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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 Allianz Conservative Multi-Asset Fund

onemarkets Allianz Conservative Multi-Asset Fund is a fund with a balanced strategy and a conservative investment approach. The fund focuses on a mix of quality euro bonds and global equities with high potential, also selected according to their SRI (Social Responsible Investments) rating.

The fund has an average equity exposure of around 30% and a bond component whose duration is actively managed. Beyond traditional asset classes, the fund offers additional investment opportunities through alternative solutions (e.g. inflation-linked bonds, REITs, private equity, alternatives, etc.), emerging markets (up to 25%), commodities (up to 20%) and high-yield bonds (up to 15%).

DOWNLOAD FLYER (PDF) >>
 

Available share classes:

onemarkets Allianz Conservative Multi-Asset Fund M
(accumulating; minimum initial investment: 200 EUR)
LU2595019543 VIEW PRODUCT >>
onemarkets Allianz Conservative Multi-Asset Fund MD
(distributing; minimum initial investment: 200 EUR)
LU2595019626 VIEW PRODUCT >>
onemarkets Allianz Conservative Multi-Asset Fund MH-CZK
(accumulating; minimum initial investment: 5000 CZK)
LU2595019972 VIEW PRODUCT >>

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.

DOWNLOAD FLYER (PDF) >>
 

Available share classes:

onemarkets Amundi Flexible Income Fund M
(accumulating; minimum initial investment: 200 EUR)
LU2503839164 VIEW PRODUCT >>
onemarkets Amundi Flexible Income Fund MD
(distributing; minimum initial investment: 200 EUR)
LU2503839081 VIEW PRODUCT >>
onemarkets Amundi Flexible Income Fund MH-CZK
(accumulating; minimum initial investment: 5000 CZK)
LU2606421118 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.

DOWNLOAD FLYER (PDF) >>
 

Available share classes:

onemarkets Balanced Eastern Europe Fund M
(accumulating; minimum initial investment: 200 EUR)
LU2595015806 VIEW PRODUCT >>
onemarkets Balanced Eastern Europe Fund MD
(distributing; minimum initial investment: 200 EUR)
LU2595015988 VIEW PRODUCT >>
onemarkets Balanced Eastern Europe Fund MH-CZK
(accumulating; minimum initial investment: 5000 CZK)
LU2595016101 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.

DOWNLOAD FLYER (PDF) >>
 

Available share classes:

onemarkets Global Multibrand Selection Fund M
(accumulating; minimum initial investment: 200 EUR)
LU2595011565 VIEW PRODUCT >>
onemarkets Global Multibrand Selection Fund MH-CZK
(accumulating; minimum initial investment: 5000 CZK)
LU2595016440 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.

DOWNLOAD FLYER (PDF) >>
 

Available share classes:

onemarkets Pictet Global Opportunities Allocation Fund M
(accumulating; minimum initial investment: 200 EUR)
LU2595021283 VIEW PRODUCT >>
onemarkets Pictet Global Opportunities Allocation Fund MD
(distributing; minimum initial investment: 200 EUR)
LU2595016796 VIEW PRODUCT >>
onemarkets Pictet Global Opportunities Allocation Fund MH-CZK
(accumulating; minimum initial investment: 5000 CZK)
LU2595011649 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.

DOWNLOAD FLYER (PDF) >>
 

Available share classes:

onemarkets PIMCO Global Balanced Allocation Fund M
(accumulating; minimum initial investment: 200 EUR)
LU2503838273 VIEW PRODUCT >>
onemarkets PIMCO Global Balanced Allocation Fund MD
(distribuční třída; minimální výše jednorázové investice 1000 EUR; následná investice 200 EUR)
LU2503837978 VIEW PRODUCT >>
onemarkets PIMCO Global Balanced Allocation Fund MH-CZK
(akumulační třída; minimální výše jednorázové investice 5000 CZK; pravidelné investování možné od 500 CZK)
LU2606422199 VIEW PRODUCT >>

onemarkets UC Dynamic Global Allocation Fund

The investment focus of the onemarkets UC Dynamic Global Allocation Fund is on global equities (at least 51% and up to 100%) selected based on a quality growth approach. 

The portfolio manager applied a “quality growth approach” combining a classic growth approach with a selection of ompanies characterised by a strong market position within a sector or innovation leadership. 

In addition to the classic financial analysis, the active investment selection process takes into account environmental and social characteristics as well as good corporate governance practices. 

The fund qualifies as a financial product under Article 8 of the SFDR.

 

Available share classes:

onemarkets UC Dynamic Global Allocation Fund M
(accumulating; minimum initial investment: 200 EUR)
LU3046598150 VIEW PRODUCT >>
onemarkets UC Dynamic Global Allocation Fund M-USD
(distributing; minimum initial investment: 200 EUR)
LU3046608488 VIEW PRODUCT >>
onemarkets UC Dynamic Global Allocation Fund MH-CZK
(accumulating; minimum initial investment: 5000 CZK)
LU3046608306 VIEW PRODUCT >>

onemarkets UC Global Multibrand 60 Fund

onemarkets UC Global Multibrand 60 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 make it possible to benefit from the entire investment expertise of UniCredit.

The equity component of the portfolio averages 60% and can fluctuate between 50% and 70%. 

 

Available share classes:

onemarkets UC Global Multibrand 60 Fund M
(accumulating; minimum initial investment: 200 EUR)
LU3046603414 VIEW PRODUCT >>
onemarkets UC Global Multibrand 60 Fund MH-CZK
(accumulating; minimum initial investment: 5000 CZK)
LU3046603687 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 M
(accumulating; minimum initial investment: 200 EUR)
LU3046604818 VIEW PRODUCT >>
onemarkets UC Global Multibrand 90 Fund MH-CZK
(accumulating; minimum initial investment: 5000 CZK)
LU3046605039 VIEW PRODUCT >>
Welcome to onemarkets

To access the product information and services provided on our website please read and accept the following disclaimer and the terms of use:

Disclaimer

This website is addressed to residents of Slovakia only. In other jurisdictions the furnishing of any such information may be restricted by law. The information on this site is not intended for persons or entities resident, located or registered in jurisdictions that restrict the distribution of such material. Consequently, the information on this site does not constitute, and may not be used for the purposes of an offer or invitation to acquire or sell any securities to any person in any jurisdiction:

  • in which any such offer or invitation is not authorised;
  • in which UniCredit Bank GmbH is not qualified to make such offer or invitation; or 
  • in which it is unlawful to make any such offer or invitation.

In particular, the information on this website is not intended to and does not constitute an offer or invitation to acquire or sell securities to persons in the United Kingdom. Accordingly, any offer from any such person will not be accepted.

The securities referred to on this website have not been and will not be registered under the United States Securities Act of 1933, as amended, and may not be offered or sold within the United States except pursuant to any exemption from, or within the framework of a transaction not subject to, the registration requirements of the Securities Act.

Therefore, the securities listed in the following information may not be sold to U.S. nationals or otherwise be transferred to the United States unless the relevant transaction is not subject to registration requirements under U.S. law.

Anyone accessing this site from a jurisdiction in which any such restrictions apply should inform themselves about, and observe, such restrictions.

UniCredit Bank GmbH shall not be liable for any information contained in or activities conducted through the websites of any other companies which are hyperlinked to the website of UniCredit Bank GmbH.

This publication does not constitute investment advice, binding information, or an offer to enter into an advisory or information agreement. The information is provided solely for use on your own responsibility and is no substitute for advice or information tailored to the personal circumstances and knowledge of an investor.

All the products presented on this site are complex financial instruments and difficult to understand. They are aimed at investors with the specific experience and knowledge to buy and trade these financial instruments.

By acquiring financial instruments, investors take a credit risk on the Issuer and, where applicable, on its guarantor.

For complete information on the function, structure and risks and opportunities of the security, potential investors should read the Prospectus, which contains the Base Prospectus, Supplements and Final Terms, carefully before making any investment decision.

The Base Prospectus and the Supplements have been approved by the Federal Financial  Supervisory Authority (BaFin).The approval of the prospectus is not to be understood as an endorsement of these securities of UniCredit Bank GmbH. Only the Base Prospectus including any supplements and Final Terms shall prevail. These documents may be obtained from UniCredit Bank GmbH, Department MCC, Arabellastr. 12, 81925 Munich, Germany or may be downloaded here.

Potential investors should base any investment decision they make solely on the basis of information contained in the Prospectus (as referred below) and should read the information contained therein carefully, in particular the description of risk factors associated with any in order to fully understand the potential risks and rewards associated with the decision to invest in the securities.

Vitajte na onemarkets

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Disclaimer

Táto webová stránka je určená len pre obyvateľov Slovenska. V iných jurisdikciách môže byť poskytovanie takýchto informácií obmedzené zákonom. Informácie na tejto stránke nie sú určené pre osoby alebo subjekty s bydliskom, sídlom alebo registráciou v jurisdikciách, ktoré obmedzujú distribúciu takéhoto materiálu. V dôsledku toho informácie na tejto stránke nepredstavujú a nesmú byť použité na účely ponuky alebo výzvy na nadobudnutie alebo predaj akýchkoľvek cenných papierov žiadnej osobe v žiadnej jurisdikcii:

  • v ktorej nie je takáto ponuka alebo výzva povolená;
  • v ktorej spoločnosť UniCredit Bank GmbH nie je oprávnená urobiť takúto ponuku alebo výzvu; alebo
  • v ktorej je nezákonné urobiť takúto ponuku alebo výzvu.

Informácie na tejto webovej stránke nie sú určené najmä na a nepredstavujú ponuku alebo výzvu na nadobudnutie alebo predaj cenných papierov osobám v Spojenom kráľovstve. Preto nebude žiadna ponuka od takejto osoby akceptovaná.

Cenné papiere uvedené na tejto webovej stránke neboli a nebudú registrované podľa Zákona o cenných papieroch Spojených štátov z roku 1933 v znení neskorších predpisov a nesmú byť ponúkané ani predávané v Spojených štátoch, s výnimkou prípadov, keď je na ne uplatnená výnimka z registračných požiadaviek Zákona o cenných papieroch, alebo v rámci transakcie, ktorá nepodlieha registračným požiadavkám Zákona o cenných papieroch.

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Každý, kto pristupuje na túto stránku z jurisdikcie, v ktorej platia takéto obmedzenia, by sa mal o týchto obmedzeniach informovať a mal by ich dodržiavať.

UniCredit Bank GmbH nezodpovedá za žiadne informácie obsiahnuté na webových stránkach iných spoločností, ktoré sú prepojené hypertextovým odkazom na webovú stránku UniCredit Bank GmbH, ani za žiadne aktivity vykonávané prostredníctvom týchto webových stránok.

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Získaním finančných nástrojov investori preberajú kreditné riziko voči Emitentovi a prípadne voči jeho ručiteľovi.

Potenciálni investori by si mali pred akýmkoľvek investičným rozhodnutím pozorne prečítať Prospekt, ktorý obsahuje Základný Prospekt, Dodatky a Konečné podmienky.

Základný Prospekt a Dodatky boli schválené Federálnym úradom pre finančný dohľad (BaFin). Schválenie Prospektu sa nemá chápať ako schválenie týchto cenných papierov UniCredit Bank GmbH. Prednosť má iba Základný Prospekt vrátane akýchkoľvek dodatkov a Konečných podmienok. Tieto dokumenty je možné získať od UniCredit Bank GmbH, oddelenie MCC, Arabellastr. 12, 81925 Mníchov, alebo si ich môžete stiahnuť tu.

Potenciálni investori by mali akékoľvek investičné rozhodnutie založiť výlučne na informáciách uvedených v prospekte (ako je uvedené nižšie) a mali by si pozorne prečítať informácie v ňom uvedené, najmä opis rizikových faktorov spojených s nimi, aby plne pochopili potenciálne riziká a odmeny spojené s rozhodnutím investovať do cenných papierov.