Focus d'investimento Indice | Grafico a 4 sett. | Min/max a 52 sett. | 2025 | 2024 | 2023 | 2022 | 2021 | Numero di ETF |
---|---|---|---|---|---|---|---|---|
Obbligazioni Mercati emergenti Societaria USD ICE BofAML Diversified High Yield US Emerging Markets Corporate Plus | 1,29% | 19,14% | 3,33% | -6,93% | 6,67% | 1 ETF | ||
Obbligazioni Cina Governative CNY Bloomberg China Treasury + Policy Bank (USD Hedged) | 2,00% | 18,59% | 4,05% | 8,94% | 10,92% | 1 ETF | ||
Obbligazioni Globale Obbligazioni convertibili USD iBoxx® USD Contingent Convertible Liquid Developed Market AT1 | 0,74% | 17,63% | -1,40% | -4,39% | 13,15% | 2 ETF | ||
Obbligazioni Globale Societaria USD Bloomberg SASB US Corporate High Yield ESG Ex-Controversies Select | 0,97% | 16,79% | 8,60% | -5,18% | 13,84% | 1 ETF | ||
Obbligazioni Mercati emergenti Governative USD J.P. Morgan ESG EMBI Global Diversified Short-Term Custom Maturity | 1,26% | 15,67% | 4,20% | -4,92% | 8,03% | 1 ETF | ||
Obbligazioni Asia Pacifico Societaria USD iBoxx® MSCI ESG USD Asia ex-Japan High Yield Capped (EUR Hedged) | -0,53% | 15,61% | -11,97% | -21,75% | - | 1 ETF | ||
Obbligazioni Europa Obbligazioni convertibili iBoxx® Contingent Convertible Liquid Developed Europe AT1 | 0,43% | 15,46% | 1,78% | -8,49% | 10,69% | 1 ETF | ||
Obbligazioni Globale Societaria USD iBoxx® USD Liquid Investment Grade Interest Rate Hedged | 1,38% | 15,25% | 7,22% | 6,26% | 9,76% | 2 ETF | ||
Obbligazioni Globale Societaria USD ICE BofAML US High Yield Constrained | 0,86% | 14,93% | 9,28% | - | - | 1 ETF | ||
Obbligazioni Globale Societaria USD Bloomberg MSCI US Corporate High Yield SRI Sustainable | 1,25% | 14,70% | 8,00% | -6,99% | - | 2 ETF | ||
Obbligazioni Globale Societaria USD Bloomberg MSCI US Corporate High Yield Sustainable BB+ SRI Bond | 1,59% | 14,70% | 8,49% | -6,51% | 12,63% | 2 ETF | ||
Obbligazioni Mercati emergenti Governative USD Bloomberg Emerging Markets USD Sovereign & Agency 3% Country Capped | 0,46% | 14,69% | 7,87% | -14,11% | 5,45% | 1 ETF | ||
Obbligazioni Globale Societaria USD BofA Merrill Lynch US High Yield Constrained 0-5 | 1,21% | 14,66% | 7,93% | 0,83% | 13,49% | 1 ETF | ||
Obbligazioni Mercati emergenti Aggregate USD JP Morgan USD Emerging Markets Diversified 3% capped 1-5 Year Bond | 1,25% | 14,55% | 4,27% | -4,58% | 8,57% | 1 ETF | ||
Obbligazioni Globale Obbligazioni convertibili Refinitiv Qualified Global Convertible | 0,66% | 14,26% | 8,89% | -14,56% | 4,95% | 1 ETF | ||
Obbligazioni Globale Societaria USD Bloomberg US High Yield Very Liquid ex 144A | 0,90% | 13,93% | 9,57% | -6,53% | 12,65% | 1 ETF | ||
Obbligazioni Globale Societaria USD Bloomberg MSCI US High Yield Sustainable and SRI | 0,92% | 13,92% | 8,46% | - | - | 1 ETF | ||
Obbligazioni Globale Societaria USD MSCI USD HY SRI Sustainable Corporate Bond | 0,57% | 13,90% | 7,13% | - | - | 1 ETF | ||
Obbligazioni Globale Societaria USD iBoxx® USD Liquid High Yield Capped | 1,08% | 13,68% | 6,94% | -3,44% | 12,88% | 2 ETF | ||
Obbligazioni Italia Governative EUR Bloomberg Italy Treasury Bond (USD Hedged) | -0,52% | 13,61% | 7,87% | -10,13% | 5,66% | 1 ETF | ||
Obbligazioni Mercati emergenti Societaria USD JP Morgan CEMBI Broad Diversified Core | 1,01% | 13,41% | 4,19% | -7,05% | 8,45% | 2 ETF | ||
Obbligazioni Globale Societaria USD iBoxx® USD Liquid High Yield 0-5 Capped | 1,27% | 13,39% | 5,09% | 2,23% | 12,91% | 2 ETF | ||
Obbligazioni Stati Uniti Societaria USD Bloomberg US Floating Rate Notes 1-5 | 1,53% | 13,27% | 2,77% | 7,43% | 9,03% | 2 ETF | ||
Obbligazioni Globale Societaria USD iBoxx MSCI ESG USD FRN Investment Grade Corporates | 1,58% | 13,19% | 2,82% | 7,41% | 8,40% | 1 ETF | ||
Obbligazioni Mercati emergenti Governative USD Bloomberg EM USD Sovereign + Quasi-Sov | 0,56% | 13,08% | 5,85% | -9,90% | 6,50% | 2 ETF | ||
Obbligazioni Stati Uniti Indicizzate all’inflazione USD iBoxx® USD Breakeven 10-Year Inflation | 2,32% | 13,06% | 1,00% | 9,17% | 18,47% | 1 ETF | ||
Obbligazioni Mercati emergenti Governative USD Bloomberg Emerging Markets USD Sovereign | 0,40% | 13,06% | 6,42% | -10,78% | 5,35% | 1 ETF | ||
Obbligazioni Mercati emergenti Governative USD FTSE Emerging Markets USD Government and Government-Related Bond Select | 0,46% | 12,81% | 6,95% | -13,69% | 5,28% | 2 ETF | ||
Obbligazioni Mercati emergenti Governative USD JP Morgan EMBI Global Core | 0,29% | 12,73% | 6,75% | -13,31% | 6,17% | 2 ETF | ||
Obbligazioni Globale Societaria USD iBoxx® USD Liquid Investment Grade Ultrashort | 1,39% | 12,50% | 1,79% | 7,71% | 8,35% | 2 ETF | ||
Obbligazioni Mercati emergenti Societaria USD JP Morgan ESG CEMBI Broad Diversified Custom Maturity | 0,84% | 12,44% | 2,94% | -6,17% | - | 1 ETF | ||
Obbligazioni Mercati emergenti Governative USD JP Morgan ESG EMBI Global Diversified | 0,56% | 12,39% | 6,01% | -14,31% | 6,29% | 2 ETF | ||
Obbligazioni India Governative INR J.P. Morgan India Government Fully Accessible Route (FAR) Bonds | 0,03% | 12,33% | 2,60% | - | - | 4 ETF | ||
Obbligazioni Stati Uniti Societaria USD ICE US Fallen Angel High Yield 10% Constrained | 0,69% | 12,28% | - | - | - | 1 ETF | ||
Obbligazioni Globale Societaria USD iBoxx® MSCI ESG USD Liquid Investment Grade Ultrashort | 2,07% | 12,27% | 1,75% | 8,01% | 8,27% | 1 ETF | ||
Obbligazioni Globale Societaria USD ICE Global Fallen Angel High Yield 10% Constrained | 0,74% | 12,25% | 6,81% | -7,58% | 11,34% | 1 ETF | ||
Obbligazioni Globale Societaria USD Bloomberg MSCI Global Corporate High Yield SRI Sustainable | 0,93% | 12,16% | 8,47% | -8,24% | 9,29% | 1 ETF | ||
Obbligazioni Globale Societaria USD Bloomberg Global Aggregate Corporate USD 1-3 | 0,87% | 12,07% | 1,97% | 2,01% | 8,16% | 2 ETF | ||
Obbligazioni Globale Societaria USD Bloomberg MSCI US Corporate 0-3 Sustainable SRI | 1,25% | 12,05% | 1,81% | 3,63% | 8,28% | 1 ETF | ||
Obbligazioni Globale Societaria USD Bloomberg US Corporate 0-3 | 1,08% | 12,03% | 1,78% | 3,83% | 8,25% | 1 ETF | ||
Obbligazioni Stati Uniti Governative USD Bloomberg US Treasury Floating Rate Bond | 1,44% | 11,97% | 1,52% | 8,27% | 8,30% | 1 ETF | ||
Obbligazioni Stati Uniti Governative USD Bloomberg US Short Treasury | 1,50% | 11,93% | 1,22% | 6,79% | 8,40% | 1 ETF | ||
Obbligazioni Stati Uniti Governative USD IDC US Treasury Short Term | 1,40% | 11,92% | 1,39% | 7,22% | 8,33% | 2 ETF | ||
Obbligazioni Stati Uniti Governative USD Bloomberg Short Treasury | 1,17% | 11,90% | 1,40% | 7,16% | 8,34% | 1 ETF | ||
Obbligazioni Stati Uniti Governative USD ICE US Treasury 0-1 Year | 1,18% | 11,89% | 1,30% | 7,29% | 8,31% | 1 ETF | ||
Obbligazioni Stati Uniti Governative USD FTSE US Treasury Short Duration | 1,13% | 11,89% | 1,38% | 7,17% | 8,34% | 1 ETF | ||
Obbligazioni Stati Uniti Governative USD Bloomberg US Treasury Coupons | 1,41% | 11,85% | 1,36% | 6,69% | 8,32% | 1 ETF | ||
Obbligazioni Globale Societaria USD Bloomberg MSCI December 2025 Maturity USD Corporate ESG Screened | 1,11% | 11,84% | - | - | - | 1 ETF | ||
Obbligazioni Mercati emergenti Governative USD ICE BofA Emerging Markets USD Government Bond 0-5 ex-144a | 0,92% | 11,74% | 2,40% | -1,05% | 7,95% | 1 ETF | ||
Obbligazioni Globale Societaria USD Bloomberg MSCI December 2026 Maturity USD Corporate ESG Screened | 0,98% | 11,69% | - | - | - | 2 ETF |
Fonte: justETF.com; Al 14/01/25; Calcoli in Euro sulla base del miglior ETF dell'indice di riferimento del 2024.