Ribilanciamento Linee Easily – prodotti Multiramo CLIP
29 Settembre 2026
PRODOTTI Multiramo CLIP – Ribilanciamento Linee Easily
Milano, 29 Settembre 2026
La compagnia MEDVIDA Partners vi comunica che con data effetto 13 Ottobre 2026 verrà effettuato il ribilanciamento delle Linee Easily.
Di seguito riportiamo la nuova allocazione delle Linee Easily:
| LINEA | |||||||
| ISIN | NOME FONDO | CATEGORIA | INCOME | CAUTIOUS | BALANCED | GROWTH | DYNAMIC GROWTH |
| LU0080237943 | DWS EURO ULTRA SHORT FIXED INCOME FUND | Fixed Income Aggregate Global / Short | 5,00% | 4,00% | 3,00% | 2,00% | 2,00% |
| LU0772943501 | NORDEA 1-EUROPEAN FIN DEB-BI | Fixed Income Aggregate EUR | 10,70% | 8,18% | 5,51% | 4,25% | 2,05% |
| FR0010149120 | CARMIGNAC SECURITE-A EU ACC | Fixed Income Aggregate Short Term EUR | 9,17% | 7,01% | 4,72% | 3,64% | 1,75% |
| FR0010590950 | LAZARD CREDIT FI SRI – PVC | Fixed Income Corporate European | 10,70% | 8,18% | 5,51% | 4,25% | 2,05% |
| LU0549537040 | BLUEBAY INVEST GR EUR GV-REU | Fixed Income Government Eurozone | 16,31% | 12,47% | 8,38% | 6,47% | 3,11% |
| IE00BZ005F46 | Aegon European ABS Fund | Asset Back | 9,99% | 7,64% | 5,14% | 3,96% | 1,91% |
| LU0569863755 | UBAM – GLOBAL HIGH YIELD SOLUTION | Fixed Income Corporate Global HY | 6,37% | 4,87% | 3,28% | 2,53% | 1,22% |
| LU0966596875 | DPAM L- BONDS EMERGIN MARKETS SUSTAINABLE | Fixed Income Government Global | 2,87% | 2,19% | 1,48% | 1,14% | 0,55% |
| IE00B3DJ4243 | Wellington opportunistic emerging mkts debt | Fixed Income Aggregate International | 1,91% | 1,46% | 0,98% | 0,76% | 0,37% |
| LU1670707527 | M&G LX EUR STRTG VAL-EUR AA | Equity European Value | 2,99% | 4,80% | 7,32% | 10,86% | 13,46% |
| IE0004766675 | Comgest Growth Europe EUR Acc | Equity Blend Europe Large-Cap | 2,99% | 4,80% | 7,32% | 10,86% | 13,46% |
| LU0859255472 | T. ROWE PRICE-GLB VL EQ-IUSD | Equity Global Value | 0,50% | 0,50% | 0,50% | 1,00% | 3,00% |
| LU0429319774 | T ROWE PRICE FUNDS SICAV – US EQUITY | Equity Blend Large-cap U.S. | 2,60% | 4,05% | 6,07% | 9,11% | 12,00% |
| LU0429746844 | GOLDMAN SACHS US EQUITY INCOME “P” (EUR HDG) ACC | Equity Blend Large-cap U.S. | 2,60% | 4,05% | 6,07% | 9,11% | 12,00% |
| BE0948502365 | DPAM B-EQT NEWGEMS SSTBLE | Equity Blend Global U.S. | 3,47% | 5,40% | 8,10% | 12,15% | 16,00% |
| LU0106259988 | Schroder ISF Asian Opportun C | Equity Asian Pacific Region ex Japan | 1,14% | 1,77% | 2,66% | 3,99% | 5,26% |
| LU0329070915 | JUPITER INDIA SELECT “L” (EUR) ACC | Equity India | 0,38% | 0,59% | 0,89% | 1,33% | 1,75% |
| LU0611489658 | Fidelity Japan Value “A” (Eur Hdg) INC | Equity Value Japan | 1,31% | 2,04% | 3,07% | 4,60% | 6,06% |
| LU0264598268 | Janus Henderson Horizon Pan European Alpha Fund | Alternative Equity Hedge European Region | 4,50% | 8,00% | 10,00% | 4,00% | 1,00% |
| FR0011253624 | Rothschild & Cie Gestion R Valor | Mixed Allocation Balanced Allocation International | 4,50% | 8,00% | 10,00% | 4,00% | 1,00% |
| 100% | 100% | 100% | 100% | 100% | |||