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onemarkets Fund




onemarkets Fund

Turn your financial goals into reality

Discover the new these funds that combines the expertise of UniCredit with the knowledge of some of the most experienced fund partners on the market.
onemarkets Fund client-focused, strictly monitored, unique.

 

onemarkets Fund is part of the existing investment universe for UniCredit clients with an additional and exclusive set of actively managed investment funds, catering to a range of risk and opportunity appetites and covering bond, equity and multi-asset classes.

Information about all funds and their prospectuses are available at www.onemarkets.ro.

Why onemarkets Fund?

Three reasons why onemarkets Fund is a compelling offer:

 

CLIENT CENTRICITY

Client-focused approach coupled with solid investment competence.

 

COMPETENCE

Benefit from the long-standing competence of UniCredit’s Investment Strategy and Product Management teams.

 

UNIQUENESS

Deliver exclusive investment solutions, managed in house or through partnering with experienced asset managers.

 

 
onemarkets fund logos
 

Features

 

 

  Minimum investment: 200 euros/200 usd

  Subscription commission: 0%

For more information, talk to a UniCredit Bank representative.

Fees related to investing in mutual funds

  Currency: euro, usd

 

  Investment plan: Yes. The minimum amount is 20 euros/usd

  Investment horizon: medium-long term

 

Investing in onemarkets Fund 

 

More information about onemarkets Fund and investment opportunities you can learn more:

 

 

  ONLINE

Leave us your data and a UniCredit Bank representative will contact you.

 

  In UniCredit Bank branches

 

 

 

 

 

Information about the Prospectuses, Key Investor Information and other documents and materials about the funds are available at www.onemarkets.ro, as well as at www.structuredinvest.lu.

onemarkets Fund: worldwide opportunities

 

With our mix of bonds, equities and multi-asset funds, we have identified themes that provide our clients with a well-ballanced offering in line with their individual needs, risk tolerance, market view and investment horizons.

 

More information about all funds and their prospectuses are available at www.onemarkets.ro.

 

 

 

BONDS FUNDS

onemarkets Global Short Term Bond Fund

onemarkets PIMCO Global Strategic Bond Fund

MULTI-ASSET FUNDS

onemarkets Allianz Conservative Multi-Asset Fund

onemarkets Amundi Flexible Income Fund

onemarkets PIMCO Global Balanced Allocation Fund

onemarkets Global Multibrand Selection Fund

onemarkets Pictet Global Opportunities Allocation Fund

onemarkets Balanced Eastern Europe Fund

EQUITY FUNDS

onemarkets Amundi Climate Focus Equity Fund

onemarkets BlackRock Global Equity Dynamic

opportunities Fund onemarkets Fidelity World Equity Income Fund

onemarkets Allianz Global Equity Future Champions Fund

onemarkets J.P. Morgan Emerging Countries Fund

onemarkets J.P. Morgan US Equities Fund

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THIS IS A MARKETING COMMUNICATION. Please refer to the prospectus of onemarkets Fund (the "Fund") and to the Key Information Document (KID)* before making any final investment decisions. See more details:

These documents are available, in English and Romanian language, at www.onemarkets.ro and can be obtained as hard copy free of charge by request of the investor, whereby the English version of the prospectus is the legally binding one for the Management Company and at the Distributor’s premises.

Additionally, at https://www.structuredinvest.lu/, the articles of incorporation of the Fund and the latest annual reports and half annual reports are available in English, German, and Italian. The subfund is distributed in Romania through UniCredit Bank, which acts as a Distributor. UniCredit Bank does not offer investment-consulting services and does not make investment recommendation.

The value of the shares and the profit from an investment in the Fund could go down or up, depending on the market conditions, and investors may not get back the amount invested. Any of the subfunds does not offer any guarantee of return.

Moreover, the previous performance of the fund/investment company is not a guarantee of future achievements. Investments in mutual funds involve certain risks, such as, but not limited to: (i) risks related to the general evolution of the economy, (ii) the risk of changes in market interest rates, (iii) the risk related to currency exchange rates, (iv) the risk of changes in purchasing power due to inflation, (v) placement risk, (vi) management risk, (vii) financial risk. The risks related to each individual Fund are described in the respective Fund's documents, namely (1) the Prospectus, (2) the Fund's Rules and (3) the Key Information Document for Investors (KID), documents developed in accordance with its legal obligations by Structured Invest S.A. .

A summary of the information on investor rights as well as the instruments of collective redress can be found in English at: https://www.structuredinvestlu/lu/en/fund-platform/about-us.html.

This marketing communication is published by Structured Invest S.A., the Fund’s management company.

Furthermore, the management company may decide to terminate the arrangements made for the marketing of its collective investment undertakings in accordance with Article 93a of Directive 2009/65/EC.

 


*as meant under PRIIP KID Regulation of 26 November 2014, as amended from time to time: Key Information Document for Packaged Retail and Insurance-based Investment Products (PRIIP KID).

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