Funds (332)
Asset manager: Azimut Investments S.A.
0Selected:
Name
Currency
ISIN
FIDA Category
FIDA Rating
Start date
Date
Last price
EUR LU3020847698 Diversified Balanced -- 02/07/2026 4.81
EUR LU0262758146 Diversified Balanced
01/09/2006 02/07/2026 7.42
EUR LU3020847771 Diversified Balanced -- 02/07/2026 4.89
EUR LU0947788757 Diversified Balanced
20/09/2013 02/07/2026 5.74
EUR LU0947789136 Diversified Balanced
20/09/2013 02/07/2026 4.80
EUR LU0947788831 Diversified Balanced
19/09/2013 02/07/2026 5.74
EUR LU0947789219 Diversified Balanced
24/09/2013 02/07/2026 4.80
EUR LU2081248465 Diversified Balanced
03/04/2020 02/07/2026 5.65
EUR LU2081248549 Diversified Balanced
03/04/2020 02/07/2026 4.41
EUR LU2081248978 Diversified Balanced - 03/04/2020 02/07/2026 6.93
EUR LU2458530842 Equity Italy - Mid & Small Cap
12/07/2022 27/07/2026 7.80
EUR LU2461762481 Equity Italy - Mid & Small Cap
12/07/2022 27/07/2026 8.01
EUR LU2168562101 Equity Italy - Large & Mid Cap
18/12/2020 27/07/2026 7.37
EUR LU2168562366 Equity Italy - Large & Mid Cap
18/12/2020 27/07/2026 5.54
EUR LU2168562283 Equity Italy - Large & Mid Cap
18/12/2020 27/07/2026 7.37
EUR LU2168562440 Equity Italy - Large & Mid Cap
18/12/2020 27/07/2026 5.54
EUR LU3081705785 --- 27/07/2026 5.48
EUR LU3081705868 --- 27/07/2026 5.43
EUR LU3081705942 --- 27/07/2026 5.48
EUR LU3081706080 --- 27/07/2026 4.98
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