CORE Series is the new and improved Fineco Asset Management investment product offering you the perfect match of both excellence and diversification.

 

 

 

BROCHURE CORE SERIES

Diversification

Funds of funds created with the best management companies for highest quality solutions, adapted to specific market phases.

Quality

Constant monitoring for continuous optimization and research aimed at achieving the highest quality for the individual funds.

Control

The Core Series can be the subject of Advice and Plus consulting services featuring advanced reporting and constant monitoring of the portfolio.

Transparency

High quality and innovative investment solutions for the customer with transparent pricing

The most demanded

Risk level 3

Sustainable

The fund that invests in securities of companies that comply with social and environmental accountability standards.

Risk level 4

Emerging Markets Equity

The fund that offers the opportunity to benefit from the dynamism and growth of emerging economies.

Risk level 2

Income Opportunity

The fund invests in bonds, including emerging economies, with a six-monthly coupon detachment.

Risk level 4

Coupon

The fund with a periodic coupon flow that invests in the money market and debt securities.

Risk level 3

Champions Emerging Markets

The balanced fund that invests in emerging markets with a flexible management style.

Risk level 4

Aggressive Fund

The balanced fund that invests in stocks of industrialized countries and bonds, with a highly diversified portfolio.

Capital Accumulation

Risk level 3

Champions

The fund that invests in the global stock market and partly in bonds to balance investment risk.

Risk level 2

Dividend

The fund that invests in the stock market and in particular in companies that generate attractive dividends over time.

Risk level 5

All Europe

The fund that invests in the European equity market with the greatest diversification in terms of geographical areas and currencies.

Income Distributing

Risk level 3

Champions

The fund that invests in the global stock market and partly in bonds to balance investment risk.

Risk level 2

Dividend

The fund that invests in the stock market and in particular in companies that generate attractive dividends over time.

Risk level 5

All Europe

The fund that invests in the European equity market with the greatest diversification in terms of geographical areas and currencies.