Multi Asset - onemarkets by UniCredit
Multi asset funds
Multi-asset funds combine different asset classes – such as equities, bonds, real estate, and alternative investments – in a single fund. The aim is to achieve stable returns and minimise risks through broad diversification.
onemarkets Amundi Flexible Income Fund
The onemarkets Amundi Flexible Income Fund offers investors a broadly diversified investment opportunity across various asset classes and aims to generate a target income, defined annually based on the market environment. The Multi-Asset portfolio is broadly diversified across equities, bonds, and real assets. The strategy may invest up to 50% in equities and up to 60% in high-yield bonds.
Available share classes:
| onemarkets Amundi Flexible Income Fund C (private investors, accumulating; minimum initial investment: 100 EUR) |
LU2503839321 | VIEW PRODUCT >> |
onemarkets Generali Conservative Multi-Asset Fund
The onemarkets Generali Conservative Multi-Asset Fund is a balanced strategy fund with a conservative investment approach. The fund focuses on a combination of high-quality euro denominated bonds and high-potential global equities, selected based on their SRI (Social Responsible Investments) Generali rating. The fund has an equity exposure of up to 30% and an actively managed duration fixed income component.
Available share classes:
| onemarkets Generali Conservative Multi-Asset Fund C (private investors, accumulating; minimum initial investment: 100 EUR) |
LU2595019386 | VIEW PRODUCT >> |
onemarkets Income Opportunities Fund
onemarkets Income Opportunities Fund is a multi-asset fund that uses a broad range of financial instruments to obtain a diversified portfolio and efficiently manage the total risk of the portfolio. The portfolio can have an equity exposure between 0 and 60%, sticking to 50% on average.
The Manager aims to build the portfolio with the support of specialists in the different asset classes including: US dividend-paying equities, International dividend-paying equities, Preferred shares, Bonds with a low credit quality (so-called High Yield rating), Bonds with a high credit quality (so-called Investment Grade rating), Unrated bonds, Government bonds, Mortgages, Equity-linked securities and Insurance-linked securities, closed-end real estate investment trusts.
Available share classes:
| onemarkets Income Opportunities Fund C2-USD (private investors, accumulating; minimum initial investment: 100 EUR) |
LU2707096058 | VIEW PRODUCT >> |
onemarkets Balanced Eastern Europe Fund
The onemarkets Balanced Eastern Europe Fund is a multi-asset fund designed to generate income and capital growth over the long term by investing in debt securities and blue-chip companies from Eastern European countries. The fund focuses on the highest-quality companies in the region that are market leaders in their respective sectors.
Available share classes:
| onemarkets Balanced Eastern Europe Fund C (private investors, accumulating; minimum initial investment: 100 EUR) |
LU2595015632 | VIEW PRODUCT >> |
onemarkets Capital Group US Balanced Fund
The onemarkets Capital Group US Balanced Fund is a balanced fund with a US investment focus. Mixing US equities and US bonds is the oldest and most widely used investment strategy in the world. The fund has three balanced objectives: Capital preservation, current income and long-term capital growth. To this end, the fund invests in equities and investment-grade bonds using a balanced approach.
Available share classes:
| onemarkets Capital Group US Balanced Fund C-USD (private investors, accumulating; minimum initial investment: 100 USD) |
LU2673945809 | VIEW PRODUCT >> |
onemarkets Global Multibrand Selection Fund
The fund is actively managed with a medium-long term time horizon and is characterised by a limited rotation of funds and ETFs.
The fund does not have a benchmark. This allows for a flexible portfolio structure, including investments in multi-asset funds.
The fund's portfolio consists of a mix of passive and active strategies from various asset managers. This also ensures diversification in terms of investment approach.
Available share classes:
| onemarkets Global Multibrand Selection Fund C (private investors, accumulating; minimum initial investment: 100 EUR) |
LU2595009072 | VIEW PRODUCT >> |
onemarkets Pictet Global Opportunities Allocation Fund
The onemarkets Pictet Global Opportunities Allocation Fund invests in a diversified approach across equities and bonds. The strategy invests primarily in high-quality global equities and bonds.
The equity strategy – which averages around 60% – is based, as the primary source of return, on the identification of long-term investment themes combined with other complementary and diversified sources of return, while the bond component leverages an approach already consolidated over time.
Available share classes:
| onemarkets Pictet Global Opportunities Allocation Fund C (private investors, accumulating; minimum initial investment: 100 EUR) |
LU2595023222 | VIEW PRODUCT >> |
onemarkets PIMCO Global Balanced Allocation Fund
The PIMCO onemarkets Global Balanced Allocation Fund seeks to achieve a positive risk-adjusted return by investing in liquid assets selected globally. The strategy involves an equity allocation of between 15% and 55%.
The manager strategically constructs the portfolio according to his or her guidelines:
Core asset allocation strategy: This is the core portfolio component. The global multi-asset approach allows for the possibility of investing across the entire global spectrum of liquid instruments, such as stocks and bonds.
Secondary asset allocation strategy: The objective is to exploit the opportunities offered by individual geographies, sectors, or companies through dynamic reallocations of positions.
Available share classes:
| onemarkets PIMCO Global Balanced Allocation Fund C (private investors, accumulating; minimum initial investment: 100 EUR) |
LU2503835766 | VIEW PRODUCT >> |
onemarkets UC Global Multibrand 90 Fund
onemarkets UC Global Multibrand 90 Fund is part of a family of 3 funds managed in line with UniCredit Group Investment Strategy's view with a different level of equity exposure. The strategies of onemarkets Global Multibrand allow to benefit from the entire investment expertise of UniCredit. The equity component of the portfolio averages 90% and can fluctuate between 70% and 100%.
Available share classes:
| onemarkets UC Global Multibrand 90 Fund C (private investors, accumulating; minimum initial investment: 100 EUR) |
LU3046604651 | VIEW PRODUCT >> |













