Funds (332)
Asset manager: Azimut Investments S.A.
0Selected:
Name
Currency
ISIN
FIDA Category
FIDA Rating
Start date
Date
Last price
USD LU0866065187 -- 14/03/2008 29/05/2026 168.57
EUR LU0354663808 -- 09/04/2008 29/05/2026 127.74
USD LU0866088122 -- 31/03/2015 29/05/2026 95.35
EUR LU0386610272 -- 30/01/2009 29/05/2026 85.98
EUR LU2621756779 -- 13/02/2024 27/07/2026 6.06
EUR LU2621756852 -- 14/02/2024 27/07/2026 6.06
EUR LU3081956784 --- 27/07/2026 5.16
EUR LU3081956867 --- 27/07/2026 5.04
EUR LU3081956941 --- 27/07/2026 5.16
EUR LU3081957089 --- 27/07/2026 5.04
EUR LU2148611275 Total Return (Medium Volatility)
26/05/2020 27/07/2026 7.46
EUR LU2148611358 Total Return (Medium Volatility)
26/05/2020 27/07/2026 7.30
EUR LU2148611515 Total Return (Medium Volatility) - 26/05/2020 27/07/2026 8.48
EUR LU0346933400 Diversified Balanced
01/03/2008 27/07/2026 9.30
EUR LU0346934713 Diversified Balanced
01/03/2008 27/07/2026 9.32
EUR LU3081370317 --- 27/07/2026 5.51
EUR LU3081370580 --- 27/07/2026 5.35
EUR LU3081370408 --- 27/07/2026 5.51
EUR LU3081370663 -- 12/01/2026 27/07/2026 5.17
EUR LU2384057423 Target Date Bond - 03/02/2021 27/07/2026 6.13
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