A selection of top-rated international funds from the most prestigious investment houses in the world, managed exclusively for Fineco customers with the experience and professionalism of FAM managers.
Global DefenceFAM FUND
Il fondo paga una cedola dell’1% all’anno, proteggendo a scadenza il 100% del capitale investito.
Vontobel Global EquityFAM FUND
Il fondo investe almeno l’80% del patrimonio in titoli azionari di società di tutto il mondo, in funzione delle opportunità di investimento più interessanti.
Fidelity Global DividendFAM FUND
The fund invests at least 70% of the portfolio in equities of global companies with the capacity to pay high dividends on an ongoing and sustainable basis.
Fidelity WorldFAM FUND
The fund invests in shares of companies worldwide, with no geographical, sectoral or size constraints, solely focussing on the most interesting investment opportunities.
J.P.Morgan Us Equity ValueFAM FUND
It invests in US securities. Most of the portfolio exposure is to large-cap companies, with approximately 20% exposure to mid-cap companies.
M&G North American ValueFAM FUND
The fund mainly invests in US and Canadian company shares, adopting a value investing strategy by investing in companies deemed to be undervalued.
Amundi European Equity ValueFAM FUND
It predominately invests in equity securities of companies with offices in Europe with the aim of revaluing share capital in the medium and long term by using a value investing strategy.
JP Morgan European EquityFAM FUND
It invests in European company shares, paying particular attention to profit generation and dividend distribution, maintaining a high level of risk monitoring.
Eurizon Flexible Equity StrategyFAM FUND
The fund invests in European and American shares, seeking out the best investment opportunities. Stock market exposure varies from 50% to 100%.
Threadneedle Global Equities IncomeFAM FUND
The fund mainly invests in shares listed on global markets with the aim of growing capital and generating returns.
Robeco BP Global Premium EquitiesFAM FUND
The aim of the fund is to generate capital growth over the medium to long term with a stock market exposure of at least two thirds of the assets.
DWS Euro Corporate BondsFAM FUND
Il fondo investe almeno il 70% del patrimonio in obbligazioni societarie denominate in euro a tasso fisso e/o variabile con rating “investiment grade”.
GS Emerging Markets DebtFAM FUND
Il fondo investe principalmente in titoli di debito sovrani e societari di paesi emergenti, denominati anche in valuta locale.
Vontobel Emerging Markets DebtFAM FUND
Il Fondo investe principalmente in titoli obbligazionari di emittenti di diritto pubblico e/o privato che hanno sede e/o che svolgono prevalentemente la loro attività in Paesi emergenti.
Fidelity Euro BondFAM FUND
The sub-fund invests in government and corporate bonds mainly denominated in Euros, through fundamental analysis and a bottom-up strategy.
Fidelity Euro Short Term BondFAM FUND
The sub-fund mainly invests in short-term investment grade government and corporate bonds denominated in Euros.
Amundi Emerging Markets BondFAM FUND
The fund has a flexible investment approach to emerging market bonds, also allowing the possibility to invest in non-benchmark instruments.
Amundi Euro Strategic BondFAM FUND
It predominately invests in corporate bonds and government securities in Euros, with the possibility of up to 90% exposure to investment grade securities and 20% to triple C.
M&G European CorporateFAM FUND
The fund has exposure to European investment grade corporate bonds. The strategy aims to extract value from both credit exposure and Duration.
Blackrock Emerging Markets BondFAM FUND
Blackrock Euro BondFAM FUND
The fund principally invests in Euro denominated investment grade bonds. At least 80% of overall assets are allocated to fixed income securities.
Blackrock Euro Corporate BondFAM FUND
It mainly invests in Euro investment grade corporate bonds. The manager selects bonds to be purchased from a creditworthiness analysis of issuers..
Blackrock Euro Short DurationFAM FUND
It invests in short Duration government, supranational and corporate bonds, issued by governments, government agencies, corporations and supranational bodies with EU or non-EU offices.
Schroders Euro BondFAM FUND
The fund is mainly invested in bonds, expressed in Euro, issued by government or supranational bodies at a fixed-rate or floating-rate with a medium-term investment horizon.
HSBC Euro Credit BondFAM FUND
The fund mainly invests in corporate bonds with a rating higher than triple B and, partly, in corporate bonds with a lower rating (no more than 10%).
Invesco Global Total Return BondFAM FUND
The fund has a flexible approach and mainly invests in debt and money market instruments to identify market inefficiencies.
HSBC Euro High Yield BondFAM FUND
The fund aims to generate medium to long-term returns by investing in corporate bonds with a rating lower than triple B, denominated in Euros.
Janus Henderson Euro Corporate BondFAM FUND
The fund mainly invests in corporate bonds with a rating higher than triple B, denominated in Euros, with a fixed or variable coupon rate.
Threadneedle European High Yield BondFAM FUND
The aim of the fund is capital growth and returns generation. It mainly invests in bonds with a rating lower than triple B, both in Euros and Pounds Sterling.
M&G Optimal IncomeFAM FUND
It invests without constraints in government securities, high yield and investment grade bonds and aims to outperform the main fixed income sectors under various market conditions.
Nordea Stable PerformanceFAM FUND
The fund invests in shares, bonds and money market instruments. The investment approach is flexible, with a particular focus on risk management.
Jupiter Flexible IncomeFAM FUND
Una soluzione dinamica che combina asset tradizionali e innovativi orientati alla generazione di un Income regolare insieme alla prospettiva di crescita del capitale nel medio e lungo termine.
Media alti e bassi di mercato, scegli il PAC
Sottoscrivendo FAM Series in modalità PAC puoi mediare alti e bassi di mercato attraverso acquisti periodici. Il PAC media i prezzi di acquisto e riduce errori di market timing.
Puoi inoltre effettuare aggiuntivi per sfruttare particolari momenti di mercato, senza erodere la durata del piano.
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