Funds (131)
Asset manager: EUROMOBILIARE ASSET MANAGEMENT
0Selected:
Name
Currency
ISIN
FIDA Category
FIDA Rating
Start date
Date
Last price
EUR IT0005571390 Bond Eurozone - Government - 31/05/2024 30/07/2026 5.22
EUR IT0005455487 Diversified Target Date - 05/10/2021 30/07/2026 4.92
EUR IT0005046054 Total Return ESG
01/10/2014 30/07/2026 6.88
EUR IT0005419343 Total Return Target Date - 16/09/2020 30/07/2026 4.77
EUR IT0005526337 Target Date Bond - 03/04/2023 30/07/2026 5.69
EUR IT0005526352 Target Date Bond - 03/04/2023 30/07/2026 5.43
EUR IT0005432551 Total Return Target Date - 01/03/2021 30/07/2026 4.83
EUR IT0005479438 Total Return Target Date - 15/02/2022 30/07/2026 5.69
EUR IT0005368037 Diversified Aggressive
14/05/2019 30/07/2026 7.04
EUR IT0005391609 Diversified Aggressive
20/01/2020 30/07/2026 6.00
EUR IT0005533267 Bond USA - Corporate & Government
02/05/2023 30/07/2026 5.52
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