Funds (611)
Asset manager: ANIMA SGR PER AZIONI
0Selected:
Name
Currency
ISIN
FIDA Category
FIDA Rating
Start date
Date
Last price
EUR IT0005159006 Diversified EUR Conservative
16/02/2016 27/07/2026 5.58
EUR IT0005158982 Diversified EUR Conservative - 19/02/2016 27/07/2026 7.19
EUR IT0005479917 Diversified EUR Conservative
01/07/2022 27/07/2026 54.13
EUR IT0005479933 Diversified EUR Conservative
01/07/2022 27/07/2026 44.86
EUR IT0005444671 Equity Focus -ESG (World)
14/06/2021 27/07/2026 6.26
EUR IT0005444697 Equity Focus -ESG (World)
14/06/2021 27/07/2026 5.55
EUR IT0005444572 Total Return Bond
14/06/2021 27/07/2026 5.20
EUR IT0005444630 Diversified Balanced
14/06/2021 27/07/2026 6.09
EUR IT0005444655 Diversified Balanced
14/06/2021 27/07/2026 5.43
EUR IT0005444598 Diversified Conservative
14/06/2021 27/07/2026 5.63
EUR IT0005444614 Diversified Conservative
14/06/2021 27/07/2026 5.16
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