FJR6.HM | FJR6.HM | 57.57 | N/A | Mutual Fund | HAM |
FJR5.HM | BGF-BGF US DOLLAR BD A2 | 29.99 | N/A | ETF | HAM |
FJRZ.HM | FID.FDS-CHINA CONSUM.AAEO | 16.50 | N/A | ETF | HAM |
FJRG.HM | FID.FDS-AS.SPEC.SIT.A GL. | 49.64 | N/A | ETF | HAM |
FJRS.HM | BGF-FIX.I.GL.OPP.F.A2 USD | 14.65 | N/A | ETF | HAM |
FJ2W.HM | FID.FDS-US H.YI.A USD | 10.62 | N/A | ETF | HAM |
FJRM.HM | FIDELITY-GL.DIV.PLUS AGL | 11.01 | N/A | ETF | HAM |
FJRT.HM | BGF-E.M.L.CURR.B.F.A2 DL | 21.59 | N/A | ETF | HAM |
FJRK.HM | FID.FDS-IBERIA FD A GL. | 99.67 | N/A | ETF | HAM |
FJR7.HM | FID.FDS-IBERIA A ACC. EUR | 23.25 | N/A | ETF | HAM |
FJRH.HM | FID.FDS-CHINA FOCUS A DL | 54.49 | N/A | ETF | HAM |
FJRQ.HM | FID.FDS-GL FIN.SERV.A GL. | 57.33 | N/A | ETF | HAM |
FJRP.HM | FID.FDS-INDIA FOC.FD A EO | 93.06 | N/A | ETF | HAM |
FJRV.HM | BGF-JAP.SM.+MIDC.OPP.A2YN | 65.24 | N/A | ETF | HAM |
FJRR.HM | BGF-INDA FUND A2 USD | 55.56 | N/A | ETF | HAM |
FJR2.HM | FID.-ASIA PAC.DIVID.A DL | 26.47 | N/A | ETF | HAM |
FJRC.HM | FID.FDS-LATIN AMER. A GL. | 27.27 | N/A | ETF | HAM |
FJRU.HM | BGF-GLB.INFL.LKD BD FD A2 | 15.07 | N/A | ETF | HAM |
FJRL.HM | FID.FDS-ITALY A GL. | 59.19 | N/A | ETF | HAM |
FJRF.HM | FF-SUST.AS.EQ.FD A DIS.DL | 9.57 | N/A | ETF | HAM |
FJRB.HM | FID.FDS-USD BOND A GL. | 6.51 | N/A | ETF | HAM |
FJRW.HM | BGF-EUROP.EQ.INC.A2 A EO | 27.86 | N/A | ETF | HAM |
FJR4.HM | FJR4.HM | 10.78 | N/A | Mutual Fund | HAM |
F7RW.HM | F7RW.HM | N/A | N/A | ETF | HAM |
FJRJ.HM | FID.FDS-FRANCE FD A GL. | 58.22 | N/A | ETF | HAM |