Funds (611)
Asset manager: ANIMA SGR PER AZIONI
0Selected:
Name
Currency
ISIN
FIDA Category
FIDA Rating
Start date
Date
Last price
EUR IE00BZ006S40 Total Return (Medium Volatility) - 27/11/2017 27/07/2026 6.79
EUR IE00BYMJ8F32 Total Return Europe
16/01/2017 27/07/2026 7.97
EUR IE00B7FN3F89 Total Return Europe
10/03/2015 27/07/2026 6.80
EUR IE00B7FN3D65 Total Return Europe
08/03/2012 27/07/2026 7.33
EUR IE0032464921 Total Return Europe - 26/11/2009 27/07/2026 11.47
EUR IE0008003968 Total Return Europe
05/10/1999 27/07/2026 12.02
EUR IE00B07Q3W33 Total Return Europe
11/07/2005 27/07/2026 8.56
EUR IT0005713448 -- 19/07/2026 24/07/2026 10.00
EUR IT0005658791 Diversified Other Balanced - 19/09/2025 24/07/2026 10.45
EUR IT0005658908 Diversified Other Balanced - 19/09/2025 24/07/2026 10.40
EUR IT0005671620 Diversified Other Balanced - 23/01/2026 24/07/2026 10.00
EUR IT0005671646 Diversified Other Balanced - 23/01/2026 24/07/2026 10.30
EUR IT0005694283 Diversified Other Balanced - 07/04/2026 24/07/2026 10.00
EUR IT0005694309 Diversified Other Balanced - 07/04/2026 24/07/2026 9.95
EUR IT0005703563 -- 28/06/2026 24/07/2026 10.00
EUR IT0005703589 -- 28/06/2026 24/07/2026 9.98
EUR IT0005524894 Money Markets Euro (EUR) - 28/02/2023 27/07/2026 54.77
EUR IE00BJBQBP13 Total Return (Medium Volatility)
14/04/2014 27/07/2026 5.56
EUR IE00BVC3DB58 Total Return (Medium Volatility)
28/06/2016 27/07/2026 6.28
EUR IE00BJBQBQ20 Total Return (Medium Volatility) - 18/03/2014 27/07/2026 6.92
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