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Products

FINECO AM Products

Fund type
Family Products
Share Class
SFDR Classification
Fund Name
ISIN NAV Price 1 Day % YTD % NAV DATE
Fund Name

SMART GLOBAL DEFENCE CALLABLE AFTER 3 YEARS FINECO AM FUND III

IE000ILWXUY2

100.0

2024-11-13

ISIN

IE000ILWXUY2

NAV Price

100.0

1 Day %

YTD %

NAV DATE

2024-11-13

Fund Name

GLOBAL DEFENCE TARGET PASSIVE FINECO AM FUND III

IE0007I33EY1

100.0

2024-11-13

ISIN

IE0007I33EY1

NAV Price

100.0

1 Day %

YTD %

NAV DATE

2024-11-13

Fund Name

SMART DEFENCE MULTI-STRATEGY 2031 FINECO AM FUND III

IE000MZRS7P5

100.0

0.0

2024-11-13

ISIN

IE000MZRS7P5

NAV Price

100.0

1 Day %

0.0

YTD %

NAV DATE

2024-11-13

Fund Name

DYNAMIC PROFILE FINECO AM FUND I

IE000LFRXIA3

100.153

0.015

2024-11-18

ISIN

IE000LFRXIA3

NAV Price

100.153

1 Day %

0.015

YTD %

NAV DATE

2024-11-18

Fund Name

DYNAMIC PROFILE FINECO AM FUND II

IE000WU3ULI8

101.461

0.0099

2024-11-19

ISIN

IE000WU3ULI8

NAV Price

101.461

1 Day %

0.0099

YTD %

NAV DATE

2024-11-19

Fund Name

Global Credit Coupon Fineco AM Fund II

IE000F97MBM3

100.0

0.0

2024-11-13

ISIN

IE000F97MBM3

NAV Price

100.0

1 Day %

0.0

YTD %

NAV DATE

2024-11-13

Fund Name

NORTH AMERICAN GRP FINECO AM FD

IE0006EV3N30

104.041

0.077

2024-11-18

ISIN

IE0006EV3N30

NAV Price

104.041

1 Day %

0.077

YTD %

NAV DATE

2024-11-18

Fund Name

NORTH AMERICAN GRP FINECO AM FD

IE0002AAKY87

104.105

0.0836

2024-11-18

ISIN

IE0002AAKY87

NAV Price

104.105

1 Day %

0.0836

YTD %

NAV DATE

2024-11-18

Fund Name

NORTH AMERICAN GRP FINECO AM FD

IE000EWPMP05

10410.428

0.0826

2024-11-18

ISIN

IE000EWPMP05

NAV Price

10410.428

1 Day %

0.0826

YTD %

NAV DATE

2024-11-18

Fund Name

SMART GLOBAL DEFENCE CALLABLE AFTER 3 YEARS FINECO AM FUND II

IE00055WDG97

101.245

0.5572

2024-11-13

ISIN

IE00055WDG97

NAV Price

101.245

1 Day %

0.5572

YTD %

NAV DATE

2024-11-13

Fund Name

SMART GLOBAL DEFENCE CALLABLE AFTER 3 YEARS FINECO AM FUND III

IE00031C3TI7

100.0

0.0

2024-11-13

ISIN

IE00031C3TI7

NAV Price

100.0

1 Day %

0.0

YTD %

NAV DATE

2024-11-13

Fund Name

SMART DEFENCE PROGRESSION 2026 FINECO AM FUND II

IE000GD2DPM0

100.001

0.001

2024-11-13

ISIN

IE000GD2DPM0

NAV Price

100.001

1 Day %

0.001

YTD %

NAV DATE

2024-11-13

Fund Name

FINECO AM SHORT TERM FIXED INCOME OPPORTUNITIES FUND II

IE000MPY3CO7

100.529

-0.0139

2024-11-18

ISIN

IE000MPY3CO7

NAV Price

100.529

1 Day %

-0.0139

YTD %

NAV DATE

2024-11-18

Fund Name

FINECO AM SHORT TERM FIXED INCOME OPPORTUNITIES FUND II

IE000MCNEXV2

10052.608

0.0089

2024-11-19

ISIN

IE000MCNEXV2

NAV Price

10052.608

1 Day %

0.0089

YTD %

NAV DATE

2024-11-19

Fund Name

SMART DEFENCE MULTI-STRATEGY 2031 FINECO AM FUND II

IE000EFLFQB9

101.757

0.9364

2024-11-13

ISIN

IE000EFLFQB9

NAV Price

101.757

1 Day %

0.9364

YTD %

NAV DATE

2024-11-13

Fund Name

GLOBAL CREDIT COUPON FINECO AM FUND

IE0006QKFGV2

100.0

0.0

2024-11-13

ISIN

IE0006QKFGV2

NAV Price

100.0

1 Day %

0.0

YTD %

NAV DATE

2024-11-13

Fund Name

Fineco AM Passive Underlyings 9

IE000D52GPT0

107.2

-0.0764

2024-11-18

ISIN

IE000D52GPT0

NAV Price

107.2

1 Day %

-0.0764

YTD %

NAV DATE

2024-11-18

Fund Name

BLUESTAR GLOBAL LOGISTICS INDEX FAM FUND

IE000HAZ8897

10403.847

0.042

2024-11-18

ISIN

IE000HAZ8897

NAV Price

10403.847

1 Day %

0.042

YTD %

NAV DATE

2024-11-18

Fund Name

SMART GLOBAL DEFENCE CALLABLE AFTER 3 YEARS FINECO AM FUND II

IE000LQ690I8

101.23

0.5503

2024-11-13

ISIN

IE000LQ690I8

NAV Price

101.23

1 Day %

0.5503

YTD %

NAV DATE

2024-11-13

Fund Name

DYNAMIC PROFILE FINECO AM FUND I

IE000OA7EP76

100.209

0.015

2024-11-18

ISIN

IE000OA7EP76

NAV Price

100.209

1 Day %

0.015

YTD %

NAV DATE

2024-11-18

Fund Name

DYNAMIC PROFILE FINECO AM FUND II

IE000M38CMI9

101.027

0.0079

2024-11-19

ISIN

IE000M38CMI9

NAV Price

101.027

1 Day %

0.0079

YTD %

NAV DATE

2024-11-19

Fund Name

FINECO AM SHORT TERM FIXED INCOME OPPORTUNITIES FUND

IE000YXG3K78

100.837

0.0069

2024-11-19

ISIN

IE000YXG3K78

NAV Price

100.837

1 Day %

0.0069

YTD %

NAV DATE

2024-11-19

Fund Name

SMART GLOBAL DEFENCE CALLABLE AFTER 3 YEARS FINECO AM FUND I

IE000Y0C6S59

101.362

0.5565

2024-11-13

ISIN

IE000Y0C6S59

NAV Price

101.362

1 Day %

0.5565

YTD %

NAV DATE

2024-11-13

Fund Name

Banor Club Fineco AM Fund

IE000KKHB886

103.098

-0.4874

2024-11-19

ISIN

IE000KKHB886

NAV Price

103.098

1 Day %

-0.4874

YTD %

NAV DATE

2024-11-19

Fund Name

FINECO AM SHORT TERM FIXED INCOME OPPORTUNITIES FUND

IE000KGR2840

10081.741

0.0015

2024-11-18

ISIN

IE000KGR2840

NAV Price

10081.741

1 Day %

0.0015

YTD %

NAV DATE

2024-11-18

Fund Name

GLOBAL CREDIT FINECO AM FUND I

IE000FRQXID6

102.24

0.4697

2024-11-13

ISIN

IE000FRQXID6

NAV Price

102.24

1 Day %

0.4697

YTD %

NAV DATE

2024-11-13

Fund Name

SMART DEFENCE PROGRESSION 2026 FINECO AM FUND

IE000F6ZDJ09

100.041

0.005

2024-11-13

ISIN

IE000F6ZDJ09

NAV Price

100.041

1 Day %

0.005

YTD %

NAV DATE

2024-11-13

Fund Name

GLOBAL DEFENCE TARGET PASSIVE FINECO AM FUND II

IE00032E7VC4

100.833

0.0546

2024-11-13

ISIN

IE00032E7VC4

NAV Price

100.833

1 Day %

0.0546

YTD %

NAV DATE

2024-11-13

Fund Name

DYNAMIC PROFILE FINECO AM FUND

IE000XG8WL42

100.349

0.002

2024-11-18

ISIN

IE000XG8WL42

NAV Price

100.349

1 Day %

0.002

YTD %

NAV DATE

2024-11-18

Fund Name

DYNAMIC PROFILE FINECO AM FUND I

IE000ZB6FWK5

100.418

0.012

2024-11-18

ISIN

IE000ZB6FWK5

NAV Price

100.418

1 Day %

0.012

YTD %

NAV DATE

2024-11-18

Fineco Asset Management DAC, trading as Fineco Asset Management, is regulated by the Central Bank of Ireland.

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