182025-06-18
15LU1926204493LU1926204493ACFranklin Emerging Markets Debt Opportunities Hard Currency Fund I (Ydis) EUR2019-01-182025-06-18
16LU1926204576LU1926204576ACFranklin Emerging Markets Debt Opportunities Hard Currency Fund I (Ydis) USD2019-01-182025-06-18
17LU2404266681LU2404266681ACFranklin Emerging Markets Debt Opportunities Hard Currency Fund W (Acc) GBP-H12021-11-152025-06-18
18LU1926204733LU1926204733ACFranklin Emerging Markets Debt Opportunities Hard Currency Fund W (Ydis) EUR2019-01-182025-06-18
19LU1926204659LU1926204659ACFranklin Emerging Markets Debt Opportunities Hard Currency Fund W (Ydis) USD2019-01-182025-06-18
20LU1353032169LU1353032169ACFranklin Flexible Alpha Bond Fund A(Acc)EUR2016-03-182025-06-18
21LU1353034298LU1353034298ACFranklin Flexible Alpha Bond Fund A(Acc)USD2016-03-182025-06-18
22LU1353033050LU1353033050ACFranklin Flexible Alpha Bond Fund A(Qdis)EUR-H12016-03-182025-06-18
23LU1353033480LU1353033480ACFranklin Flexible Alpha Bond Fund I(Acc)EUR2016-03-182025-06-18
24LU1353034454LU1353034454ACFranklin Flexible Alpha Bond Fund I(Acc)GBP-H12016-03-182025-02-28
25LU1586273457LU1586273457ACFranklin Flexible Alpha Bond Fund I(Acc)NOK-H12017-04-072025-02-28
26LU1353033647LU1353033647ACFranklin Flexible Alpha Bond Fund I(Acc)USD2016-03-182025-06-18
27LU1353034611LU1353034611ACFranklin Flexible Alpha Bond Fund I(Ydis)GBP-H12016-03-182025-02-28
28LU1353033993LU1353033993ACFranklin Flexible Alpha Bond Fund I(Ydis)USD2016-03-182025-02-28
29LU1353032672LU1353032672ACFranklin Flexible Alpha Bond Fund N(Acc)EUR2016-03-182025-06-18
30LU1353032839LU1353032839ACFranklin Flexible Alpha Bond Fund N(Acc)EUR-H12016-03-182025-06-18
31LU1353033217LU1353033217ACFranklin Flexible Alpha Bond Fund N(Qdis)EUR-H12016-03-182025-06-18
32LU1374578653LU1374578653ACFranklin Flexible Alpha Bond Fund N(Qdis)USD2016-03-182025-06-18
33LU1626021957LU1626021957ACFranklin Flexible Alpha Bond Fund W(acc) USD2017-06-232025-06-18
34LU0316494805LU0316494805ACFranklin Global Fundamental Strategies Fund A Acc EUR2007-10-252025-06-18
35LU0316494987LU0316494987ACFranklin Global Fundamental Strategies Fund A Acc EUR-H12007-10-252025-06-18
36LU0316494557LU0316494557ACFranklin Global Fundamental Strategies Fund A Acc USD2007-10-252025-06-18
37LU0343523998LU0343523998ACFranklin Global Fundamental Strategies Fund A YDis EUR2008-02-212025-06-18
38LU0316495281LU0316495281ACFranklin Global Fundamental Strategies Fund I Acc EUR2007-10-252025-06-18
39LU0360500044LU0360500044ACFranklin Global Fundamental Strategies Fund N Acc EUR-H12008-05-152025-06-18
40LU0465790623LU0465790623ACFranklin Global Fundamental Strategies Fund N Acc PLN-H12009-11-202025-06-18
41LU0949250376LU0949250376ACFranklin Global Fundamental Strategies Fund N(acc)EUR2013-07-152025-06-18
42LU0949250459LU0949250459ACFranklin Global Fundamental Strategies Fund N(acc)USD2013-07-152025-06-18
43LU0889564869LU0889564869ACFranklin Global Fundamental Strategies Fund N(Ydis)EUR2013-02-262025-06-18
44LU1586274935LU1586274935ACFranklin Global Fundamental Strategies Fund W Ydis EUR2017-04-072025-06-18
45LU1586274000LU1586274000ACFranklin Global Fundamental Strategies Fund W(Acc)EUR2017-04-072025-06-18
46LU1586274265LU1586274265ACFranklin Global Fundamental Strategies Fund W(Acc)EUR-H12017-04-072025-06-18
47LU1586274695LU1586274695ACFranklin Global Fundamental Strategies Fund W(Acc)USD2017-04-072025-02-28
48LU0523919115LU0523919115ACFranklin Global Real Estate Fund A(acc)EUR-H12010-08-202025-06-18
49LU0229948087LU0229948087ACFranklin Global Real Estate Fund A(acc)USD2005-12-292025-06-18
50LU0229948244LU0229948244ACFranklin Global Real Estate Fund A(Qdis)USD2005-12-292025-06-18
51LU0523922176LU0523922176ACFranklin Global Real Estate Fund A(Ydis)EUR-H12010-08-202025-06-18
52LU0229949309LU0229949309ACFranklin Global Real Estate Fund I(acc)USD2005-12-292025-06-18
53LU0523922846LU0523922846ACFranklin Global Real Estate Fund N(acc)EUR-H12010-08-202025-06-18
54LU0229948756LU0229948756ACFranklin Global Real Estate Fund N(acc)USD2005-12-292025-06-18
55LU1691812256LU1691812256ACFranklin High Yield Fund A(acc) EUR2017-10-202025-06-18
56LU0131126228LU0131126228ACFranklin High Yield Fund A(acc)USD2001-07-022025-06-18
57LU0889565247LU0889565247ACFranklin High Yield Fund A(Mdis)AUD-H12013-02-262025-06-18
58LU0323421593LU0323421593ACFranklin High Yield Fund A(Mdis)SGD-H12007-10-252025-06-18
59LU0065014192LU0065014192ACFranklin High Yield Fund A(Mdis)USD1996-03-012025-06-18
60LU0727124397LU0727124397ACFranklin High Yield Fund I(acc)EUR-H12012-01-272025-06-18
61LU0366776432LU0366776432ACFranklin High Yield Fund I(acc)USD2008-06-162025-06-18
62LU0152908892LU0152908892ACFranklin High Yield Fund I(Mdis)USD2002-09-092025-06-18
63LU1691812330LU1691812330ACFranklin High Yield Fund N(acc) EUR2017-10-202025-06-18
64LU0109402817LU0109402817ACFranklin High Yield Fund N(acc)USD2000-04-032025-06-18
65LU0889566138LU0889566138ACFranklin High Yield Fund N(Mdis)USD2013-02-262025-06-18
66LU1586275155LU1586275155ACFranklin High Yield Fund W(Mdis)USD2017-04-072025-06-18
67LU2387455863LU2387455863ACFranklin Intelligent Machines Fund A (acc) USD2021-10-152025-06-18
68LU2387455780LU2387455780ACFranklin Intelligent Machines Fund A (Ydis) EUR2021-10-152025-06-18
69LU2387455608LU2387455608ACFranklin Intelligent Machines Fund I (acc) EUR2021-10-152025-06-18
70LU2387455434LU2387455434ACFranklin Intelligent Machines Fund I (acc) USD2021-10-152025-06-18
71LU2387455517LU2387455517ACFranklin Intelligent Machines Fund N (acc) EUR2021-10-152025-06-18
72LU2387455277LU2387455277ACFranklin Intelligent Machines Fund N (acc) USD2021-10-152025-06-18
73LU2387457992LU2387457992ACFranklin Intelligent Machines Fund W (acc) USD2021-10-152025-06-18
74LU2213486058LU2213486058ACFranklin Templeton Emerging Markets Sustainability Fund A (acc) EUR2020-09-302025-06-18
75LU2213485837LU2213485837ACFranklin Templeton Emerging Markets Sustainability Fund A (acc) EUR-H12020-09-302025-06-18
76LU2213488187LU2213488187ACFranklin Templeton Emerging Markets Sustainability Fund N (acc) EUR2020-09-302025-06-18
77LU1446800812LU1446800812ACFranklin U.S. Government Fund A(acc)EUR-H12016-07-292025-06-18
78LU0496364232LU0496364232ACFranklin U.S. Government Fund A(acc)HKD2010-04-302025-06-18
79LU0543330301LU0543330301ACFranklin U.S. Government Fund A(acc)USD2010-09-302025-06-18
80LU0496364315LU0496364315ACFranklin U.S. Government Fund A(Mdis)HKD2010-04-302025-06-18
81LU0744129395LU0744129395ACFranklin U.S. Government Fund I(acc)EUR-H12012-02-242025-06-18
82LU0800343260LU0800343260ACFranklin U.S. Government Fund I(Mdis)JPY-H12012-07-132025-02-28
83LU0563143345LU0563143345ACFranklin U.S. Government Fund Z(Mdis)USD2010-12-082025-06-18
84LU1162222563LU1162222563ACFranklin U.S. Low Duration Fund A(acc)EUR2015-01-092025-06-18
85LU1446800903LU1446800903ACFranklin U.S. Low Duration Fund A(acc)EUR-H12016-07-292025-06-18
86LU0551246555LU0551246555ACFranklin U.S. Low Duration Fund A(acc)USD2010-12-082025-06-18
87LU1586271592LU1586271592ACFranklin U.S. Low Duration Fund C(Acc)USD2017-04-072025-06-18
88LU0727124470LU0727124470ACFranklin U.S. Low Duration Fund I(acc)EUR-H12012-01-272025-06-18
89LU1212702424LU1212702424ACFranklin U.S. Low Duration Fund Z(acc)USD2015-04-242025-06-18
90LU0029872446LU0029872446ACFranklin US Government A MDis USD1991-02-282025-06-18
91LU0138076046LU0138076046ACFranklin US Government AX Acc USD2001-12-032025-06-18
92LU0152907142LU0152907142ACFranklin US Government C Acc USD2002-09-092025-06-18
93LU0269667100LU0269667100ACFranklin US Government I Acc USD2006-10-162025-06-18
94LU0139222334LU0139222334ACFranklin US Government I MDis USD2001-12-032025-06-18
95LU0128529913LU0128529913ACFranklin US Government N Acc USD2001-05-142025-06-18
96LU0098867376LU0098867376ACFranklin US Government N MDis USD1999-07-012025-06-18
97LU0170467566LU0170467566ACFranklin US Ultra Short Bond A MDis USD2003-08-292025-06-18
98LU0195953400LU0195953400ACFranklin US Ultra Short Bond I Acc USD2004-08-312025-06-18
99LU0170468374LU0170468374ACFranklin US Ultra Short Bond N MDis USD2003-08-292025-06-18
100IE00BN8TJ790IE00BN8TJ790ACFTGF Brandywine Global Fixed Income Fund Class A AUD Distributing (M) (Hedged) Plus2014-07-282025-06-18
101IE00B7Z25N71IE00B7Z25N71ACFTGF Brandywine Global Fixed Income Fund Class A Euro Accumulating (Hedged)2013-02-192025-06-18
102IE00B50ZZP90IE00B50ZZP90ACFTGF Brandywine Global Fixed Income Fund Class A Euro Distributing (A) (Hedged)2013-06-072025-06-18
103IE00B19Z4F54IE00B19Z4F54ACFTGF Brandywine Global Fixed Income Fund Class A Euro Distributing (S)2016-10-142025-06-18
104IE00B8KYM120IE00B8KYM120ACFTGF Brandywine Global Fixed Income Fund Class A Euro Distributing (S) (Hedged)2024-05-312025-06-18
105IE00B84YZF36IE00B84YZF36ACFTGF Brandywine Global Fixed Income Fund Class A GBP Distributing (M) (Hedged)2014-11-142025-06-18
106IE00BWDBJ391IE00BWDBJ391ACFTGF Brandywine Global Fixed Income Fund Class A SGD Accumulating2015-06-082025-06-18
107IE00B19Z4J92IE00B19Z4J92ACFTGF Brandywine Global Fixed Income Fund Class A US$ Accumulating2007-05-092025-06-18
108IE00B556SN66IE00B556SN66ACFTGF Brandywine Global Fixed Income Fund Class A US$ Distributing (M)2010-12-062025-06-18
109IE0033637442IE0033637442ACFTGF Brandywine Global Fixed Income Fund Class A US$ Distributing (S)2003-10-012025-06-18
110IE00B23Z9202IE00B23Z9202ACFTGF Brandywine Global Fixed Income Fund Class B US$ Accumulating2012-02-062025-06-18
111IE00B23Z9319IE00B23Z9319ACFTGF Brandywine Global Fixed Income Fund Class C US$ Accumulating2012-02-062025-06-18
112IE0034203822IE0034203822ACFTGF Brandywine Global Fixed Income Fund Class C US$ Distributing (S)2012-02-062025-06-18
113IE00BDD2BF53IE00BDD2BF53ACFTGF Brandywine Global Fixed Income Fund Class E Euro Accumulating (Hedged)2017-06-222025-06-18
114IE00B50ZNB17IE00B50ZNB17ACFTGF Brandywine Global Fixed Income Fund Class E US$ Accumulating2011-09-082025-06-18
115IE00B708Q269IE00B708Q269ACFTGF Brandywine Global Fixed Income Fund Class F US$ Accumulating2012-09-142025-06-18
116IE00B703V377IE00B703V377ACFTGF Brandywine Global Fixed Income Fund Class F US$ Distributing (S)2012-10-042025-06-18
117IE00B7VSFL77IE00B7VSFL77ACFTGF Brandywine Global Fixed Income Fund Class X Euro Accumulating (Hedged)2013-06-282025-06-18
118IE00BSZLQJ44IE00BSZLQJ44ACFTGF Brandywine Global Fixed Income Fund Class X GBP Accumulating2014-12-232025-06-18
119IE00BQ1YC284IE00BQ1YC284ACFTGF Brandywine Global Fixed Income Fund Class X GBP Accumulating (Hedged)2014-10-102025-06-18
120IE00B2Q3KT51IE00B2Q3KT51ACFTGF Brandywine Global Fixed Income Fund Class X GBP Distributing (S) (Hedged)2013-02-252025-06-18
121IE00B885M066IE00B885M066ACFTGF Brandywine Global Fixed Income Fund Class X US$ Accumulating2013-06-042025-06-18
122IE00B23Z9970IE00B23Z9970ACFTGF Brandywine Global Fixed Income Fund Class X US$ Distributing (S)2013-03-262025-06-18
123IE00B3QRTV97IE00B3QRTV97ACFTGF Brandywine Global Fixed Income Fund Premier Class Euro Accumulating2011-01-252025-06-18
124IE00B7WCJ491IE00B7WCJ491ACFTGF Brandywine Global Fixed Income Fund Premier Class Euro Accumulating (Hedged)2013-01-302025-06-18
125IE00B84SQ299IE00B84SQ299ACFTGF Brandywine Global Fixed Income Fund Premier Class GBP Accumulating (Hedged)2021-09-152025-06-18
126IE00B8B3NZ91IE00B8B3NZ91ACFTGF Brandywine Global Fixed Income Fund Premier Class GBP Distributing (M) (Hedged)2014-10-102025-06-18
127IE00B23Z9426IE00B23Z9426ACFTGF Brandywine Global Fixed Income Fund Premier Class US$ Accumulating2011-03-242025-06-18
128IE00B0D43V07IE00B0D43V07ACFTGF Brandywine Global Fixed Income Fund Premier Class US$ Distributing (S)2012-02-242025-06-18
129LU2213484517LU2213484517ACTempleton China A-Shares Fund A USD Acc2021-02-022025-06-18
130LU0093666013LU0093666013ACTempleton Euroland A Acc EUR1999-01-082025-06-19
131LU0229941660LU0229941660ACTempleton Euroland A YDis EUR2005-10-252025-06-19
132LU1863844665LU1863844665ACTempleton Euroland Fund A (Acc) USD2018-08-302025-06-19
133LU1685355114LU1685355114ACTempleton Euroland Fund A (Acc) USD H12017-09-272025-06-19
134LU1863844749LU1863844749ACTempleton Euroland Fund A (Ydis) USD2018-08-302025-06-19
135LU1863844822LU1863844822ACTempleton Euroland Fund N (Acc) USD H12018-08-302025-06-19
136LU1586277011LU1586277011ACTempleton Euroland Fund W (Acc) EUR2017-04-072025-06-19
137LU0195950489LU0195950489ACTempleton Euroland I Acc EUR2004-08-312025-06-19
138LU0128521001LU0128521001ACTempleton Euroland N Acc EUR2001-05-142025-06-19
139LU0320763518LU0320763518ACTempleton Latin America A Acc SGD2007-10-252025-06-18
140LU0128526570LU0128526570ACTempleton Latin America A Acc USD2001-05-142025-06-18
141LU0260865158LU0260865158ACTempleton Latin America A YDis EUR2006-09-012025-06-18
142LU0229944680LU0229944680ACTempleton Latin America A YDis GBP2005-10-252025-06-18
143LU0029865408LU0029865408ACTempleton Latin America A YDis USD1991-02-282025-06-18
144LU0260872014LU0260872014ACTempleton Latin America C Acc USD2006-09-012025-06-18
145LU0592650328LU0592650328ACTempleton Latin America Fund A(acc)EUR2011-03-182025-06-18
146LU0768358532LU0768358532ACTempleton Latin America Fund Z(acc)GBP2012-05-312025-06-18
147LU0229944334LU0229944334ACTempleton Latin America I Acc USD2005-10-252025-06-18
148LU0450468268LU0450468268ACTempleton Latin America I YDis EUR H22009-09-302025-06-18
149LU0465790201LU0465790201ACTempleton Latin America N Acc PLN-H12009-11-202025-06-18
150LU0094040077LU0094040077ACTempleton Latin America N Acc USD1996-09-302025-06-18