Funds (611)
Asset manager: ANIMA SGR PER AZIONI
0Selected:
Name
Currency
ISIN
FIDA Category
FIDA Rating
Start date
Date
Last price
EUR IT0005451783 Total Return Europe
19/07/2021 30/07/2026 5.21
EUR IT0005451809 Total Return Europe
19/07/2021 30/07/2026 4.98
EUR IT0005451825 Total Return Europe - 19/07/2021 30/07/2026 5.41
EUR IT0005491813 Total Return Europe
02/05/2022 30/07/2026 5.35
EUR IT0005491839 Total Return Europe
02/05/2022 30/07/2026 5.14
EUR IT0005491854 Total Return Europe - 02/05/2022 30/07/2026 5.52
EUR IT0005158701 Equity Europe (Developed Markets) - Large & Mid Cap
19/02/2016 30/07/2026 10.12
EUR IT0005248429 Equity Europe (Developed Markets) - Large & Mid Cap
14/04/2017 30/07/2026 8.07
EUR IT0004896772 Equity Europe (Developed Markets) - Large & Mid Cap - 01/03/2013 30/07/2026 11.98
EUR IT0005404378 Equity Europe (Developed Markets) - Large & Mid Cap - 24/04/2020 30/07/2026 12.01
EUR IE0032465662 Equity Europe (Developed Markets) - Large & Mid Cap - 24/10/2008 30/07/2026 24.08
EUR IE0007999117 Equity Europe (Developed Markets) - Large & Mid Cap
05/10/1999 30/07/2026 16.10
EUR IE000QZMBJO6 Equity Europe (Developed Markets) - Large & Mid Cap - 02/10/2025 30/07/2026 5.72
EUR IE0032465449 Equity Europe (Developed Markets) - Large & Mid Cap
13/07/2005 30/07/2026 13.29
EUR IE000IEGJKJ1 Equity Focus - ESG (Europe) - 24/05/2023 30/07/2026 8.00
EUR IT0005494783 Diversified Balanced
10/06/2022 24/07/2026 6.35
EUR IT0005505455 Diversified Target Date - 14/10/2022 24/07/2026 6.30
EUR IT0005449373 Total Return Bond - 14/06/2021 30/07/2026 5.08
EUR IT0005466807 Total Return Bond
03/01/2022 30/07/2026 5.22
EUR IT0000388444 Total Return (Medium Volatility)
03/04/1991 30/07/2026 18.70
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