Funds (797)
Assogestioni category: Bond Balanced
0Selected:
Name
Currency
ISIN
FIDA Category
FIDA Rating
Start date
Date
Last price
EUR LU1308276598 Diversified EUR Conservative - 21/10/2015 31/07/2026 108.90
EUR LU2008561982 Diversified EUR Conservative
10/07/2019 31/07/2026 107.61
EUR LU1271725365 Diversified EUR Conservative - 19/08/2015 31/07/2026 125.01
USD LU1308276754 Diversified Eur Hedged Conservative - 28/10/2015 31/07/2026 129.58
EUR LU1271725449 Diversified EUR Conservative
19/08/2015 31/07/2026 110.84
EUR LU1271725522 Diversified EUR Conservative
19/08/2015 31/07/2026 110.62
EUR LU1461867779 Diversified EUR Conservative - 03/08/2016 31/07/2026 123.03
EUR LU1271725878 Diversified EUR Conservative - 18/08/2015 31/07/2026 107.27
EUR LU1271725951 Diversified EUR Conservative - 19/08/2015 31/07/2026 136.33
USD LU1733247404 Diversified Usd Prudent - 26/01/2018 31/07/2026 150.11
EUR LU1733247073 Diversified Conservative
26/01/2018 31/07/2026 127.23
EUR LU1733247156 Diversified Conservative - 26/01/2018 31/07/2026 126.69
USD LU1733247669 Diversified Usd Prudent - 26/01/2018 31/07/2026 158.39
EUR LU1733247230 Diversified Conservative - 26/01/2018 31/07/2026 134.27
GBP LU1733247586 Diversified Other Conservative - 26/01/2018 31/07/2026 146.67
EUR LU1733247313 Diversified Conservative - 26/01/2018 31/07/2026 128.06
EUR LU2075911144 Diversified Conservative
06/11/2019 31/07/2026 117.56
EUR LU2242191216 Diversified Conservative - 28/10/2020 31/07/2026 130.06
EUR LU2485534999 Diversified Conservative - 22/06/2022 31/07/2026 129.48
USD LU1298142255 Diversified Usd Prudent - 30/09/2015 31/07/2026 141.41
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