Funds (332)
Asset manager: Azimut Investments S.A.
0Selected:
Name
Currency
ISIN
FIDA Category
FIDA Rating
Start date
Date
Last price
EUR LU2097828631 Equity Greater China (China, Hong Kong, Taiwan)
07/05/2020 30/07/2026 3.95
EUR LU2097828714 Equity Greater China (China, Hong Kong, Taiwan)
07/05/2020 30/07/2026 3.94
EUR LU2097821974 Equity Other - 07/05/2020 30/07/2026 10.30
EUR LU2097822196 Equity Other - 18/05/2020 30/07/2026 10.22
EUR LU0107999889 Equity Asia Pacific (Emerging Markets)
17/11/2000 30/07/2026 13.34
EUR LU0108015834 Equity Asia Pacific (Emerging Markets)
17/11/2000 30/07/2026 13.36
EUR LU3081725973 --- 30/07/2026 5.05
EUR LU3081726435 --- 30/07/2026 5.01
EUR LU3081726278 --- 30/07/2026 5.06
EUR LU3081726609 --- 30/07/2026 5.25
EUR LU1867654516 Equity World (Emerging & Developed Markets) - Large & Mid Cap
25/02/2019 30/07/2026 6.88
EUR LU1867654607 Equity World (Emerging & Developed Markets) - Large & Mid Cap
25/02/2019 30/07/2026 5.79
EUR LU1867654789 Equity World (Emerging & Developed Markets) - Large & Mid Cap
20/03/2019 30/07/2026 6.88
EUR LU1867654862 Equity World (Emerging & Developed Markets) - Large & Mid Cap
20/03/2019 30/07/2026 5.79
EUR LU0107996786 Equity Europe (Developed Markets) - Large & Mid Cap
28/07/2000 30/07/2026 5.18
EUR LU0107997081 Equity Europe (Developed Markets) - Large & Mid Cap
28/07/2000 30/07/2026 5.18
EUR LU2240827464 Equity Sector - Agriculture
02/02/2021 30/07/2026 5.00
EUR LU2240827548 Equity Sector - Agriculture
02/02/2021 30/07/2026 5.00
EUR LU2332973481 Equity Usa - Large & Mid Cap
19/05/2021 30/07/2026 5.72
EUR LU2332973564 Equity Usa - EUR Hedged
19/05/2021 30/07/2026 4.78
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