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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

GLOBAL CREDIT COUPON FINECO AM FUND

IE0006QKFGV2

100.0

2024-09-11

ISIN

IE0006QKFGV2

NAV Price

100.0

1 Day %

YTD %

NAV DATE

2024-09-11

Fund Name

Fineco AM Passive Underlyings 9

IE000D52GPT0

100.466

0.0747

2024-09-17

ISIN

IE000D52GPT0

NAV Price

100.466

1 Day %

0.0747

YTD %

NAV DATE

2024-09-17

Fund Name

BLUESTAR GLOBAL LOGISTICS INDEX FAM FUND

IE000HAZ8897

9951.966

2024-09-06

ISIN

IE000HAZ8897

NAV Price

9951.966

1 Day %

YTD %

NAV DATE

2024-09-06

Fund Name

SMART GLOBAL DEFENCE CALLABLE AFTER 3 YEARS FINECO AM FUND II

IE000LQ690I8

100.0

0.0

2024-09-11

ISIN

IE000LQ690I8

NAV Price

100.0

1 Day %

0.0

YTD %

NAV DATE

2024-09-11

Fund Name

DYNAMIC PROFILE FINECO AM FUND II

IE000M38CMI9

100.0

0.0

2024-09-17

ISIN

IE000M38CMI9

NAV Price

100.0

1 Day %

0.0

YTD %

NAV DATE

2024-09-17

Fund Name

DYNAMIC PROFILE FINECO AM FUND I

IE000OA7EP76

99.967

0.021

2024-09-16

ISIN

IE000OA7EP76

NAV Price

99.967

1 Day %

0.021

YTD %

NAV DATE

2024-09-16

Fund Name

FINECO AM SHORT TERM FIXED INCOME OPPORTUNITIES FUND

IE000YXG3K78

100.226

0.018

2024-09-17

ISIN

IE000YXG3K78

NAV Price

100.226

1 Day %

0.018

YTD %

NAV DATE

2024-09-17

Fund Name

SMART GLOBAL DEFENCE CALLABLE AFTER 3 YEARS FINECO AM FUND I

IE000Y0C6S59

101.877

0.9073

2024-09-11

ISIN

IE000Y0C6S59

NAV Price

101.877

1 Day %

0.9073

YTD %

NAV DATE

2024-09-11

Fund Name

Banor Club Fineco AM Fund

IE000KKHB886

101.891

0.4396

2024-09-17

ISIN

IE000KKHB886

NAV Price

101.891

1 Day %

0.4396

YTD %

NAV DATE

2024-09-17

Fund Name

FINECO AM SHORT TERM FIXED INCOME OPPORTUNITIES FUND

IE000KGR2840

10022.1

0.0186

2024-09-17

ISIN

IE000KGR2840

NAV Price

10022.1

1 Day %

0.0186

YTD %

NAV DATE

2024-09-17

Fund Name

GLOBAL CREDIT FINECO AM FUND I

IE000FRQXID6

100.0

0.0

2024-09-11

ISIN

IE000FRQXID6

NAV Price

100.0

1 Day %

0.0

YTD %

NAV DATE

2024-09-11

Fund Name

SMART DEFENCE PROGRESSION 2026 FINECO AM FUND

IE000F6ZDJ09

100.019

0.019

2024-09-11

ISIN

IE000F6ZDJ09

NAV Price

100.019

1 Day %

0.019

YTD %

NAV DATE

2024-09-11

Fund Name

GLOBAL DEFENCE TARGET PASSIVE FINECO AM FUND II

IE00032E7VC4

100.0

0.0

2024-09-11

ISIN

IE00032E7VC4

NAV Price

100.0

1 Day %

0.0

YTD %

NAV DATE

2024-09-11

Fund Name

DYNAMIC PROFILE FINECO AM FUND I

IE000ZB6FWK5

100.242

0.017

2024-09-16

ISIN

IE000ZB6FWK5

NAV Price

100.242

1 Day %

0.017

YTD %

NAV DATE

2024-09-16

Fund Name

DYNAMIC PROFILE FINECO AM FUND

IE000XG8WL42

99.95

0.01

2024-09-16

ISIN

IE000XG8WL42

NAV Price

99.95

1 Day %

0.01

YTD %

NAV DATE

2024-09-16

Fund Name

FAM Series UCITS ICAV – Enhanced Euro Government Bond Fineco AM Fund

IE000UJHP3M6

9990.818

0.0

2024-09-12

ISIN

IE000UJHP3M6

NAV Price

9990.818

1 Day %

0.0

YTD %

NAV DATE

2024-09-12

Fund Name

FAM Series UCITS ICAV – Enhanced US Equity Fineco AM Fund

IE000BPP5H19

9869.459

0.0

2024-09-12

ISIN

IE000BPP5H19

NAV Price

9869.459

1 Day %

0.0

YTD %

NAV DATE

2024-09-12

Fund Name

GLOBAL DEFENCE TARGET PASSIVE Fineco AM

IE000M6ZZZD5

101.468

0.4703

2024-09-11

ISIN

IE000M6ZZZD5

NAV Price

101.468

1 Day %

0.4703

YTD %

NAV DATE

2024-09-11

Fund Name

GLOBAL CREDIT Fineco AM

IE00078ZX7D8

102.011

0.4569

2024-09-11

ISIN

IE00078ZX7D8

NAV Price

102.011

1 Day %

0.4569

YTD %

NAV DATE

2024-09-11

Fund Name

SMART GLOBAL DEFENCE ZERO COUPON FINECO AM FUND II

IE000RSYW1L6

101.462

-0.0168

2024-09-17

ISIN

IE000RSYW1L6

NAV Price

101.462

1 Day %

-0.0168

YTD %

NAV DATE

2024-09-17

Fund Name

SMART GLOBAL DEFENCE ZERO COUPON FINECO AM FUND II

IE00003QTOL8

102.686

-0.0156

2024-09-17

ISIN

IE00003QTOL8

NAV Price

102.686

1 Day %

-0.0156

YTD %

NAV DATE

2024-09-17

Fund Name

M&G NORTH AMERICAN VALUE FAM FUND

IE000YH8WY68

10259.502

0.7647

2024-09-17

ISIN

IE000YH8WY68

NAV Price

10259.502

1 Day %

0.7647

YTD %

NAV DATE

2024-09-17

Fund Name

EUROPEAN LEADERS FINECO AM FUND II

IE000DR2SY06

102.042

0.5498

2024-09-11

ISIN

IE000DR2SY06

NAV Price

102.042

1 Day %

0.5498

YTD %

NAV DATE

2024-09-11

Fund Name

Smart Defence Multi-Strategy 2031 Fineco AM Fund

IE000DE4EK95

100.427

0.4581

2024-09-11

ISIN

IE000DE4EK95

NAV Price

100.427

1 Day %

0.4581

YTD %

NAV DATE

2024-09-11

Fund Name

SMART GLOBAL DEFENCE 2027 FINECO AM FUND

IE000TZISNO4

102.546

0.424

2024-09-11

ISIN

IE000TZISNO4

NAV Price

102.546

1 Day %

0.424

YTD %

NAV DATE

2024-09-11

Fund Name

EUROPEAN LEADERS FINECO AM FUND

IE000F7UAVG8

102.787

0.7716

2024-09-11

ISIN

IE000F7UAVG8

NAV Price

102.787

1 Day %

0.7716

YTD %

NAV DATE

2024-09-11

Fund Name

Smart Global Defence Zero Coupon Fineco AM Fund

IE0006EE6JO3

104.064

-0.0375

2024-09-17

ISIN

IE0006EE6JO3

NAV Price

104.064

1 Day %

-0.0375

YTD %

NAV DATE

2024-09-17

Fund Name

FINECO AM SMART FACTORS EUROPE FUND

IE000XSGF4B6

10384.36

0.2782

2024-09-17

ISIN

IE000XSGF4B6

NAV Price

10384.36

1 Day %

0.2782

YTD %

NAV DATE

2024-09-17

Fund Name

Smart Global Defence Zero Coupon Fineco AM Fund

IE000LLOD4G8

101.162

-0.0375

2024-09-17

ISIN

IE000LLOD4G8

NAV Price

101.162

1 Day %

-0.0375

YTD %

NAV DATE

2024-09-17

Fund Name

EMERGING MARKETS EQUITY FAM FUND

IE000DSW6V57

108.008

0.2497

2024-09-17

ISIN

IE000DSW6V57

NAV Price

108.008

1 Day %

0.2497

YTD %

NAV DATE

2024-09-17

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

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