Il Sole 24 Ore - 10.08.2019

(Grace) #1

20 Sabato 10 Agosto 2019 Il Sole 24 Ore


ARMONIZZATI UE


Ailis Sicav _____
FLEAilis BR Multi A. Inc. R 09.0810,088 —
FLEAilis BR Multi A. Inc. S 09.0810,088 —
FLEAilis Gl. Eq. Mkt. Neutral I (7) 09.08 9,942 —
FLEAilis Invesco Inc. R 09.0810,189 —
FLEAilis Invesco Inc. S 09.0810,044 —
FLEAilis JPM Flex. All. A 09.0810,161 —
FLEAilis JPM Flex. All. I (7) 02.07 9,555 —
FLEAilis JPM Flex. All. S 09.0810,131 —
FLEAilis M&G Collect. R 09.08 9,529 —
FLEAilis M&G Collect. S 09.08 9,429 —
FLEAilis MAN M.A. R 09.0810,327 —
FLEAilis MAN M.A. S 09.0810,233 —
OFLAilis PIMCO Target 2024 I (7) 09.08 9,996 —
OFLAilis PIMCO Target 2024 R09.08 9,995 —
OFLAilis PIMCO Target 2024 S09.08 9,995 —
FLEAilis RPC I 09.08 9,349 —
FLEAilis RPE I 09.08 9,230 —
FLEAilis RPM I 09.08 9,700 —
FLEAilis RPQ I 09.0810,498 —
FLEAilis RPV I 09.08 9,195 —


http://www.animasgr.it Tel. 800.388.
Anima Funds
FLEAnima Active Select. (7) 07.08 5,273 —
FLEAnima Brightv. 2023 I 07.08 9,541 —
FLEAnima Brightv. 2023 II 07.08 9,996 —
FLEAnima Brightv. 2023 III07.0810,217 —
FLEAnima Brightv. 2023 IV07.08 9,973 —
FLEAnima Brightv. 2024 I 07.08 9,808 —
FLEAnima Brightv. 2024 II 07.08 9,957 —
FLEAnima Brightv. 2024 III07.08 9,916 —
FLEAnima Brightv. 2024 IV07.0810,502 —
FLEAnima Brightv. 2024-V 07.0811,361 —
FLEAnima Brightv. 2025-I 07.0810,037 —
FLEAnima Brightv. 2027-I 07.0811,012 —
FLEAnima Defensive Silv. 08.08 5,136 —
OFLAnima Flexible Bd I 08.08 4,999 —
OFLAnima Flexible Bd Prest.08.08 4,979 —
OFLAnima Flexible Bd Silv. 08.08 4,971 —
FLEAnima Glb Macro A 08.08 4,944 —
FLEAnima Glb Macro I 08.08 5,071 —
FLEAnima Glbl Macro B 08.08 5,295 —
OEHAnima Hi. Yield Bd I 08.08 4,935 —
---Anima Infrastructure 08.08 4,938 —
FLEAnima Solut. 2022 I Cl. I07.08 1,069 —
FLEAnima Solut. 2022 II Cl. I07.08 1,131 —
FLEAnima Solut. 2022 III 07.08 1,048 —
FLEAnima Solut. 2023 I 07.08 0,950 —
FLEAnima Solut. EM Cl. I 07.08 4,578 —
FLEAnima StH. Pot Glb Prest.08.08 4,605 —
APAAsia Pacific Eq. I (7) 08.0813,210 —
APAAsia Pacific Eq. Prest. 08.0814,628 —
APAAsia Pacific Eq. Silv. 08.08 8,880 —
OFLBond 2022 Opp. I 08.08 5,077 —
ODMBond Dollar I (7) 08.08 7,665 —
ODMBond Dollar Prest. 08.08 7,438 —
ODMBond Dollar Silv. 08.08 7,453 —
OASCredit Opp. I (7) 08.08 4,921 —
AEMEmerging Mkts Eq. I (7) 08.08 6,143 —
AEMEmerging Mkts Eq. Pr. 08.08 5,887 —
AEMEmerging Mkts Eq. Sil. 08.08 5,572 —
AAEEuro Eq. I 08.08 7,868 —
OEMEuro Gov. Bd I (7) 08.08 5,417 —
AEUEurope Eq. I (7) 08.0812,056 —
AEUEurope Eq. Prest. 08.08 8,665 —
AEUEurope Eq. Silv. 08.08 7,354 —
OFLFlexible Inc. I 08.08 4,854 —
OIGGlobal Bd I (7) 08.08 7,099 —
OIGGlobal Bd Prest. 08.08 8,059 —
OIGGlobal Bd Silv. 08.08 6,897 —
OASGlobal Currencies I (7) 08.08 4,438 —
OASGlobal Currencies Pr. 08.08 4,220 —
AINGlobal Eq. I (7) 08.0812,374 —
AINGlobal Eq. Prest. 08.08 8,666 —
AINGlobal Eq. Silv. 08.08 9,359 —
OECHybrid Bd I 08.08 5,854 —
OIGInternational Bd I 08.08 5,359 —
OBIItalian Bd I 08.08 4,938 —
OBIItalian Bd Silv. 08.08 4,801 —
AITItalian Eq. I 08.08 6,053 —
AITItalian Eq. Silv. 08.08 7,201 —
OEBLife Bd Silv. 08.08 4,977 —
MAELiquidity A 08.08 6,247 —
MAELiquidity I (7) 08.08 5,616 —
MAELiquidity Prest. 08.08 4,954 —
MAELiquidity Silv. 08.08 5,305 —
OEMMedium T. Bd I (7) 08.08 7,775 —
OEMMedium T. Bd Prest. 08.0810,075 —
OEMMedium T. Bd Silv. 08.08 7,398 —
FLEMPS Priv. Solut. Abs. A 08.08 4,726 —
FLEMPS Priv. Solut. Flex. B 08.08 5,071 —
FLEMPS Priv. Solut. Flex. Bd A08.08 4,897 —
FLEMPS Priv. Solut. Flexi. A08.08 4,927 —
AINMPS Priv. Solut. Glb A 08.08 5,028 —
FLEMPS Priv. Solut. M. Ass. A08.08 4,850 —
FLEMPS Priv. Solut. M. Ass. B08.08 4,985 —
FLEMPS Priv. Solut. Resp. A08.08 5,072 —
FLEMPS Priv. Solut. Resp. B08.08 5,076 —
FLEOrizzonte Beness. 2023 S.06.08 4,887 —
FLEOrizzonte Cons. 2023 S.06.08 5,285 —
FLEOrizzonte Energia 202306.08 5,245 —
FLEOrizzonte Eur. 2022 Silv.06.08 4,693 —
FLEOrizzonte Eur. 2023 Silv.06.08 4,770 —
FLEOrizzonte Sost. 2023 Silv.06.08 4,510 —
FLEPrivate Selection Cons. 08.08 5,001 —
AINPrivate Selection Eq. 08.08 5,119 —
FLEPrivate Selection Inc. 08.08 5,087 —
OEBShort Term Bd I (7) 08.08 5,627 —
OEBShort Term Bd Prest. 08.08 6,109 —
OEBShort Term Bd Silv. 08.08 5,545 —
OECShort Term Corp Bd I (7) 08.08 5,695 —
OECShort Term Corp Bd S 08.08 4,935 —
FLESmart Div. Europe I 08.08 5,026 —
FLESmart Vol. Em. Mkts I 08.08 4,769 —
FLESmart Vol. Europe I 08.08 5,338 —
FLESmart Vol. Glb I 08.08 5,487 —
FLESmart Vol. Italy I 08.08 5,245 —
FLESmart Vol. Usa I 08.08 4,904 —
OFLStar Bd Cl. A 08.08 4,616 —
OFLStar Bd Cl. B 08.08 4,536 —
OFLStar Bd I 08.08 5,278 —
OFLStar Bd I Dist (7) 08.08 4,760 —
OFLStar Bd Prest. 08.08 5,170 —
OFLStar Bd Silv. 08.08 5,087 —
FLEStar H. Potent. Eur. B 08.08 4,772 —
FLEStar H. Potent. Eur. Cl. A08.08 4,993 —
FLEStar H. Potent. Eur. I (7) 08.08 7,519 —
FLEStar H. Potent. Eur. Pr. 08.08 8,272 —
FLEStar H. Potent. Eur. Silv.08.08 5,940 —
FLEStar H. Potent. Eur.Cl. A08.08 5,463 —
FLEStar H. Potent. Glb Cl. A08.08 4,583 —
FLEStar H. Potent. Glb Cl. B08.08 4,869 —
FLEStar H. Potent. Glb I (7) 08.08 5,085 —
FLEStar H. Potent. Glb Silv.08.08 4,743 —
FLEStar H. Potent. Italy Cl. A08.08 4,508 —
FLEStar H. Potent. Italy Cl. B08.08 4,576 —
FLEStar H. Potent. Italy I (7) 08.08 5,099 —
FLEStar H. Potent. Italy P. 08.08 4,941 —
FLEStar H. Potent. Italy S. 08.08 4,784 —
FLETesoreria Imp. Prest. 28.06 5,107 —
AAMU.S. Eq. I (7) 08.0819,771 —
AAMU.S. Eq. Prest. 08.0815,039 —
AAMU.S. Eq. Silv. 08.0811,355 —
OASVar Rate Bd I 08.08 5,048 —
FLEZephyr Glb Alloc. Cl. I 07.08 5,023 —
FLEZephyr Glb Cl.I 07.08 4,995 —
FLEZephyr Real Asset Cl.I 07.08 5,181 —
Gestielle Inv. Sicav
OFLCedola Europlus 08.08 5,069 —
OFLCedola Link Inflat. R Dist08.08 4,873 —
OFLCedola Plus 08.08 5,033 —
OFLCedola Risk C. Dig.Re R 08.08 5,078 —
OFLCedola Risk C. E. Rinn. R08.08 5,145 —
FLECedola Risk C. G.S.L R 08.08 5,579 —
FLECedola Risk C. H. Care 08.08 4,934 —
FLECedola Risk C. H. Care (R)08.08 4,940 —
FLECedola Risk C. Longevity08.08 5,087 —
OFLCedola Risk C. Megatr. 08.08 4,825 —
OFLCedola Risk C. R 08.08 5,544 —
OFLCedola Risk C. R2 08.08 5,141 —
OFLQuant 1 08.08 4,767 —


BG Selection Sicav ___
Cl.A

AEMAfrica&Middle East Eq. 09.08 82,70 —
FLEAnima - Club 09.08108,89 —
AITAnima - Italy Eq. 09.08 70,69 —
FLE ARC 09.08102,63 —
FLEARC 10 09.08114,26 —
FLEBlack Rock - Glb M. Asset09.08133,04 —
FLEBlackR- M. Asset Infl. F 09.08107,57 —
AEMEastern Europe Eq. 09.08 53,38 —
OPEEm. Markets Bd Opp. 09.08 96,13 —
FLEEurizon - Concerto 09.08108,36 —
FLEFlexible Europe 09.08 88,32 —
FLEGenerali Inv. Part. Div. S.09.08110,45 —
BAZGlobal Dynamic 09.08119,03 —
AEMGreater China Eq. 09.08103,25 —


AEMIndia&So.East Asia Eq. 09.08 126,32 —
APAInvesco - Asia Gl. Opp. 09.08 158,19 —
AEUInvesco - Europe Eq. 09.08 104,07 —
FLEInvesco - Real Ass Ret 09.08 94,40 —
FLEJPM - Best Ideas 09.08 127,33 —
FLEJPM Glb M. Asset Inc.F 09.08 95,27 —
FLEKairos - Blend 09.08 109,53 —
AEMLatin America Eq. 09.08 89,26 —
FLEM&G - M. Asset All.. F. 09.08 99,92 —
FLEMorgan Stanley - Act.All.09.08 140,82 —
FLEMorgan Stanley Real A.P.09.08 110,29 —
AAMMorgan Stanley-N.Am.Eq.09.08 171,54 —
AEMNext 11 Eq. 09.08 71,87 —
AEUOddo AM Expertise Eu 09.08 118,36 —
---Pictet - Dynamic Advisory09.08 105,20 —
ASEPictet World Opp. 09.08 208,49 —
FLEPimco - Smart Inv. Flex All.09.08 100,89 —
FLESchroder M. Asset 09.08 103,36 —
FLEShort Strategies 09.08 26,63 —
OASShort Term Debt 09.08 106,77 —
AINSmaller Companies 09.08 143,49 —
AIN T-Cube 09.08 119,44 —
BAZUBS Em. Mkts Solut. 09.08 103,21 —
AINVontobel - Gl. Elite 09.08 152,38 —
Ersel Gestion Internationale ________________
OPEGlobersel Em.Bd Insight I.08.08 109,97 —
AEUGlobersel Eur. Eq. Inv. AM08.08 95,79 —
AINGlobersel G. E. W.Sc.& P. A08.08 864,74 —
AINGlobersel G. E. W.Sc.& P. B08.08 178,86 —
AENGlobersel Pact Nat Res A08.08 70,73 —
AENGlobersel Pact Nat Res B08.08 67,50 —
AAMGlobersel US E. A. Bern. A08.08 103,84 —
AAMGlobersel US E. A. Bern. B08.08 98,78 —
FLELeadersel Active Strat. 08.08 104,08 —
BBILeadersel Balanced 08.08 118,66 —
OECLeadersel Corp. Bd 08.08 313,77 —
AENLeadersel Div.Strategies08.08 102,37 —
AEMLeadersel Em. Mkt Mult.02.08 163,52 —
FLELeadersel Event Driven 07.08 105,63 —
FLELeadersel Flex Mult. 02.08 98,67 —
OFLLeadersel Flexible Bd 08.08 100,69 —
FLELeadersel P.M.I. H.D. 08.08 112,97 —
FLELeadersel Tot. Ret.Strat.02.08 96,78 —
OMILeadersel Total Ret 08.08 120,03 —
FLESystematica Glb Trend 08.08 104,75 —
Esperia Funds Sicav ______________________
Duemme
FLEAlkimis Absolute C (7) 09.08 119,69 —
FLEAlkimis Absolute I 09.08 121,65 —
AINAlkimis Special Val. C 09.08 122,39 —
AINAlkimis Special Val. I (6,7) 09.08 125,71 —
OPEC-Quadrat Asian B. O. C (6) 09.08 101,69 —
OPEC-Quadrat Asian B. O. I (6) 09.08 103,72 —
BOBC-Quadrat Efficient Cl. C09.08 108,80 —
BOBC-Quadrat Efficient Cl. I (6,7) 05.08 117,81 —
OECC-Quadrat Euro Inv. C 09.08 134,46 —
OECC-Quadrat Euro Inv. I (6,7) 09.08 145,38 —
OMIC-Quadrat G.C. Plus Cl.C09.08 106,37 —
OMIC-Quadrat G.C. Plus Cl.I (6) 09.08 111,76 —
OEMDuemme B. Euro Area C09.08 154,59 —
FLEDuemme Beta Neutral C09.08 82,32 —
OFLDuemme Beta Neutral I (7) 09.08 83,12 —
OEMDuemme Bond Euro I (6,7) 09.08 118,87 —
OMIDuemme C. Bd Euro C 09.08 155,51 —
OMIDuemme C. Bd Euro I (6,7) 09.08 137,53 —
AAEDuemme Euro Eq. C 09.08 119,35 —
AAEDuemme Euro Eq. I (6,7) 09.08 174,91 —
AINDuemme Pr. Eq.Str. C 09.08 205,15 —
AINDuemme Pr. Eq.Str.I (6,7) 09.08 279,62 —
FLEDuemme Str. Portf. C (7) 09.08 139,10 —
FLEDuemme Str. Portf. I (6,7) 09.08 144,78 —
AASRussell Glb Eq. C 09.08 164,81 —
AASRussell Glb Eq. I (6,7) 09.08 212,83 —
FLESyst. Diversific. C 09.08 121,50 —
FLESyst. Diversific. I (6,7) 09.08 122,30 —

Help desk c/o Eurizon Capital Sgr; Gruppo Intesa Sanpaolo;
tel. 02 8810.
Eurizon Manager Selection Fund Cl. R
OMIMS 10 08.08 157,76 —
BOBMS 20 08.08 158,42 —
BBIMS 40 08.08 159,34 —
BAZMS 70 08.08 179,50 —
Eurizon MM Stars Fund Cl. R Cl. I
FLEPrivate Style Equity 08.08 145,98 —
FLEPrivate Style Flexible 08.08 108,23 —
FLEPrivate Style Total Ret. 06.08 102,44108,
Cl.R1 Cl.R
FLEPrivate Style Flexible 08.08 110,00109,
Cl.RD1Cl.RD
FLEPrivate Style Income 08.08 101,05101,
Cl.RD
FLEPrivate Style Income 08.08 99,89 —
OPESLJ Local Emerging Markets Debt08.08 99,390 —
Eurizon Opportunità Cl. RD Cl. I
OFLGlobal B.Cedola 02/202208.08 101,43 —
OFLGlobal B.Cedola 04/202208.08 100,87 —
OFLGlobal B.Cedola 05/202208.08 99,66 —
OFLGlobal B.Cedola 06/202108.08 99,00 —
OFLGlobal B.Cedola 07/202108.08 98,34 —
OFLGlobal B.Cedola 10/202108.08 100,47 —
OFLGlobal B.Cedola 12/202108.08 101,25 —
OFLObbligazioni Flessibile 08.08 101,05113,
Cl. R
FLEFlessibile 15 08.08 99,57 —
FLESparkasse Prime Fund 08.08 96,59 —
Cl. IDYCl. IDZ
OFLObbligazioni Flessibile 08.08 103,63104,
Cl. IDX
OFLObbligazioni Flessibile 08.08 99,52 —
Epsilon Fund Cl. R Cl. I
FLEAbsolute Q-Multistrategy08.08 — 100,
OPEEm. B.Total Ret. Enh. 08.08 97,63 98,
OPEEm. Bd Total Return 08.08 130,32139,
FLEEnhanced C.Risk Contr. 08.08 107,67112,
OEMEuro Bond 08.08 176,99187,
MAEEuro Cash 08.08 108,38110,
AAEEuro Q-Equity 08.08 118,30131,
FLE Q-Flexible 08.08 136,86152,
Cl. E Cl. X
OPEEmerging Bd Total Ret. 08.08 98,04 99,
Cl. RD
OPEEmerging Bd Total Ret. 08.08 97,45 —
FLEEnhanced C.Risk Contr. 08.08 105,10 —
OEMEuro Bond 08.08 105,30 —
FLE Q-Flexible 08.08 100,90 —
Cl. S Cl. SD
FLE Q-Flexible 29.05 96,02 —
Investment Solutions by Epsilon Cl. R Cl. RD
FLEDynamic I.Multit. 01/201608.08 — 89,
FLEDynamic Preser. 01/201608.08 100,53 —
FLEGlb Dyn. Multitr. 06/201508.08 93,98 91,
FLEGlobal Absol. Strat. 05/201608.08 103,27 —
FLEGlobal Coupon 06/201408.08 — 98,
FLEGlobal Coupon 11/201408.08 — 98,
FLEGlobal Div. Alloc. 02/201508.08 — 90,
FLEGlobal Flexible Str. 04/201608.08 103,80 97,
FLEGlobal I.Multitrend. 09/201508.08 97,76 92,
FLEMultiasset A3anni 04/201608.08 97,52 —
FLEMultiasset Ced.Gl. 12/201506.08 102,73 96,
FLEMultiasset Ced.Gl. 2/201606.08 95,75100,
FLEValore Cedola Gl.02/201506.08 — 93,
FLEValore Cedola Gl.04/201506.08 — 94,
FLEValore Cedola Gl.09/201506.08 — 96,
FLEValore Cedola Gl.7/201506.08 95,95 —
FLEValore Cedola X5 11/201406.08 — 97,
Cl. RD1 Cl. R
FLEGlobal I.Multitr. 09/201508.08 91,76 —
FLEMultiasset A3anni 07/201608.08 — 97,
Cl. ID
FLEEquity Alpha Strategy 08.08 98,80 —
FLEEquity Index Strategy 08.08 105,99 —
Eurizon Fund ___________________________
Active Market CL. A
MAECash EUR 08.08 114,19 —
Treasury Management CL. A CL. Z
OASBond Short Term EUR T108.08 98,27 98,
Limited Tracking Error CL. R CL. Z
OEMBond EUR Long T.LTE 08.08 267,18296,
OEMBond EUR Medium T.LTE08.08 342,82382,
OEBBond EUR Short T.LTE 08.08 140,53155,
OASBond GBP LTE 08.08 164,23184,
OAYBond JPY LTE 08.08 122,58137,
ODMBond USD LTE 08.08 187,68211,
AEMEq.Em.Mkts N. Frontiers08.08 117,19144,
AEMEquity Em. Mkts LTE 08.08 —252,
AAEEquity Euro LTE (7) 08.08 —135,
AEUEquity Europe LTE (7) 08.08 —146,
APAEquity Japan LTE (7) 08.08 — 99,
AAMEquity N.America LTE (7) 08.08 —175,
APAEquity Pacific ex-Japan LTE (7) 08.08 —310,
OASGlobal Bond LTE 08.08 166,45180,
Active Market cop.rischio cambio CL. RH CL. ZH
OPEBond Emerging Mkts 08.08 359,40402,
APAEquity Japan 08.08 75,51 —
AAMEquity USA 08.08 —106,
Active Market CL. R CL. Z
OASBond Aggregate EUR 08.08 108,78110,
OPEBond Aggregate RMB 08.08 107,24108,
OFLBond Corporate EUR 08.08 104,53137,
OPEBond Emerging Mkts 08.08 382,46429,

OASBond EUR Float. Rate 08.08127,16 136,
OASBond Euro High Yield 08.08 — 105,
OASBond High Yield 08.08229,77 259,
OASBond Inflation Linked 08.08141,84 156,
MADBond USD Short Term LTE08.08114,75 124,
OMIBondCorp.Eur ST 08.08 67,60 75,
MAECash EUR 08.08110,70 117,
APSEquity China A 08.08 91,95 95,
APAEquity Japan 08.08 94,21 212,
AEUEquity Small Mid C.Eur. 08.08633,25 731,
AAMEquity Usa 08.08141,00 154,
OIGGlobal Bond 08.08108,05 106,
AITItalian Equity Opportunities08.08101,18 113,
OPESLJ Local E. Mkts Debt 08.08111,24 104,
AINSustainable Glb Equity 08.08106,69 110,
AEUTop European Research08.08 97,39 110,
CL. SD CL. RH
OASBond High Yield 08.08103,69 —
AAMEquity Usa 08.08 — 122,
AITItalian Equity Opportunities08.08137,47 —
CL. S CL. SD
OASBond Aggregate EUR 08.08 105,320 —
OPEBond Aggregate RMB 08.08 97,82 —
OECBond Corp.EUR Short T.08.08 97,83 —
OFLBond Corporate EUR 08.08102,37 103,
OPEBond Emerging Mkts 08.08113,79 101,
OASBond High Yield 08.08109,40 —
OASBond Inflation Linked 08.08101,92 —
AEUEquity Small Mid C. Eur.08.08 94,52 —
AEUEquity USA 08.08118,47 —
AITItalian Equity Opportunities08.08129,16 —
AINSustainable Glb Equity 08.08 98,44 —
AEUTop European Research08.08102,97 —
CL. X CL. XH
OFLBond Corporate EUR 08.08106,59 —
OPEBond Emerging Markets08.08111,53 102,
OASBond High Yield 08.08104,39 —
APAEquity Japan 08.08 98,88 —
AEUEquity Small Mid C. Eur.08.08 96,91 —
AAMEquity USA 08.08123,59 105,
AITItalian Equity Opportunities08.08 99,95 —
AEUTop European Research08.08 92,05 —
Active Strategy CL. R CL. Z
FLEAbsolute Active 08.08116,96 130,
OASAbsolute Green Bd 08.08105,36 105,
OASAbsolute High Yield 08.08102,45 100,
OMIAbsolute Prudent 08.08118,72 128,
FLEActive Allocation 08.08103,81 750,
FLEAzioni Strat. Flessibile 08.08155,31 174,
OFLBond Flexible 08.08101,20 105,
FLEConservative Allocation08.08104,45 108,
FLEDynamic Asset All. 08.08 93,47 598,
FLEEquity Market Neutral 08.08 — 98,
FLEFlexible Multistrategy 08.08 96,39 100,
FLEFocus Az.StratFlessRL 08.08160,50 —
OFLGlobal Multi Credit 08.08 99,91 101,
OASSecuritized Bond F. 08.08 — 101,
FLESLJ Enhanced Currency Basket08.08 — 97,
FLESLJ Flexible Global Macro08.08 — 91,
Cl.X Cl. ZD
OMIAbsolute Prudent 08.08 — 100,
FLEActive Allocation 08.08 97,57 —
OFLBond Flexible 08.08102,24 97,
OASSecuritized Bond Fd 08.08100,98 100,
Cl. S Cl. SD
FLEAbsolute Active 08.08 97,37 —
OMIAbsolute Prudent 08.08 99,00 —
FLEActive Allocation 08.08106,61 —
FLEAzioni Str. Flessibile 08.08107,89 107,
OFLBond Flexible 08.08100,92 100,
FLEConservative Allocation08.08 96,88 95,
FLEFlexible Multistrategy 08.08 95,56 95,
OFLGlobal Multi Credit 08.08 98,44 —
Cl.RD
OPEBond Aggregate RMB 08.08 104,070 —
OFLBond Flexible 08.08 96,11 —
FLEConservative Allocation08.08100,70 —
Cl.E
OASSecuritized Bond Fd 08.08 99,28 —
Linea LTE cop. rischio cambio CL. RHCL. ZH
OASBond GBP 08.08191,65 216,
OAYBond JPY 08.08163,62 224,
ODMBond USD 08.08206,29 232,
AEUEquity Europe (7) 08.08 — 148,
APAEquity Japan (7) 08.08 — 112,
AAMEquity North America (7) 08.08 — 193,
APAEquity Pacific ex-Japan LTE (7) 08.08 — 226,
OASGlobal Bond LTE 08.08163,53 177,
Factors CL. R CL. Z
OECBond Corp. Smart ESG 08.08105,30 104,
APSEquity China Smart Vol.08.08119,57 136,
AEMEquity Em.Mkts Sm. Vol.08.08194,61 228,
AITEquity Italy Smart Vol. 08.08 91,25 108,
AINEquity World Smart Vol.08.08 97,93 116,
CL. RHCL. ZH
AINEquity World Smart Vol.08.08 83,63 99,
Le Classi I, Z e ZH sono riservate a investitori istituzionali..

Eurofundlux
OFLAbsolute Return Bd A 09.0810,398 —
OFLAbsolute Return Bd B (7) 09.0810,004 —
OFLAbsolute Return Bd D 09.0810,448 —
OFLAlto Rendim. 2019 Pl. B11.0111,025 —
OFLAlto Rendim. 2019 Pl. D09.0810,442 —
OFLAlto Rendimento 2019 A09.08 9,801 —
OFLAlto Rendimento 2019 B09.0810,147 —
OASConvertible Bond B (7) 09.08 9,906 —
OPEEmerging Mkt Bd B 09.0813,612 —
AEMEmerging Mkt Eq. A 09.0824,291 —
AEMEmerging Mkt Eq. B 09.0827,478 —
FLEEquity Ret. Absolute A 09.0812,145 —
FLEEquity Ret. Absolute B 09.0810,357 —
FLEEquity Ret. Absolute G 09.0810,160 —
FLEEquity Ret. Absolute P 09.08 9,789 —
OEBEuro Cash A 09.0811,644 —
OEBEuro Cash B 09.0812,149 —
AAEEuro Equity B 09.0814,446 —
AAEEuro Equity D 09.08 9,577 —
OEMEuro Govern. Bd B 09.0812,024 —
OECEurope Corp. Bd B 09.0811,524 —
OFLFixed Inc. Ret. ST FIRST B09.08 8,877 —
OFLFixed Inc. Ret. ST FIRST D09.08 7,982 —
OFLFixed Inc. Ret. ST FIRST I (7) 09.0810,237 —
FLEFlex H. Vol B 09.08 9,184 —
OFLFloating Rate A 09.0811,254 —
OFLFloating Rate B 09.0812,000 —
OFLFloating Rate D 09.08 9,415 —
BAZGlb Enhanced D.-GEDI A09.0811,964 —
BAZGlb Enhanced D.-GEDI B09.0813,926 —
BAZGlb Enhanced D.-GEDI D09.08 8,564 —
BAZGlb Enhanced D.-GEDI P09.0810,256 —
BAZGlb Enhanced D.-GEDI Q09.08 9,539 —
BBIIPAC Balanced A 09.08 9,915 —
OFLMulti Income F4 A 09.0810,017 —
OFLMulti Income F4 B 09.0811,474 —
OFLMulti Income F4 D 09.08 8,938 —
OFLMulti Income I4 A 09.0811,867 —
OFLMulti Income I4 B 09.0812,011 —
OFLMulti Income I4 D 09.08 9,991 —
AINMulti Smart Eq.-MuSE A09.0813,261 —
AINMulti Smart Eq.-MuSE B09.0815,222 —
AINMulti Smart Eq.-MuSE I (7) 09.0810,646 —
OFLObiettivo 2017 A 09.0811,517 —
OFLObiettivo 2021 A 09.0811,397 —
OFLObiettivo 2021 B 09.0811,665 —
OFLObiettivo 2024 B 09.0810,742 —
FLETR Flex Aggressive A 09.0810,160 —
FLETR Flex Aggressive B 09.0810,796 —
FLETR Flex Aggressive G 09.0810,724 —
FLETR Flex Aggressive P 09.0810,480 —

Cl. D Cl. E
OFLAbs Ret. Credit Strat. 08.08106,11 103,
FLEAbs Ret. M. Strat. 08.08112,32 108,
OPECentral&East Eur. Bds 08.08169,52 164,
AEMCentral&East Eur. Eq. 08.08208,71 193,
OEMEuro Bd 08.08180,69 174,
OEBEuro Bd 1-3 years 08.08122,44 119,
OEMEuro Bd 3-5 years 08.08140,75 138,
OECEuro Corp. Bd 08.08162,06 157,
OECEuro Corp. Short T. Bd 08.08111,49 109,
OECEuro Covered Bd 08.08126,79 126,
AAEEuro Eq. 08.08107,11 —
AAEEuro Eq. Contr. Volat. 08.08106,82 105,
AAEEuro Fut. Leaders 08.08134,26 126,
OEBEuro Short T. Bd 08.08122,44 118,
AAEEuropean Eq. Recovery 08.08 97,95 95,
OASGIS Convertible Bd 08.08112,52 113,
FLEGlobal Eq. 08.08146,58 134,
FLEGlobal M. Asset Inc. 08.08100,92 —
AAESRI Ageing Popul. 08.08121,98 123,
AEUSRI European Eq. 08.08167,02 153,
OEHTotal Ret. Euro H.Yield 08.08202,48 177,
Generali Investments Global Solutions Fund
OFLGIGS F.-Bridge 11-2021 RA202.08103,40 —
OFLGIGS F.-Bridge 11-2021 RD02.08100,11 —
OFLGIGS F.-Bridge 11-2021 RD202.08100,12 —
OFLGIGS F.-Bridge 2021 ID (7) 02.08103,35 —

OFLGIGS F.-Bridge 2021 RA202.08109,55 —
OFLGIGS F.-Bridge 2021 RD02.08102,89 —
OFLGIGS F.-Bridge 2021 RD202.08102,89 —

http://www.kairospartners.com
Kairos Alpha Sicav
AITKAS - Target Italy D 07.08 91,03 —
AITKAS - Target Italy P 07.08 92,51 —
AITKAS - Target Italy X (7) 07.08 93,85 —
Kairos International Sicav _________________
FLEKIS - Algo D 07.08100,02 —
FLEKIS - Algo P 07.08105,16 —
FLEKIS - Algo P Usd 07.08149,36 —
FLEKIS - Alphabeta D 23.05 93,38 —
FLEKIS - Alphabeta P 23.05 97,70 —
FLEKIS - Alphabeta X (7) 16.04 98,08 —
AAMKIS - America D 23.05210,73 —
AAMKIS - America P 23.05221,69 —
AAMKIS - America P Usd 23.05336,05 —
OASKIS - Bond C 08.08 97,30 —
OASKIS - Bond D 08.08120,14 —
OASKIS - Bond P 08.08127,96 —
OASKIS - Bond P Usd 08.08187,34 —
OFLKIS - Bond Plus C 08.08100,71 —
OFLKIS - Bond Plus D 08.08135,31 —
OFLKIS - Bond Plus D Dist 08.08 95,26 —
OFLKIS - Bond Plus P 08.08144,16 —
OFLKIS - Bond Plus P Dist 08.08121,50 —
OFLKIS - Bond Plus P Usd 08.08114,69 —
OFLKIS - Bond Plus X 08.08107,81 —
OFLKIS - Bond Plus X Dist (7) 08.08 99,16 —
OASKIS - Bond X (7) 08.08 98,90 —
APAKIS - Em. Markets D 07.08120,44 —
APAKIS - Em. Markets P 07.08128,15 —
APAKIS - Em. Markets P Usd07.08186,75 —
AEUKIS - Europa D 08.08130,07 —
AEUKIS - Europa P 08.08140,73 —
AEUKIS - Europa X 08.08148,50 —
OASKIS - Financial I.C 08.08102,15 —
OASKIS - Financial I.D 08.08 98,73 —
OASKIS - Financial I.P 08.08101,65 —
OASKIS - Financial I.P Usd 08.08105,21 —
OASKIS - Financial I.X (7) 08.08100,85 —
OASKIS - Financial I.Y (7) 08.08102,45 —
OASKIS - Global Bd P Usd 23.05145,56 —
OASKIS - Global Bond D 23.05 91,98 —
OASKIS - Global Bond P 23.05 98,49 —
FLEKIS - Italia D 08.08104,18 —
FLEKIS - Italia P 08.08147,06 —
AITKIS - Italia PIR P 08.08 92,90 —
AITKIS - Italia PIR X (7) 08.08 95,93 —
FLEKIS - Italia X 08.08154,39 —
FLEKIS - Italia X Dist 08.08 96,97 —
AASKIS - Key D 08.08118,66 —
AASKIS - Key D Dist 08.08107,60 —
AASKIS - Key P 08.08177,23 —
AASKIS - Key P Dist 08.08153,65 —
AASKIS - Key X 08.08181,57 —
FLEKIS - Patriot P 08.08108,54 —
FLEKIS - Pegasus C 08.08101,08 —
FLEKIS - Pegasus D 08.08122,24 —
FLEKIS - Pegasus P 08.08121,94 —
FLEKIS - Pegasus P Usd 08.08134,12 —
FLEKIS - Pegasus X 08.08123,97 —
FLEKIS - Pegasus X-Dist (7) 08.08 92,17 —
FLEKIS - Pegasus X-Usd (7) 08.08 93,31 —
AITKIS - Pentagon D 08.08 96,58 —
FLEKIS - Pentagon D Dist 08.08 97,37 —
AITKIS - Pentagon P 08.08 99,83 —
FLEKIS - Pentagon X (7) 07.05102,55 —
AITKIS - Risorgimento D 08.08111,18 —
AITKIS - Risorgimento P 08.08147,14 —
AITKIS - Risorgimento X 08.08153,17 —
AITKIS - Target Italy Alpha S08.08 96,39 —
AINKIS - World P 23.05120,48 —
LUX IM _______________________________
Cl. D
FLEActive Glb Allocation 09.08 98,61 —
FLEAlgebris Best Ideas 09.08 95,35 —
OASAmundi Glob Inc Bond 09.08101,36 —
OEHAnima High Yield ShT O.09.08 98,44 —
AINBlackRock Glb Eq Div 09.08121,98 —
AINBlackrock Glb Equity Div.09.08107,66 —
OFLBlackRock Glb Opp Bd 09.08 96,62 —
BOBBlackRock Multi Factor I.09.08101,41 —
FLEDiversified Tr. Following09.08 95,07 —
BBIESG Amundi Sust. Alpha09.08106,80 —
FLEESG BNP Paribas Isovol09.08103,80 —
BAZESG Generali Inv. Div.Str.09.08 97,87 —
FLEESG Morgan Stanley G.M.09.08 96,94 —
AEUESG Oddo Bhf Eur.L.Short09.08 94,00 —
FLEEurizon Contrar. Approach09.08102,58 —
OEMEuro Bond 09.08129,13 —
AEUEuropean Equities 09.08 86,15 —
BOBFidelity Glb Inc Blend Acc.09.08101,79 —
BOBFidelity Glb Inc Blend Dis.09.08101,78 —
OASFidelity Glb Low Duration09.08101,57 —
FLEFlexible Global Eq 09.08107,52 —
AITFocus Italia 09.08 91,50 —
AEUGen.Inv.Partners E.Rec. F09.08103,73 —
AEMGlobal Emerging Equities09.08 90,47 —
ASEGlobal Medtech 09.08 93,79 —
AINGoldman Sachs Data An.09.08101,57 —
OEHIncome Coupon Acc. 09.08105,40 —
OEHIncome Coupon Dis. 09.08 95,31 —
OEHIncome Coupon II 09.08 98,55 —
FLEInnovation Strategy 09.08109,70 —
OASInvesco Fin. Credit Bond09.08125,52 —
BOBInvesco Glb Inc. Opp. Acc.09.08100,66 —
BOBInvesco Glb Inc. Opp. Dis.09.08100,15 —
OFLInvesco Glb Multi Credit09.08111,30 —
FLEJPM Emerging Mkt I. Acc.09.08106,88 —
FLEJPM Emerging Mkt I. Dis.09.08107,95 —
OPEJPM Short Em. Debt Acc.09.08 99,77 —
OIGJPM Short Em. Debt Dis.09.08 99,21 —
FLEKairos Liquid Alt. Strat. 09.08 80,02 —
FLEM&G Alpha Generation 09.08 99,40 —
AAMMorgan Stanley US Eq. 09.08213,29 —
AASMS Gl Real Est&Infr Eq 09.08129,29 —
OFLMuzinich Cr.Alternative F09.08 99,52 —
OFLOddo Corp. High Inc.Acc.09.08 99,98 —
OFLOddo Corp. High Inc.Dis.09.08 99,31 —
OEHOddo Target 2022 09.0899,912 —
APAPictet Asian Equities 09.08 87,37 —
AINPictet Future Trends 09.08 98,92 —
FLEPimco Glb Risk All. 09.08101,58 —
OFLPimco Multi Alpha Credit09.08102,18 —
OASSchroder Asia Inc Acc. 09.08109,22 —
OASSchroder Asia Inc Dis. 09.08108,35 —
OASSchroder Asia Inc Dis.H.09.08104,92 —
OASSchroder Asia Inc Hedge09.08105,70 —
OASSchroder Conv. Bd Opp 09.08103,51 —
FLEShort Equities 09.08 33,48 —
AAESmall Mid Cap Eu Eq 09.08110,75 —
OFLTwentyFour G.Str. Bd Acc.09.08102,88 —
OFLTwentyFour G.Str. Bd Dis.09.08 98,76 —
FLEUBS Active Defender 09.08103,84 —
BBIUBS Asia Balanced I.Acc.09.08108,10 —
BBIUBS Asia Balanced I.Dis.09.08107,77 —
OIHUBS Dyn Cred High Yield09.08 97,71 —
OFLVontobel Glb Active Bd 09.08112,76 —
FLEVontobel Millennial 09.08 90,81 —
OPEVontobel N. Front Debt 09.08115,91 —
AINWorld Equities 09.08101,55 —

Website - http://www.mandgitalia.it. Email - [email protected]
M&G (Lux)
OFLAbsolute Ret. Bd F. 09.08 10,38 —
BOBConservative All. F. 09.08 9,16 —
FLEDynamic All. F. 09.08 8,91 —
BOBGlobal Target Ret. F. 09.08 9,56 —
BBIIncome All. F. 09.08 9,74 —
Mediolanum International F. ________________
http://www.bancamediolanum.it; tel. 800 107107
CH - Challenge Funds - Classi Mediolanum
ASECounter Cycl Eq L 09.08 5,798 —
ASECounter Cycl Eq S 09.0811,813 —
ASECyclical Eq L 09.08 7,792 —
ASECyclical Eq S 09.0815,451 —
AEMEmerg. Mkts Eq. L 09.08 8,291 —
AEMEmerg. Mkts Eq. S 09.0818,143 —
AENEnergy Eq. L 09.08 6,257 —
AENEnergy Eq. S 09.0811,944 —
OEMEuro Bd L-A 09.0810,507 —
OEMEuro Bd L-B 09.08 6,807 —
OEMEuro Bd S-A 09.0818,226 —
OEMEuro Bd S-B 09.0812,806 —
OEBEuro Income L-A 09.08 7,095 —
OEBEuro Income L-B 09.08 4,650 —
OEBEuro Income S-A 09.0812,440 —
OEBEuro Income S-B 09.08 8,969 —
AEUEuropean Eq L cop 09.08 7,648 —
AEUEuropean Eq S cop 09.0814,578 —
AEUEuropean Eq. L 09.08 5,336 —
AEUEuropean Eq. S 09.08 8,938 —
AFIFinancial Eq. L 09.08 3,650 —
AFIFinancial Eq. S 09.08 6,962 —

APSGermany Eq. L 09.08 5,830 —
APSGermany Eq. S 09.0810,953 —
OIGIntern Bd L-A 09.08 6,439 —
OIGIntern Bd L-A Cop 09.08 8,599 —
OIGIntern Bd L-B 09.08 5,784 —
OIGIntern Bd L-B Cop 09.08 6,266 —
OIGIntern Bd S-A 09.0812,597 —
OIGIntern Bd S-A Cop 09.0814,740 —
OIGIntern Bd S-B 09.0811,353 —
OIGIntern Bd S-B Cop 09.0811,715 —
OIGIntern Inc L-A 09.08 5,322 —
OIGIntern Inc L-A Cop 09.08 6,341 —
OIGIntern Inc L-B 09.08 5,061 —
OIGIntern Inc L-B Cop 09.08 4,687 —
OIGIntern Inc S-A 09.0810,421 —
OIGIntern Inc S-A Cop 09.0811,078 —
OIGIntern Inc S-B 09.08 9,923 —
OIGIntern Inc S-B Cop 09.08 9,093 —
AINInternational Eq L 09.08 8,716 —
AINInternational Eq L c. 09.08 8,932 —
AINInternational Eq S 09.0811,084 —
AINInternational Eq S c. 09.0817,176 —
AITItalian Eq. L 09.08 4,607 —
AITItalian Eq. S 09.08 7,833 —
MADLiquid. US$ L 09.08 4,791 —
MADLiquid. US$ S 09.08 9,557 —
MAELiquidity Euro L 09.08 6,772 —
MAELiquidity Euro S 09.0812,472 —
AAMNorth Amer Eq L cop 09.0811,154 —
AAMNorth Amer Eq S cop 09.0821,509 —
AAMNorth Amer. Eq. L 09.0810,320 —
AAMNorth Amer. Eq. S 09.0813,169 —
APAPacific Eq L cop 09.08 6,302 —
APAPacific Eq S cop 09.0812,222 —
APAPacific Eq. L 09.08 6,579 —
APAPacific Eq. S 09.08 8,537 —
FLESolidity & Return L A 09.08 5,137 —
FLESolidity & Return L B 09.08 5,067 —
FLESolidity& Return S-A 09.0811,646 —
FLESolidity& Return S-B 09.08 9,682 —
APSSpain Eq. L-A 09.08 6,981 —
APSSpain Eq. S-A 09.0814,904 —
AIFTechnology Eq. L 09.08 5,645 —
AIFTechnology Eq. S 09.0813,251 —
Legenda proventi: A = accumulazione; B = distribuzione
Mediolanum Best Brands
AEMChinese Road Opp L 09.08 4,973 —
OEMConvertible Str. Col LA 09.08 5,921 —
OEMConvertible Str. Col LB 09.08 5,448 —
OEMConvertible Str. Col LHA09.08 5,394 —
OEMConvertible Str. Col LHB09.08 4,967 —
OEMConvertible Str. Col SA 09.0811,625 —
OEMConvertible Str. Col SB 09.0810,696 —
OEMConvertible Str. Col SHA09.0810,582 —
OEMConvertible Str. Col SHB09.08 9,751 —
FLECoupon Str. Coll LA 09.08 6,558 —
FLECoupon Str. Coll LA cop 09.08 5,975 —
FLECoupon Str. Coll LB 09.08 4,742 —
FLECoupon Str. Coll LB cop 09.08 4,306 —
FLECoupon Str. Coll SA 09.0812,688 —
FLECoupon Str. Coll SA cop 09.0811,528 —
FLECoupon Str. Coll SB 09.08 9,181 —
FLECoupon Str. Coll SB cop 09.08 8,325 —
BBIDynamic Coll L 09.08 7,229 —
BBIDynamic Coll L cop 09.08 7,102 —
BBIDynamic Coll S 09.0812,342 —
BBIDynamic Coll S cop 09.0813,624 —
AINDynamic Int Val O. LA 09.08 5,665 —
AINDynamic Int Val O. LHA 09.08 5,511 —
AINDynamic Int Val O. SA 09.0811,193 —
AINDynamic Int Val O. SHA 09.0810,866 —
AEMEm Mkts Coll L 09.0810,847 —
AEMEm. Mkts Coll S 09.0817,332 —
OPEEmerging Mark Fix Inc LA09.08 5,163 —
OPEEmerging Mark Fix Inc LB09.08 5,165 —
OPEEmerging Mark Fix Inc LHA09.08 5,137 —
OPEEmerging Mark Fix Inc LHB09.08 5,169 —
AASEq. Pow. Coup. C. L 09.08 7,173 —
AASEq. Pow. Coup. C. L B 09.08 5,144 —
AASEq. Pow. Coup. C. L c. 09.08 6,255 —
AASEq. Pow. Coup. C. LH B 09.08 4,751 —
AASEq. Pow. Coup. C. S 09.0810,993 —
AASEq. Pow. Coup. C. S B 09.0810,003 —
AASEq. Pow. Coup. C. S c. 09.0811,790 —
AASEq. Pow. Coup. C. SH B 09.08 9,246 —
OFLEquilibrium LA 09.08 4,903 —
OFLEquilibrium LAH 09.08 4,874 —
OFLEquilibrium LB 09.08 4,574 —
OFLEquilibrium LBH 09.08 4,538 —
OFLEquilibrium SA 09.08 9,709 —
OFLEquilibrium SAH 09.08 9,643 —
OFLEquilibrium SB 09.08 9,051 —
OFLEquilibrium SBH 09.08 8,988 —
FLEEuro Coup Strat C. LA 09.08 5,214 —
FLEEuro Coup Strat C. LB 09.08 4,743 —
FLEEuro Coup Strat C. LHA 09.08 5,298 —
FLEEuro Coup Strat C. LHB 09.08 4,826 —
FLEEuro Coup Strat C. SA 09.0810,326 —
FLEEuro Coup Strat C. SB 09.08 9,403 —
FLEEuro Coup Strat C. SHA 09.0810,497 —
FLEEuro Coup Strat C. SHB 09.08 9,557 —
OEMEuro Fixed Income L A 09.08 4,660 —
OEMEuro Fixed Income L B 09.08 5,974 —
OEMEuro Fixed Income S A 09.08 9,023 —
OEMEuro Fixed Income S B 09.0811,491 —
AEUEuropean Coll L 09.08 6,474 —
AEUEuropean Coll L cop 09.08 7,079 —
AEUEuropean Coll S 09.08 9,523 —
AEUEuropean Coll S cop 09.0813,116 —
AEUEuropean Small Cap Eq L09.08 5,008 —
FLEF.Templeton EM Sel L 09.08 5,258 —
FLEF.Templeton EM Sel S 09.0810,143 —
OASFinancial Inc Strat LA 09.08 5,480 —
OASFinancial Inc Strat LB 09.08 4,726 —
OASFinancial Inc Strat SA 09.0810,852 —
OASFinancial Inc Strat SB 09.08 9,369 —
OIHGlb High Yield cop L A 09.08 7,689 —
OIHGlb High Yield cop L B 09.08 4,479 —
OIHGlb High Yield cop S A 09.0814,644 —
OIHGlb High Yield cop S B 09.08 8,512 —
OIHGlb High Yield L A 09.0812,326 —
OIHGlb High Yield L B 09.08 5,260 —
OIHGlb High Yield S A 09.0818,064 —
OIHGlb High Yield S B 09.08 8,221 —
AINGlobal Leaders L 09.08 5,120 —
AINGlobal Leaders LH 09.08 5,081 —
AASInfrastruct Opp Col LA 09.08 6,506 —
AASInfrastruct Opp Col LB 09.08 5,835 —
AASInfrastruct Opp Col LHA 09.08 6,035 —
AASInfrastruct Opp Col LHB 09.08 5,402 —
AASInfrastruct Opp Col SA 09.0812,705 —
AASInfrastruct Opp Col SB 09.0811,393 —
AASInfrastruct Opp Col SHA09.0811,776 —
AASInfrastruct Opp Col SHB09.0810,540 —
FLELong Short Strat Coll LA09.08 4,706 —
FLELong Short Strat Coll SA09.08 9,299 —
FLEMed Carmignac Str S. LA09.08 5,494 —
FLEMed Carmignac Str S. SA09.0810,786 —
FLEMed FidelityAsian S.LA 09.08 5,541 —
FLEMed FidelityAsian S.LB 09.08 5,054 —
FLEMed FidelityAsian S.LHA09.08 5,307 —
FLEMed FidelityAsian S.LHB09.08 4,839 —
FLEMed FidelityAsian S.SA 09.0810,977 —
FLEMed FidelityAsian S.SB 09.0810,022 —
FLEMed FidelityAsian S.SHA09.0810,507 —
FLEMed FidelityAsian S.SHB09.08 9,583 —
AINMed Innov Thematic O.L09.08 5,538 —
AINMed Innov Thematic O.LH09.08 5,403 —
FLEMed Invesco B R. CS LA 09.08 5,696 —
FLEMed Invesco B R. CS LB 09.08 4,948 —
FLEMed Invesco B R. CS SA 09.0811,184 —
FLEMed Invesco B R. CS SB 09.08 9,721 —
AINMStanley Glb L 09.08 9,883 —
AINMStanley Glb L cop 09.08 8,156 —
AINMStanley Glb S 09.0818,890 —
AINMStanley Glb S cop 09.0815,561 —
FLENew Opp. C. LAcop 09.08 5,769 —
FLENew Opp. C. SAcop 09.0811,181 —
FLENew Opp. Coll. LA 09.08 6,354 —
FLENew Opp. Coll. SA 09.0812,336 —
APAPacific Coll L 09.08 7,205 —
APAPacific Coll L cop 09.08 6,064 —
APAPacific Coll S 09.0810,239 —
APAPacific Coll S cop 09.0811,322 —
BOBPremium Coup.Coll L 09.08 6,556 —
BOBPremium Coup.Coll L B 09.08 4,903 —
BOBPremium Coup.Coll L cop09.08 6,257 —
BOBPremium Coup.Coll LH B09.08 4,713 —
BOBPremium Coup.Coll S 09.0812,698 —
BOBPremium Coup.Coll S B 09.08 9,685 —
BOBPremium Coup.Coll S cop09.0812,096 —
BOBPremium Coup.Coll SH B09.08 9,245 —
AINSocially Resp Coll LA 09.08 5,084 —
AINSocially Resp Coll LAH 09.08 5,076 —
AINSocially Resp Coll SA 09.0810,044 —
AINSocially Resp Coll SAH 09.08 9,987 —
AAMUS Collection L 09.08 6,987 —
AAMUS Collection L cop 09.08 7,267 —
AAMUS Collection S 09.0810,806 —
AAMUS Collection S cop 09.0813,589 —
FLEUS Coupon Strat Coll LA09.08 5,675 —
FLEUS Coupon Strat Coll LB09.08 5,165 —
FLEUS Coupon Strat Coll LHA09.08 5,287 —
FLEUS Coupon Strat Coll LHB09.08 4,811 —
FLEUS Coupon Strat Coll SA09.0811,239 —
FLEUS Coupon Strat Coll SB09.0810,236 —
FLEUS Coupon Strat Coll SHA09.0810,491 —

FLEUS Coupon Strat Coll SHB09.08 9,526 —
Le quote esposte si riferiscono ai prezzi di chiusura del giorno
lavorativo precedente quello sopra indicato
New Millennium Sicav ____________________
Banca Finnat Euramerica; tel. 06 699 33 1
Cl.A Cl.I
OECAug Corp Bond CHF H 08.08 98,89 —
OEBAug Corp Bond USD H 08.08103,47 —
OEBAug High Qual Bd CHF H08.08 97,04 —
OEBAug High Qual Bd USD H08.08103,36 —
OECAugustum Corporate Bd08.08217,74 231,
OEBAugustum High Qual. Bd08.08150,11 155,
OBIAugustum Italian Div. Bd08.08128,12 134,
---Augustum Mkt Timing 08.08107,72 114,
BOBBalanced World C. 08.08145,96 155,
OEBEuro Bonds Short Term 08.08135,57 139,
AAEEuro Equities 08.08 57,72 62,
OIHEvergreen Global H. Yield08.08 98,21100,
---Extra Euro HQB 08.08109,07 111,
AINGlobal Equities (Eur Hdg)08.08 87,70 95,
OEMInflation Lkd Bd Eur. 08.08106,27 111,
OECLarge Europe Corporate08.08140,75 147,
BOBMulti Asset Opportunity08.08 98,96100,
BBIPIR Bilanciato Sist.Italia08.08 97,84 99,
FLETotal Ret. Flex CHF H 09.04 95,87 —
FLETotal Return Flexible 08.08121,81 —
FLE VolActive 08.08 95,68102,
Sella Capital Management Sicav _____________
OFLBond Strategy I (7) 09.08 12023,40 —
OFLBond Strategy R 09.08 50,08 —
OFLBond Strategy R D 09.08 46,36 —
AAEEq.Eu.Strategy A D 09.08 38,77 —
AAEEq.Eu.Strategy A R 09.08 1304,63 —
AAEEq.Eu.Strategy I (7) 09.08 14347,71 —
Symphonia Lux Sicav _____________________
OECSymphonia As Best Sel 08.08 2,730 —
AAESymphonia Az.Small C.It08.08 3,160 —
BOBSymphonia Comb.D.Acc08.0810,740 —
BOBSymphonia Comb.Di.Dis08.08 1412,650 —
OPESymphonia El Veh Rev. 08.0812,820 —
FLESymphonia Smart Gl Bd08.0810,990 —

IW4Me
FLEIW4Me Active A 07.08 4,162 —
BOBIW4Me Care A 07.08 4,837 —
BBIIW4Me Dynamic A 07.08 5,309 —
BOBIW4Me Smart A 07.08 5,074 —
Pramerica Sicav
OFLAbs Ret Solution-A — —
OFLAbs Ret Solution-D (7) 07.08 5,088 —
OFLAbs Ret Solution-F 07.08 5,028 —
OFLAbs Ret Solution-I (7) 07.08 5,051 —
OFLAbs Ret Solution-PCl 07.08 4,965 —
OFLAbs Ret Solution-R 07.08 4,964 —
OFLAbs Ret Solution-U 07.08 4,964 —
FLEActive Beta I (7) 07.08 5,336 —
FLEActive Beta M (7) — —
FLEActive Beta U (7) 07.08 4,911 —
APAAsia Pacific Eq.-D 07.08 5,911 —
APAAsia Pacific Eq.-F 07.08 5,636 —
APAAsia Pacific Eq.-I (7) 07.08 7,884 —
APAAsia Pacific Eq.-M 07.08 6,245 —
APAAsia Pacific Eq.-R 07.08 6,598 —
APAAsia Pacific Eq.-U 07.08 5,832 —
FLEBeta Neutral I (7) 07.08 4,418 —
OPECedola MercatiEm-R 07.08 4,045 —
OFLCedolaCer 2012-15-R 07.08 5,163 —
OFLCedolaCer 2013-16-R 07.08 5,116 —
OFLCedolaCer 2013-17-R 07.08 5,025 —
OPEEmerging Mkt Bd.-C 07.08 5,124 —
OPEEmerging Mkt Bd.-D 07.08 4,640 —
OPEEmerging Mkt Bd.-F 07.08 5,347 —
OPEEmerging Mkt Bd.-I (7) 07.08 6,028 —
OPEEmerging Mkt Bd.-R 07.08 5,502 —
OPEEmerging Mkt Bd.-U 07.08 5,491 —
AEMEmerging Mkts Eq.-D 07.08 5,433 —
AEMEmerging Mkts Eq.-F 07.08 5,859 —
AEMEmerging Mkts Eq.-I (7) 07.08 6,886 —
AEMEmerging Mkts Eq.-M 07.08 6,308 —
AEMEmerging Mkts Eq.-R 07.08 5,809 —
AEMEmerging Mkts Eq.-U 07.08 6,131 —
OPEEmerging Mkts S.Cap-I (7) — —
OPEEmerging Mkts S.Cap-R — —
OECEuro Corp. Bd. HiPo 1 07.08 5,040 —
OECEuro Corp. Bd. HiPo 2 07.08 5,039 —
OECEuro Corp. Bd. HiPo A 07.08 5,104 —
OECEuro Corp. Bd. HiPo C 07.08 5,275 —
OECEuro Corp. Bd. HiPo I 07.08 5,380 —
OECEuro Corp. Bd. HiPo PCl07.08 5,108 —
OECEuro Corp. Bd. HiPo R 07.08 5,429 —
OECEuro Corp. Bd. HiPo U 07.08 5,426 —
OECEuro Corp. Bond-C 07.08 5,134 —
OICEuro Corp. Bond-D 07.08 5,456 —
OECEuro Corp. Bond-F 07.08 5,150 —
OECEuro Corp. Bond-I (7) 07.08 8,461 —
OECEuro Corp. Bond-R 07.08 7,643 —
OECEuro Corp. Bond-U 07.08 5,274 —
OICEuro Corp. Sh.Term D 07.08 4,883 —
OECEuro Corp. Sh.Term I (7) 07.08 5,887 —
OECEuro Corp. Sh.Term PCl 07.08 4,966 —
OECEuro Corp. Sh.Term R 07.08 5,489 —
AAEEuro Eq. High Div. C 07.08 4,275 —
AAEEuro Eq. High Div. D 07.08 4,838 —
AAEEuro Eq. High Div. F 07.08 5,300 —
AAEEuro Eq. High Div. I (7) 07.08 6,292 —
AAEEuro Eq. High Div. R 07.08 5,148 —
AAEEuro Eq. High Div. U 07.08 5,045 —
AAEEuro Equity-D 07.08 5,794 —
AAEEuro Equity-F 07.08 5,576 —
AAEEuro Equity-I (7) 07.08 6,920 —
AAEEuro Equity-M 07.08 5,664 —
AAEEuro Equity-PCl 07.08 4,739 —
AAEEuro Equity-R 07.08 5,694 —
AAEEuro Equity-U 07.08 5,261 —
OEMEuro Fix. Income-C 07.08 5,070 —
OEMEuro Fix. Income-I (7) 07.0812,242 —
OEMEuro Fix. Income-PCl 07.08 5,093 —
OEMEuro Fixed Inc.-R 07.0811,355 —
OEMEuro Fixed Inc.-U 07.08 5,118 —
OEHEuro High Yield A (7) 07.08 4,921 —
OEHEuro High Yield I (7) 07.08 5,131 —
OEHEuro High Yield R (7) 07.08 5,026 —
OEHEuro High Yield-B 07.08 4,949 —
OEHEuro High Yield-PCl 07.08 5,002 —
MAEEuro Liquid Plus-I (7) 07.08 5,112 —
MAEEuro Liquid Plus-R 07.08 4,896 —
AEUEuropean Equity-C 07.08 4,143 —
AEUEuropean Equity-D 07.08 4,879 —
AEUEuropean Equity-F 07.08 4,846 —
AEUEuropean Equity-I (7) 07.08 4,541 —
AAEEuropean Equity-M 07.08 5,461 —
AEUEuropean Equity-R 07.08 4,856 —
AEUEuropean Equity-U 07.08 5,138 —
BOBFocus Italia-R 07.08 5,944 —
MAEGlb Infrastructure-D (7) 07.08 5,908 —
MAEGlb Infrastructure-F 07.08 5,658 —
MAEGlb Infrastructure-I (7) 07.08 5,879 —
MAEGlb Infrastructure-J (7) — —
MAEGlb Infrastructure-PCl — —
MAEGlb Infrastructure-R 07.08 5,182 —
MAEGlb Infrastructure-U 07.08 5,749 —
OICGlobal Corp Bd-C 07.08 5,246 —
OICGlobal Corp Bd-D 07.08 5,372 —
OICGlobal Corp Bd-F 07.08 5,096 —
OICGlobal Corp Bd-I (7) 07.08 6,781 —
OICGlobal Corp Bd-PCl 07.08 5,263 —
OICGlobal Corp Bd-R 07.08 6,375 —
OICGlobal Corp Bd-U 07.08 5,253 —
BBIGlobal Dyn. All.-1 07.08 5,034 —
BBIGlobal Dyn. All.-B 07.08 5,077 —
BBIGlobal Dyn. All.-C 07.08 4,839 —
BBIGlobal Dyn. All.-D 07.08 5,538 —
BBIGlobal Dyn. All.-F 07.08 5,388 —
BBIGlobal Dyn. All.-I (7) 07.08 7,232 —
BBIGlobal Dyn. All.-PCl 07.08 5,032 —
BBIGlobal Dyn. All.-R 07.08 6,479 —
BBIGlobal Dyn. All.-U 07.08 5,619 —
AINGlobal Equity C 07.08 5,195 —
AINGlobal Equity D 07.08 7,609 —
AINGlobal Equity F 07.08 6,046 —
AINGlobal Equity I (7) 07.0810,528 —
AINGlobal Equity M 07.08 6,728 —
AINGlobal Equity PCl 07.08 5,216 —
AINGlobal Equity R 07.08 8,913 —
AINGlobal Equity U 07.08 6,313 —
OIHGlobal HiYi Euro C 07.08 5,043 —
OIHGlobal HiYi Euro D 07.08 5,280 —
OIHGlobal HiYi Euro F 07.08 5,107 —
OIHGlobal HiYi Euro Hd-PCl07.08 5,078 —
OIHGlobal HiYi Euro I (7) 07.08 5,806 —
OIHGlobal HiYi Euro R 07.08 5,498 —
OIHGlobal HiYi Euro U 07.08 5,375 —
OASGlobal Inflation Lkd C 07.08 5,011 —
OASGlobal Inflation Lkd I (7) 07.08 5,039 —
OASGlobal Inflation Lkd PCl07.08 5,042 —
OASGlobal Inflation Lkd R 07.08 5,037 —
OASGlobal Inflation Lkd U 07.08 5,073 —
BOBGlobal Multiasset 15 1 07.08 4,932 —
BOBGlobal Multiasset 15 2 07.08 4,931 —
BOBGlobal Multiasset 15 A 07.08 5,069 —
BOBGlobal Multiasset 15 C 07.08 4,978 —
BOBGlobal Multiasset 15 D 07.08 4,992 —

BOBGlobal Multiasset 15 F 07.08 5,037 —
BOBGlobal Multiasset 15 I 07.08 5,199 —
BOBGlobal Multiasset 15 PCl07.08 5,031 —
BOBGlobal Multiasset 15 R 07.08 5,114 —
BOBGlobal Multiasset 15 U 07.08 5,190 —
BOBGlobal Multiasset 30 PCl07.08 5,117 —
BOBGlobal Multiasset30 A 07.08 5,142 —
BOBGlobal Multiasset30 C 07.08 4,817 —
BOBGlobal Multiasset30 D 07.08 5,376 —
BOBGlobal Multiasset30 F 07.08 5,274 —
BOBGlobal Multiasset30 I (7) 07.08 5,322 —
BOBGlobal Multiasset30 R 07.08 5,238 —
BOBGlobal Multiasset30 U 07.08 5,352 —
BOBGlobal Stars 1 07.08 5,221 —
BOBGlobal Stars 2 07.08 5,210 —
BOBGlobal Stars A 07.08 5,178 —
BOBGlobal Stars B 07.08 5,177 —
BOBGlobal Stars C 07.08 5,175 —
BOBGlobal Stars I (7) — —
BOBGlobal Stars PCl 07.08 5,167 —
BOBGlobal Stars R 07.08 5,398 —
BOBGlobal Stars U 07.08 5,272 —
OASGlobo (Global Bond) A 07.08 5,186 —
OASGlobo (Global Bond) D — —
OASGlobo (Global Bond) F — —
OASGlobo (Global Bond) I 26.10 5,000 —
OASGlobo (Global Bond) R 07.08 5,466 —
OASGlobo (Global Bond) U 07.08 5,488 —
OIHHigh Yield Bond-A 07.08 5,160 —
OIHHigh Yield Bond-C 07.08 5,391 —
OIHHigh Yield Bond-D 07.08 5,778 —
OIHHigh Yield Bond-F 07.08 5,583 —
OIHHigh Yield Bond-I (7) 07.08 12,050 —
OIHHigh Yield Bond-PCl 07.08 5,118 —
OIHHigh Yield Bond-R 07.08 10,894 —
OIHHigh Yield Bond-U 07.08 5,765 —
FLEIncome Opport. A 07.08 4,376 —
FLEIncome Opport. C 07.08 4,297 —
FLEIncome Opport. D 07.08 4,766 —
FLEIncome Opport. F 07.08 4,738 —
FLEIncome Opport. I — —
FLEIncome Opport. R 07.08 4,547 —
FLEIncome Opport. U 07.08 4,840 —
OIHInflation L.Euro Hdg-I (7) 07.08 5,132 —
OIHInflation L.Euro Hgd-PCl07.08 5,064 —
OIHInflation L.Euro Hgd-R 07.08 5,097 —
OIHInflation L.Euro Hgd-U 07.08 5,084 —
AITItalian Equity D 07.08 5,242 —
AITItalian Equity F 07.08 6,072 —
AITItalian Equity I (7) 07.08 5,626 —
AITItalian Equity M 07.08 6,450 —
AITItalian Equity PCl 07.08 4,674 —
AITItalian Equity R 07.08 5,100 —
AITItalian Equity U 07.08 5,961 —
AITItalian MidCap Equity — —
AITItalian MidCap Equity I (7) 07.08 4,784 —
FLELong/Short Euro D 07.08 4,246 —
FLELong/Short Euro F 07.08 4,262 —
FLELong/Short Euro I (7) 07.08 4,830 —
FLELong/Short Euro R 07.08 4,251 —
FLELong/Short Euro U 07.08 4,283 —
BBIMultiasset Eur. 50-A 07.08 4,831 —
BOBObiettivo Controllo 1 07.08 4,929 —
BOBObiettivo Controllo 2 07.08 4,993 —
BOBObiettivo Controllo A 07.08 4,860 —
BOBObiettivo Controllo I 26.10 5,000 —
BOBObiettivo Controllo PCl 07.08 5,100 —
BOBObiettivo Controllo R 07.08 5,027 —
BBIObiettivo Equilibrio A (7) 07.08 4,923 —
BBIObiettivo Equilibrio B 07.08 5,058 —
BBIObiettivo Equilibrio I 26.10 5,000 —
BBIObiettivo Equilibrio PCl 07.08 5,066 —
BBIObiettivo Equilibrio R (7) 07.08 5,161 —
OMIObiettivo Stabilità 1 07.08 4,981 —
OMIObiettivo Stabilità 2 07.08 4,968 —
OMIObiettivo Stabilità A 07.08 4,847 —
OMIObiettivo Stabilità I 26.10 5,000 —
OMIObiettivo Stabilità PCl 07.08 5,083 —
OMIObiettivo Stabilità R 07.08 5,059 —
BAZObiettivo Sviluppo I 07.08 4,918 —
BAZObiettivo Sviluppo PCl 07.08 4,932 —
BAZObiettivo Sviluppo R — —
FLEProt. e Cresc. 2017-R 07.08 6,850 —
FLEProt. Merc. Em.-R 07.08 4,299 —
OEBShort Term EUR I (7) 07.08 3,752 —
OEBShort Term EUR R 07.08 3,616 —
ASESmart Factor Euro-I (7) 07.08 5,147 —
ASESmart Factor Euro-J (7) — —
BOBSocial 4 Future 1 07.08 5,159 —
BOBSocial 4 Future A 07.08 5,151 —
BOBSocial 4 Future C 07.08 5,313 —
BOBSocial 4 Future I (7) 07.08 5,323 —
BOBSocial 4 Future PCl 07.08 5,153 —
BOBSocial 4 Future R 07.08 5,437 —
BOBSocial 4 Future U 07.08 5,203 —
BOBSocial 4 Planet PCl 07.08 5,264 —
BOBSocial 4 Planet R 07.08 5,299 —
BOBSocial 4 Planet U 07.08 5,300 —
OFLStrategic Bond A 07.08 4,785 —
OFLStrategic Bond I (7) 07.08 4,911 —
OFLStrategic Bond PCl 07.08 4,838 —
OFLStrategic Bond R 07.08 4,836 —
OFLStrategic Bond U 07.08 4,837 —
AAMUs Core Equity-I 07.08 6,599 —
AAMUs Core Equity-R 07.08 5,364 —
AAMUS Core Equity-U 07.08 5,625 —
AAMUSA Equity-D 07.08 7,427 —
AAMUSA Equity-F 07.08 5,448 —
AAMUSA Equity-I (7) 07.08 11,015 —
AAMUSA Equity-M 07.08 6,444 —
AAMUSA Equity-R 07.08 9,798 —
AAMUSA Equity-U 07.08 5,930 —

(Gruppo Vontobel Zurigo) Vontobel Fonds Services AG Tel
0041 582835350; Casse Raiffeisen A.Adige Tel 0471
946621
B C
OASAbs Ret. Bd (¤) 08.08162,59 172,
OASAbs. Ret.Bd Dyn (¤) 08.08106,89 157,
APAAsia Pacific Eq ($) 09.08528,79 215,
OFLBond G.Aggregate (¤) 08.08114,67 103,
AENClean Technology (¤) 08.08322,27 108,
AASComm. ($) 08.08 50,34 81,
AASDynamic Com. ($) 08.08 57,60 —
OPEEastern European B.(¤)08.08139,94 180,
OPEEm Mkts Corp Bd ($) 08.08111,21 —
OPEEmerging Mkts Debt ($) 08.08136,50116,
AEMEmerging Mkts Eq ($) 08.08787,43206,
OECEUR C.Bd Mid Yield (¤)08.08183,99225,
OEMEuro Bond (¤) 08.08433,12108,
MAEEuro Sh.T Bd (¤) 08.08133,71158,
AEUEurop.Equity (¤) 08.08307,61212,
AEUEurop.Mid&Sm.C.Eq (¤)08.08228,58199,
AENFuture Resources (¤) 08.08174,63163,
OASGlb Convert Bd (¤) 08.08130,11173,
AINGlb Equity ($) 08.08306,16288,
AASGlb Equity Inc.($) 08.08265,65 —
OIHHigh Yield Bd (¤) 08.08133,22103,
APSJapanese Eq (Yen) 09.08 6793,00 —
APSmtx China Leaders ($) 09.08220,56223,
APAmtx Sust AsianLeadExJap09.08333,42 —
AEMmtx Sust E.M. Leaders ($)08.08 142,73103,
AINmtx Sust Glb Leaders ($)08.08 142,27 —
BOBMulti Asset Income (¤)08.08 88,71 87,
FLEMulti Asset Solution (¤)08.08 105,53104,
AASN-Food Com.($) 08.08 75,83 —
OPESust EM Loc Cu Bd ($) 08.08 95,13137,
OPESust EM Loc Cu Bd (¤)08.08 105,93 —
OPESust EM Loc Cu Bd (Chf)08.08 96,19 —
OASSwiss Franc Bd (Chf) 08.08 247,84195,
AASSwiss Mid&SmCap Eq.(Chf)08.08221,44 102,
MAVSwiss Money (Chf) 08.08113,43 —
MADUS Dollar Money ($) 08.08136,72 —
AAMUS Equity ($) 08.08 1451,22356,
OASValue Bd (Chf) 08.08106,86 —
---Vescore Artificial Int.M.A.08.08 — 118,
A AS
OASAbs. Ret. Bd (¤) 08.08 95,42 —
OASAbs. Ret. Bd Dyn A (¤) 08.08 97,98 —
OFLBond G.Aggregate (¤) 08.08104,82 102,
OPEEastern European Bd (¤)08.08 38,92 —
OPEEm Mkts Debt ($) 08.08 — 106,
OECEUR C.Bd Mid Yield (¤)08.08111,70 —
OEMEuro Bond (¤) 08.08156,93 —
MAEEuro Sh.T Bd (¤) 08.08 84,65 —
OASGlb Convert Bd ($) 08.08 — 90,
OIHHigh Yield Bd (¤) 08.08 — 88,
AINmtx Sust Glb Leaders ($)08.08138,73 —
BOBMulti Asset Income (¤) 08.08 84,48 —
OPESust EM Loc Cu Bd ($) 08.08 63,40 —
OASSwiss Franc Bd (Chf) 08.08127,61 —
MAVSwiss Money (Chf) 08.08 87,45 —
MADUS Dollar Money ($) 08.08 87,96 —
OASValue Bd (Chf) 08.08 79,32 —
G
APAAsia Pacific Equity G ($) (7) 09.08103,13 —
H hdgHC hdg
APAAsia Pacific Eq (¤) 09.08186,57 —
OFLBond Glb Aggregate ($) 08.08357,73 —
AASComm. (¤) 08.08 30,98 —
AASDynamic Com. (¤) 08.08 51,37 —
OPEEmerging Mkts Debt (¤)08.08124,22 108,

AEMEmerging Mkts Eq.(¤) 08.08197,81 177,
OECEUR C. Bd Mid Yield (Chf)08.08122,90 —
AINGlb Equity (¤) 08.08156,85 258,
AASGlb Equity Inc. (¤) 08.08134,67 —
AEMmtx Sust E.M.Leaders H(¤)08.08 98,49 —
AEMmtx Sust E.M.Leaders HC(¤)08.08 — 97,
AINmtx Sust Glb Leaders (¤)08.08128,86 —
APAmtx SustAsianLeadExJ.(¤)09.08296,51 —
BOBMulti Asset Income ($) 08.08 94,83 —
BOBMulti Asset Income (Chf)08.08 86,09 —
AASN-Food Com. (¤) 08.08 68,25 —
OPESust EM Loc Cu Bd (¤) 08.08 84,45 —
OFLTwentyF.Str.Inc. ($) 08.08106,75 —
OFLTwentyF.Str.Inc. (¤) 08.08 —100,
AINUS Equity (¤) 08.08244,46 —
HG
AINUS Equity HG Hdg (¤) (7) 08.08109,93 —
AH hdg R
OFLBond Glb Aggregate ($)08.08117,55 —
OPEEmerging Mkts Debt (¤)08.08100,98 —
AMH I
OFLTwentyF.Str.Inc. (¤) 08.08 98,68 —
AQH
OFLTwentyF.Str.Inc. ($) 08.08 98,83 —
OFLTwentyF.Str.Inc. (¤) 08.08 95,88 —

ALTRI ARMONIZZATI UE
8a+ Sicav _____________________________
8a+ Sicav Eiger I (7) 08.08111,160 —
8a+ Sicav Eiger R 08.08137,340 —
8a+ Sicav Monviso I 08.0899,390 —
8a+ Sicav Monviso R 08.0896,230 —

http://www.algebris.com
Allocation I (7) 08.0897,630 —
Core Italy R 08.0894,090 —
Financial Credit I (7) 08.08159,500 —
Financial Credit R 08.08139,960 —
Financial Credit RD 08.08100,380 —
Financial Equity I (7) 08.0898,000 —
Financial Equity R 08.0888,980 —
Financial Income I (7) 08.08134,200 —
Financial Income R 08.08125,830 —
Financial Income RD 08.0887,670 —
Macro Credit I (7) 08.08107,440 —
Macro Credit R 08.08106,030 —
Macro Credit RD 08.0897,000 —

20, boulevard Emmanuel Servais, L-2535 Luxembourg
http://www.basesicav.it
Bonds - Multicurrency EUR 07.08 87,38 —
Bonds - Multicurrency USD 07.08 88,49 —
Bonds CHF 07.08113,27 —
Bonds USD 07.08138,78 —
Bonds Value EUR 07.08152,59 —
Bonds Value USD 07.08125,63 —
Emerg.and Front.M.Eq A 07.08103,81 —
Emerg.and Front.M.Eq B 07.08108,64 —
Flexible Low Risk Exp. 07.08119,15 —
Macro Dynamic EUR 07.08 85,51 —
Multi Asset Capital Appr. EUR07.08 99,08 —
Short Term EUR 07.08113,43 —
Short Term USD 07.08119,20 —
CB-Accent Lux Sicav _____________________
Cornèr Banca SA Lugano 004191.
Cl.A Cl.B
Asian Century 08.08103,39 102,
Bluestar Absolute 08.08 99,23 —
Bluestar Alpha Strategies 06.08 92,76 —
Bluestar Dynamic 08.08102,67 —
Bond Euro 08.08167,82 166,
Darwin Selection 08.08113,04 114,
Erasmus Fund 08.08115,49 114,
European Equity 08.08 92,28 91,
Explorer Equity 08.08 98,34 94,
Explorer Fund of Funds 08.08103,13 95,
Far East Equity EUR hdg 08.08133,45 141,
Far East Equity($) 08.08223,75 221,
Global Economy 08.08103,30 102,
New World 08.08 65,74 65,
Strategic Diversified EUR 08.08 92,08 124,
Swan Flexible 08.08107,85 106,
Swan Short-Term HY EUR 08.08127,14 126,
Swan Ultra ST Bond CHF Hdg08.08108,28 107,
Swan Ultra ST Bond EUR 08.08117,63 116,
Swan Ultra ST Bond USD Hdg08.08119,08 112,
Swiss Equity(Chf) 08.08165,58 164,
Fagus Multimanager Sicav _________________
Distribuita dal Gruppo Banca di San Marino S.P.A. -
http://www.bsm.sm
Balanced Flexible (6) 06.08 65,69 —
Equity Dynamic (6) 06.08 47,00 —
International Bond (6) 06.08 79,11 —
Fideuram Asset Management (Ireland) ________
Fideuram Fund
Bond Eur HY (6) 09.08 19,50 —
Bond Glb Em Mkts (6) 09.08 14,19 —
Bond USD (6) 09.08 18,77 —
Bond YEN (6) 09.08 10,86 —
Commodities 09.08 5,40 —
Eq Glb Em Mkts Eur (6) 09.08 9,12 —
Eq Pac. ex Jap. A (6) 09.08 13,52 —
Eq Pac. ex Jap. H (6) 09.08 10,26 —
Eq USA Advant (6) 09.08 21,64 —
Eq USA Value (6) 09.08 12,40 —
Equity Europe (6) 09.08 9,89 —
Equity Italy (6) 09.08 14,47 —
Equity Japan A (6) 09.08 7,75 —
Equity Japan H (6) 09.08 6,26 —
Equity Market Neutral Star 09.08 10,73 —
Equity USA A (6) 09.08 14,03 —
Equity USA H (6) 09.08 14,62 —
Euro Bd Long Risk (6) 09.08 29,27 —
Euro Bd Low Risk (6) 09.08 15,61 —
Euro Bd Med Risk (6) 09.08 20,71 —
Euro Corp. Bd (6) 09.08 8,65 —
Euro Defensive Bd (6) 09.08 11,47 —
Euro Short Term (6) 09.08 12,38 —
Europe Eq. Grth (6) 09.08 19,48 —
Europe Eq. Val. (6) 09.08 6,73 —
FF Global Bond (6) 09.08 10,62 —
FF Global Equity (6) 09.08 10,43 —
Inflation Linked (6) 09.08 17,07 —
Finlabo Investments Sicav _________________
Finlabo Investments Sicav, 41 bd Royal, L-2449; Tel. 00352
27 000 70100; Fax 00352 26 200 868;
http://www.finlabosicav.com
Dynamic Allocation R 08.08 97,81 —
Dynamic Emerging Mkts R 08.08 95,45 —
Dynamic Equity R 08.08160,71 —
Dynamic US Equity R 08.08 94,09 —
Generali Investments Luxembourg S.A. ________
GP & G Fund Dinamico 08.08 81,77 —
GP & G Fund Multistrategy 08.08 98,61 —
GP & G Fund Valore 08.08110,22 —
VoBa Responible Bond Plus 08.08112,70 —
VoBa Responsible Flex 08.08129,56 —

GFG GROUPE FINANCIER DE GESTION
Website: http://www.egfund.it; http://www.gfggroupe.com;
Email: [email protected]
GFG Funds SICAV
Euro Global Bd I EUR (7) 08.08125,02 —
Euro Global Bd P EUR 08.08147,59 —
Euro Global Bd PP EUR 08.08110,60 —
Income Opportunity I EUR (7) 08.08 95,88 —
Income Opportunity P EUR 08.08 94,83 —
Hauck & Aufhäuser Asset Management Services Sàrl
1c, rue Gabriel Lippmann L-5365 Munsbach Grand Duchy of
Luxembourg; tel. (00352) 221522-1; fax (00352) 221522-
500
Transfer Agent: Hauck & Aufhäuser Fund Platforms S.A. 1c,
rue Gabriel Lippmann L-5365 Munsbach Tel.+352 221522-
1; Fax +352 221522-
Worldwide Investors Portfolio
Em. Mkts Fix. Inc. A Usd Dis 08.08 21,14 —
Em. Mkts Fix. Inc. AX Usd 08.08 23,20 —
Opp. Equity A 08.08 81,86 —
Opp. Equity A Usd 08.08 93,92 —
Hypo Portfolio Selection Sicav ______________
PKB Privatbank SA; via S. Balestra 1,CH - 6901 Lugano; tel.
+41 919134840; fax +41 919133449
SUMUS - Strategic Fund Large B (Chf)08.081151,200 —

Rappresentato da: GAM (Italia) SGR S.p.A.;
[email protected], http://www.jbfundnet.com; tel. T +39 02
36604900
JB Multilabel
Artemide B 08.08120,62 —

Az. Internazionale 165,44 165,77-0,2011,
Mercato Monetario Europeo111,63 111,62 0,01-0,
Ob. Euro Gov. B/T 115,37 115,32 0,05 0,
Ob. Euro Gov. M/L 143,85 143,40 0,31 5,
Ob. Internazionale Gov.135,78 135,70 0,06 6,

FONDI COMUNI E SICAV ESTERE


F.C.I. INDEX


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Cat.Fondi Data Risc.Emiss.


F.C.I. Index © Var%Var%
07.08 06.08 (3) (2)

Artemide C 08.08126,09 —
Lyra B 08.08112,02 —
Lyra C 08.08115,11 —
Luxicav Sicav __________________________
Global Bond B 05.08376,83 —
Global Income B 05.08133,73 —
Pan Euro Opportunities B 09.08 68,39 —
Mediobanca Management Company SA ________
Cairn M.banca Str Ucits I1 (7) 08.08100,860 —
Cairn M.banca Str Ucits I4 (7) 08.08100,840 —
Cairn M.banca Str Ucits RC108.08100,880 —
Palladium FCP Cr. Protetta C08.0899,540 —
Palladium FCP Cr. Protetta I (7) 08.08102,460 —

http://www.nef.lu
EE.ME.A. Equity 08.08 25,58 —
Emerging Mkt Bond C 08.08 27,82 —
Emerging Mkt Bond D 08.08 26,74 —
Emerging Mkt Bond R 08.08 27,70 —
Emerging Mkt Equity C 08.08 52,62 —
Emerging Mkt Equity R 08.08 51,80 —
Ethical Balanced Cons.C 08.08 10,52 —
Ethical Balanced Cons.D 08.08 10,25 —
Ethical Balanced Cons.R 08.08 10,37 —
Ethical Balanced Dynamic C 08.08 10,84 —
Ethical Balanced Dynamic D 08.08 10,44 —
Ethical Balanced Dynamic R 08.08 10,65 —
Ethical Total Return Bond C 08.08 9,69 —
Ethical Total Return Bond D 08.08 8,45 —
Ethical Total Return Bond R 08.08 9,62 —
Euro Bond D 08.08 19,39 —
Euro Bond R 08.08 19,52 —
Euro Corporate Bond C 08.08 16,90 —
Euro Corporate Bond D 08.08 16,45 —
Euro Corporate Bond R 08.08 16,75 —
Euro Equity C 08.08 16,18 —
Euro Equity R 08.08 15,96 —
Euro Short Term Bond C 08.08 13,76 —
Euro Short Term Bond D 08.08 13,64 —
Euro Short Term Bond R 08.08 13,68 —
Global Bond C 08.08 17,21 —
Global Bond D 08.08 16,74 —
Global Bond R 08.08 17,13 —
Global Equity C 08.08 10,44 —
Global Equity R 08.08 10,41 —
Global Property C 08.08 8,65 —
Global Property R 08.08 8,63 —
Pacific Equity C 08.08 10,15 —
Pacific Equity R 08.08 10,11 —
Risparmio Italia PIR 08.08 13,04 —
Risparmio Italia R 08.08 13,06 —
Target 2025 D 08.08 10,42 —
US Equity C 08.08 11,81 —
US Equity R 08.08 11,78 —
OnCapital Sicav _________________________
Dynamic Multistrategy A 08.08105,37 —
Fixed Income A 08.08126,66 —
Global Equity B 08.08105,69 —
Long Short Diversified A 08.08 92,74 —

Cassa Lombarda, via Manzoni 14 Milano
Anthilia Blue A 09.08 92,70 —
Anthilia Red A 09.08129,25 —
Anthilia Silver A 09.08 97,70 —
Anthilia White A 09.08121,26 —
Anthilia Yellow A 09.08144,80 —
Enhanced Euro Credit A 09.08102,21 —
Flex 70 R 09.08100,26 —
Flex 90 A 09.08166,75 —
Popso (Suisse) Investment Fund Sicav ________
http://www.popsofunds.com; 0342 528.
Distribuito da Banca Popolare di Sondrio
Asian Equity (¤) 08.0811,610 —
Euro Bond (¤) 08.08235,630 —
European Equity (¤) 08.08133,300 —
Fixed Inc. Opp. (¤) 08.08 9,960 —
Flex (¤) 08.0810,830 —
Global Balanced (¤) 08.0816,560 —
Global Conservative (¤) 08.08 9,940 —
Global Convertible Bd (¤) 08.0814,770 —
Global Corporate Bd (¤) 08.0812,090 —
Short Maturity Euro Bond (¤)08.0812,090 —
Short Term US Dollar Bond ($)08.08233,670 —
Swiss Conservative (Chf) 08.08 9,950 —
Swiss Equity (Chf) 08.08201,790 —
Swiss Franc Bond (Chf) 08.08179,240 —
Total Return Bond (¤) 08.0810,340 —
US Value Equity ($) 08.08322,000 —
Praude Asset Management Ltd ______________
Hermes Linder F. A 07.085116,314 —
Hermes Linder F. B 07.081830,609 —

Bond Two Steps I (7) 08.08 4,443 —
Bond Two Steps R 08.08 4,823 —
Global Bond SD R 08.08 4,651 —
Secular Euro I (7) 08.08 6,513 —
Secular Euro R 08.08 6,070 —
Yellow Funds Sicav ______________________
Attacco Cl. C 08.0890,160 —
Cedola Cl. C 08.0896,870 —
Centrocampo Cl. C 08.0894,710 —
Difesa Cl. C 08.0894,390 —
Dividendo Cl. C 08.0884,110 —

http://www.zest-management.com
Absolute Return Low VaR R 08.08128,80 —
Derivatives Allocation R1 08.081065,37 —
Dynamic Opp. Fd R1 31.01115,45 —
Dynamic Opp. R1 08.08107,16 —
Emerging Mkts +R 08.08107,92 —
Global Bonds I (7) 08.08102,74 —
Global Bonds R 08.08102,39 —
Global Eq.I Institutional (7) 08.0845241,90 —
Global Equity R Retail 08.08891,49 —
Global Opportunities I (7) 08.08 99,87 —
Global Opportunities P 08.08 85,02 —
Global Opportunities R 08.08 75,99 —
Global Performance R2 08.08 99,98 —
Global Value R1 08.08110,13 —
Global Value R2 08.08 98,59 —
Mediter.Absolute Value I (7) 08.08922,47 —
Mediter.Absolute Value R 08.08883,81 —
North Am. Pairs Relative I (7) 08.081017,62 —
North Am. Pairs Relative R 08.08872,45 —
Pilot I 08.08995,46 —
Pilot R 08.08993,37 —
Quantamental Equity A (7) 08.08 97,91 —
Quantamental Equity B (7) 08.08 91,69 —
Quantamental Equity R 08.08 93,10 —
Syma Fund R Chf 08.08997,56 —
Syma Fund R Eur 08.08998,18 —
Syma Fund R Usd 08.081002,33 —

NON ARMONIZZATI UE


http://www.algebris.com
Algebris Fin. CoCo ID (7) 30.06102,900 —
Luxicav Plus Sicav _______________________
Absolute Return A Cap 05.08171,61 —
Short Term A Cap($) 05.08123,11 —
Mediolanum International Funds Ltd __________
Mediolanum Fund of Hedge Funds
Alternative Str.Collection S A (6,7) 28.06 9,880 —
P & G Sgr SpA __________________________
P&G Struct.Cr.Opport. (7) 30.04231,611 —
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