Funds (497)
Assogestioni category: Equity Balanced
0Selected:
Name
Currency
ISIN
FIDA Category
FIDA Rating
Start date
Date
Last price
EUR LU2407593065 -- 31/01/2022 28/07/2026 5.44
EUR LU2474778375 -- 29/07/2022 28/07/2026 5.90
EUR LU2474780603 -- 29/07/2022 28/07/2026 5.83
EUR LU2446850211 Total Return ESG
02/05/2022 28/07/2026 5.87
EUR LU2446850302 Total Return ESG
02/05/2022 28/07/2026 5.80
EUR LU2523293236 -- 31/03/2023 28/07/2026 6.97
EUR LU2523293152 -- 31/03/2023 28/07/2026 6.88
EUR LU2407593735 Total Return ESG
31/01/2022 28/07/2026 5.50
EUR LU2407593651 Total Return ESG
31/01/2022 28/07/2026 5.42
EUR LU2373916753 Total Return ESG
29/10/2021 28/07/2026 5.46
EUR LU2373916837 Total Return ESG
29/10/2021 28/07/2026 5.38
EUR LU2474779183 Total Return (High Volatility)
29/07/2022 28/07/2026 8.86
EUR LU2474779001 Total Return (High Volatility)
29/07/2022 28/07/2026 8.72
EUR LU2925012267 -- 28/02/2025 28/07/2026 5.34
EUR LU2925012341 -- 28/02/2025 28/07/2026 5.32
EUR LU2446850484 Total Return (High Volatility)
29/04/2022 28/07/2026 8.97
EUR LU2446850567 Total Return (High Volatility)
29/04/2022 28/07/2026 8.82
EUR LU2340109300 -- 30/09/2021 28/07/2026 5.55
EUR LU2340107601 -- 30/09/2021 28/07/2026 5.47
EUR LU2474779340 -- 30/09/2022 28/07/2026 7.05
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