Funds (1589)
Assogestioni category: Insurance
0Selected:
Name
Currency
ISIN
FIDA Category
FIDA Rating
Start date
Date
Last price
EUR PVDIC Diversified Balanced -- 23/07/2026 122.23
EUR PVPROB Target Date Bond - 14/01/2026 23/07/2026 99.01
EUR PVPROS Total Return (Medium Volatility) - 03/07/2025 23/07/2026 102.34
EUR PVSBILA Diversified Aggressive - 05/11/2025 23/07/2026 8.42
EUR PVSBILB Diversified Aggressive - 05/11/2025 23/07/2026 8.31
EUR PVSLCNVA Diversified Conservative - 05/11/2025 23/07/2026 4.58
EUR PVSLCNVB Diversified Conservative - 05/11/2025 23/07/2026 4.54
EUR PVSOLPRO Protected Capital (Absolute Return) - 05/11/2025 23/07/2026 10.42
EUR PVSODI Diversified Aggressive - 09/06/2022 23/07/2026 126.48
EUR PVSODIB Diversified Aggressive - 30/10/2025 23/07/2026 128.06
EUR PVSOSE Diversified Balanced - 09/06/2022 23/07/2026 122.50
EUR PVSOSEB Diversified Balanced - 30/10/2025 23/07/2026 123.52
EUR PVSOSV Diversified Aggressive - 09/06/2022 23/07/2026 136.40
EUR REPMBI Diversified Other Conservative - 07/05/2018 27/07/2026 12.08
EUR SASOSV Equity Focus -ESG (World) - 24/11/2021 22/07/2026 14.43
EUR SARAPO Equity World (Emerging & Developed Markets) - Large & Mid Cap - 28/07/2021 22/07/2026 14.10
EUR SAPFAIN Equity World (Emerging & Developed Markets) - Large & Mid Cap - 29/09/2023 20/07/2026 39.72
EUR SAPFOE Bond Eurozone - Corporate & Government - 29/09/2023 20/07/2026 10.57
EUR SASPIS Equity Focus -ESG (World) - 31/05/2023 22/07/2026 12.53
EUR SJCORP Bond World - Corporate - 19/11/2010 29/07/2026 2.27
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