Funds (797)
Assogestioni category: Bond Balanced
0Selected:
Name
Currency
ISIN
FIDA Category
FIDA Rating
Start date
Date
Last price
EUR IT0005491631 Diversified Conservative
11/05/2022 28/07/2026 6.39
EUR IT0005479404 Diversified Conservative
01/02/2022 28/07/2026 5.89
EUR LU1882475392 Total Return (Medium Volatility)
17/06/2019 29/07/2026 63.33
EUR LU1882475558 Total Return (Medium Volatility)
17/06/2019 29/07/2026 4.58
EUR LU1882475632 Total Return (Medium Volatility)
17/06/2019 29/07/2026 4.49
EUR LU1882475715 Total Return (Medium Volatility) - 17/06/2019 29/07/2026 990.41
EUR LU1883329432 Diversified Conservative
17/06/2019 29/07/2026 72.66
EUR LU2330498085 Diversified Conservative
23/04/2021 29/07/2026 5.11
EUR LU1883329606 Diversified Conservative
17/06/2019 29/07/2026 7.50
EUR LU3129351121 Diversified Conservative - 14/08/2025 29/07/2026 5.12
EUR LU1883329788 Diversified Conservative
17/06/2019 29/07/2026 6.23
EUR LU1883329945 Diversified Conservative
17/06/2019 29/07/2026 5.34
EUR LU1883329861 Diversified Conservative
17/06/2019 29/07/2026 6.03
USD LU1883330018 Diversified Usd Prudent - 17/06/2019 29/07/2026 1,663.25
EUR LU3129351394 Diversified Conservative - 14/08/2025 29/07/2026 1,060.57
EUR LU1883330109 Diversified Conservative - 17/06/2019 29/07/2026 1,636.88
EUR LU2036673882 Diversified Conservative
24/09/2019 29/07/2026 5.48
EUR LU2018721113 Diversified Conservative
20/09/2019 29/07/2026 5.17
EUR LU1941682418 Diversified Conservative
18/04/2019 29/07/2026 105.69
EUR LU1941682335 Diversified Conservative
18/04/2019 29/07/2026 111.40
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