Funds (66)
Asset manager: Bancoposta Fondi Spa Sgr
0Selected:
Name
Currency
ISIN
FIDA Category
FIDA Rating
Start date
Date
Last price
EUR IT0004331820 Equity Focus - ESG (Euroland)
14/04/2008 29/07/2026 13.37
EUR IT0005357865 Diversified Aggressive
09/04/2019 29/07/2026 6.51
EUR IT0003110860 Equity Focus -ESG (World)
22/05/2001 29/07/2026 14.52
EUR IT0003511646 Diversified EUR Conservative
15/09/2003 29/07/2026 8.96
EUR IT0005628844 -- 15/01/2025 29/07/2026 5.19
EUR IT0005685844 --- 29/07/2026 4.97
EUR IT0005628802 -- 15/01/2025 29/07/2026 5.28
EUR IT0005685968 --- 29/07/2026 4.98
EUR IT0005628786 -- 15/01/2025 29/07/2026 5.19
EUR IT0005685869 --- 29/07/2026 4.94
EUR IT0005107591 Diversified Conservative
08/06/2015 29/07/2026 5.65
EUR IT0005579567 -- 13/09/2024 29/07/2026 5.07
EUR IT0005389371 Total Return (Low Volatility) - 19/11/2019 29/07/2026 5.58
EUR IT0005579625 -- 13/09/2024 29/07/2026 5.01
EUR IT0005634529 -- 03/04/2025 29/07/2026 5.29
EUR IT0005685885 -- 31/03/2026 29/07/2026 4.97
EUR IT0005504599 Equity World (Emerging & Developed Markets) - Large & Mid Cap - 06/10/2022 29/07/2026 9.43
EUR IT0005460065 -- 08/11/2021 29/07/2026 7.76
EUR IT0005347130 Bond Euro (EUR) - Corporate - 13/02/2019 29/07/2026 5.25
EUR IT0005347155 Bond Eurozone - Government (1-3 Years) - 04/02/2019 29/07/2026 4.95
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