Funds (658)
Asset manager: Eurizon Capital Sgr Lux branch
0Selected:
Name
Currency
ISIN
FIDA Category
FIDA Rating
Start date
Date
Last price
EUR LU1693963701 Total Return Bond
04/05/2018 23/07/2026 93.47
EUR LU2755764847 Total Return Bond - 27/02/2024 23/07/2026 98.75
EUR LU2135728652 Total Return Bond - 14/04/2020 23/07/2026 91.95
EUR LU1693963883 Total Return Bond - 10/01/2018 23/07/2026 98.02
USD LU2238292366 Total Return Bond - 25/09/2020 23/07/2026 87.70
EUR LU2093577554 Total Return Bond - 14/01/2020 23/07/2026 81.50
EUR LU1393927014 Total Return Bond
27/10/2020 23/07/2026 105.45
EUR LU0230568445 Total Return Bond
09/01/2006 23/07/2026 126.79
EUR LU3112544724 Total Return Bond -- 23/07/2026 100.02
EUR LU0335993746 Total Return Bond - 23/01/2008 23/07/2026 143.42
EUR LU1839682462 Total Return Bond - 26/06/2018 23/07/2026 101.92
EUR LU1092477741 Total Return (Medium Volatility)
24/09/2014 23/07/2026 135.48
EUR LU2403890531 Total Return (Medium Volatility)
30/03/2022 23/07/2026 111.71
EUR LU1769712073 Total Return (Medium Volatility) - 05/04/2018 23/07/2026 139.68
EUR LU0735549858 Total Return (Medium Volatility) - 08/02/2012 23/07/2026 1,060.16
EUR LU2823237370 -- 08/10/2025 23/07/2026 99.80
EUR LU2823238261 -- 07/10/2025 23/07/2026 100.24
EUR LU2461240603 Bond Asia Pacific
30/05/2023 23/07/2026 107.87
EUR LU2461240785 Bond Asia Pacific - 12/05/2023 23/07/2026 110.74
EUR LU2215043212 Equity Focus - ESG (Asia Pacific)
08/06/2021 23/07/2026 126.20
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