Funds (505)
Asset manager: Eurizon Capital Sgr Spa
0Selected:
Name
Currency
ISIN
FIDA Category
FIDA Rating
Start date
Date
Last price
EUR IT0005622334 Diversified Balanced - 13/12/2024 03/08/2026 5.70
EUR IT0005635047 Diversified Balanced - 07/03/2025 03/08/2026 5.47
EUR IT0005650988 Diversified Balanced - 04/06/2025 03/08/2026 5.32
EUR IT0005659922 Diversified Balanced - 23/07/2025 03/08/2026 5.19
EUR IT0005672693 Diversified Balanced - 22/10/2025 03/08/2026 5.11
EUR IT0005650921 Diversified Aggressive - 04/06/2025 03/08/2026 5.52
EUR IT0005659864 Diversified Aggressive - 23/07/2025 03/08/2026 5.32
EUR IT0005672719 Diversified Aggressive - 22/10/2025 03/08/2026 5.17
EUR IT0000380300 Diversified EUR Balanced
23/03/1985 03/08/2026 67.15
EUR IT0005483786 Diversified Target Date - 16/03/2022 03/08/2026 5.82
EUR IT0005483802 Diversified Target Date - 16/03/2022 03/08/2026 5.48
EUR IT0005545477 Bond Euro (EUR) - Corporate - 25/07/2023 03/08/2026 5.67
EUR IT0005640310 Target Date Bond - 14/04/2025 03/08/2026 5.17
EUR IT0005640336 Target Date Bond - 14/04/2025 03/08/2026 4.99
EUR IT0005640435 Target Date Bond - 17/04/2025 03/08/2026 5.16
EUR IT0005640450 Target Date Bond - 17/04/2025 03/08/2026 4.98
EUR IT0005455735 Diversified Target Date - 16/09/2021 03/08/2026 5.44
EUR IT0005455750 Diversified Target Date - 16/09/2021 03/08/2026 5.23
EUR IT0005445207 Diversified Target Date - 03/06/2021 03/08/2026 5.45
EUR IT0005445223 Diversified Target Date - 03/06/2021 03/08/2026 5.23
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