Funds (332)
Asset manager: Azimut Investments S.A.
0Selected:
Name
Currency
ISIN
FIDA Category
FIDA Rating
Start date
Date
Last price
EUR LU0677531435 Bond World - EUR Hedged - High Yield
28/09/2011 27/07/2026 5.81
EUR LU0677531781 Bond World - EUR Hedged - High Yield
28/09/2011 27/07/2026 3.64
EUR LU2056382372 Bond World - Corporate High Yield
13/01/2020 27/07/2026 5.99
EUR LU2056382539 Bond World - Corporate High Yield
07/02/2020 27/07/2026 4.41
EUR LU2056382612 Bond World - Corporate High Yield
07/02/2020 27/07/2026 5.98
EUR LU2056382703 Bond World - Corporate High Yield
07/02/2020 27/07/2026 4.41
EUR LU2951582399 -- 06/05/2025 27/07/2026 5.07
EUR LU2951582472 -- 06/05/2025 27/07/2026 4.96
EUR LU2056384311 Bond - Other - 07/02/2020 27/07/2026 6.46
EUR LU2056384402 Bond - Other - 07/02/2020 27/07/2026 4.96
USD LU2056384824 Bond Usd Hedged - 17/12/2020 27/07/2026 7.27
EUR LU2056384667 Bond - Other - 10/02/2020 27/07/2026 6.45
EUR LU2056384741 Bond - Other - 14/02/2020 27/07/2026 4.95
EUR LU0108019232 Bond Eurozone - Government (1-3 Years)
28/07/2000 27/07/2026 6.60
EUR LU0108019315 Bond Eurozone - Government (1-3 Years)
28/07/2000 27/07/2026 6.61
EUR LU0538790550 Bond - Other - 22/09/2010 27/07/2026 6.53
EUR LU2208932942 Bond - Other - 16/10/2020 27/07/2026 4.27
EUR LU2208933833 Bond Euro Hedged - 16/10/2020 27/07/2026 4.68
EUR LU2208934567 Bond Euro Hedged - 16/10/2020 27/07/2026 3.62
EUR LU0538790980 Bond - Other - 22/09/2010 27/07/2026 6.53
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