BigFi apporta una variazione dell’asset allocation sul portafoglio modello EverGreen:
– Acquistando con l’1% del portafoglio, VanEck Gold Miners UCITS ETF (ISIN: IE00BQQP9F84), al prezzo di mercato.
– Acquistando con l’1% del portafoglio, ETC Group Physical Bitcoin (ISIN: DE000A27Z304), al prezzo di mercato.
– Acquistando con l’1% del portafoglio, GOLDMAN 27-03-25 3.375% (ISIN: XS2149207354), al prezzo di mercato.
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Inoltre, BigFi apporta una variazione dell’asset allocation sul portafoglio modello Titans USA:
– Acquistando con il 2,50% del portafoglio, Alphabet (ISIN: US02079K3059) al prezzo di mercato. Sulla borsa del Nasdaq.
– Acquistando con il 2,50% del portafoglio, Exxon Mobil Corporation (ISIN: US30231G1022) al prezzo di mercato. Sulla borsa di New York.
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BigFi makes a change in asset allocation to the EverGreen model portfolio:
– By purchasing with 1% of the portfolio, VanEck Gold Miners UCITS ETF (ISIN: IE00BQQP9F84), at the market price.
– By purchasing with 1% of your portfolio, ETC Group Physical Bitcoin (ISIN: DE000A27Z304), at the market price.
– Buying with 1% of the portfolio, GOLDMAN 27-03-25 3.375% (ISIN: XS2149207354), at the market price.
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Additionally, BigFi makes a change in asset allocation to the Titans USA model portfolio:
– Buying with 2,50% of the portfolio, Alphabet (ISIN: US02079K3059) at the market price. On the Nasdaq stock exchange.
– Buying with 2,50% of the portfolio, Exxon Mobil Corporation (ISIN: US30231G1022) at the market price. On the New York Stock Exchange.
Orders GTC