Funds (120)
Asset manager: Dnca Finance
0Selected:
Name
Currency
ISIN
FIDA Category
FIDA Rating
Start date
Date
Last price
EUR FR0013526464 Diversified Conservative - 08/07/2024 31/07/2026 113.83
EUR FR0010354837 Diversified EUR Aggressive - 29/06/2006 03/08/2026 215.28
EUR LU1694789451 Total Return Bond
14/12/2017 03/08/2026 131.56
EUR LU1791428136 Total Return Bond
21/03/2019 03/08/2026 113.89
EUR LU1694789535 Total Return Bond
14/12/2017 03/08/2026 129.59
EUR LU1908356857 Total Return Bond - 10/12/2018 03/08/2026 138.56
USD LU3225860942 Total Return Usd Hedged -- 03/08/2026 100.82
EUR LU1694789378 Total Return Bond - 14/12/2017 03/08/2026 138.73
EUR LU1791427914 Total Return Bond - 04/04/2018 03/08/2026 116.93
EUR LU1694789709 Total Return Bond - 14/12/2017 03/08/2026 135.83
EUR LU1744459667 Total Return Bond - 16/03/2018 03/08/2026 115.90
EUR LU1728553857 Total Return Bond - 18/04/2018 03/08/2026 136.96
EUR LU2882333730 Equity Eurozone - Large & Mid Cap -- 03/08/2026 182.19
EUR LU2882333813 Equity Eurozone - Large & Mid Cap - 17/02/2026 03/08/2026 205.65
EUR LU2882333656 Equity Eurozone - Large & Mid Cap -- 03/08/2026 229.53
EUR LU2882333904 Equity Eurozone - Large & Mid Cap -- 03/08/2026 217.04
EUR LU3281738164 Equity Focus - ESG (Europe) -- 03/08/2026 133.13
EUR LU3038492545 Equity Focus - ESG (Europe) -- 03/08/2026 111.60
EUR LU3038492628 Equity Focus - ESG (Europe) -- 03/08/2026 181.29
EUR LU3038492974 Equity Focus - ESG (Europe) -- 03/08/2026 199.08
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