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onemarkets Fund

Worldwide Investment Opportunities

onemarkets Fund
  • The world's largest asset management companies

  • One-off and regular investments

  • Unique solutions by UniCredit Group

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. Our expert teams create investment solutions either by relying on our own asset management skills or by partnering with experienced external fund managers. Our ambition is to offer best-in-class investment products. Therefore, our team of experts closely monitors each fund and is in the position to make adjustments where necessary.

Three reasons rhy onemarkets Fund is a compelling offer

 

  1. CLIENT CENTRICITY: Client-focused approach coupled with sound consulting competence.
  2. COMPETENCE: Benefit from the long-standing competence of UniCredit’s Investment Strategy and Product Management teams.
  3. UNIQUENESS: Deliver best-in-class client-focused products – developed in-house or through partnering with experienced asset managers.

The onemarkets Fund family – A wide and growing range of opportunities

UniCredit group carefully picks themes and areas, that represent a balanced offer of investment solutions in accordance with the clients needs and risk-tolerance. All while looking at the market and the investment horizon.

With our growing suite of funds, we have identified themes which provide our clients a well-balanced offer of suitable investment solutions in line with their individual needs, risk tolerance, market view and investment horizons.
 

  • BOND FUNDS
  • BALANCED FUNDS
  • EQUITY FUNDS

ONEMARKETS FUND AS PART OF UNICREDIT’S INVESTMENT UNIVERSE

onemarkets Fund is part of the investment universe for UniCredit clients. UniCredit defines the investment strategy and creates the funds in cooperation with well-known fund companies. For each individual fund, the portfolio is managed either by a UniCredit Group company (ZB Invest Ltd., Schoellerbank Invest AG and UniCredit International Bank Luxembourg S.A.) or by selected experienced asset management companies. The fund’s performance is monitored closely by UniCredit experts to ensure consistency in the quality and risk-return profile of the defined strategies throughout the cycle.

 

UNICREDIT – ONEMARKETS FUND INVESTMENT MANAGERS

  • Definition of investment strategies
  • Close monitoring of quality and risk-return profile
  • Exclusive offer for UniCredit clients


In partnership with external asset management companies, including:

 

Funds managed by Structured Invest S.A.1, a fully-owned subsidiary of UniCredit Bank GmbH In-house by UniCredit 2

 

¹ onemarkets Fund is the UniCredit UCITS (Undertakings for Collective Investment in Transferable Securities) umbrella fund platform, incorporated as a Société d’investissement à capital variable, Société anonyme (investment company with variable capital, public limited company) managed by Structured Invest S.A.

² Funds are managed by entities that are part of the UniCredit Group (ZB Invest Ltd., Schoellerbank Invest AG and UniCredit International Bank Luxembourg S.A.).

ONEMARKETS SELECTION

onemarkets selection and onemarkets selection+ is an inovative combination of funds. Their goal is to offer a global portfolio for each risk profile.

Would you like to know more about onemarkets selection and onemarkets selection+? Contact your bank advisor, who will gladly offer more information. 

Are you interested in investing within onemarket Fund or would you like to ask about something specific? Stop by any of our branches, contact us via our Infoline on +421 2 6920 2090, or leave us your contact information and we'll call you back.

Disclaimer:

This website is just informative, and it cannot be considered as a prospect, statute or contract proposal. It does not represent individual investment advice or investment recommendation considering the individual situation of an investor.

The links to the official websites of Structured Invest S.A. and UniCredit Bank GmbH - onemarkets, which are used by clients of UniCredit Bank, are solely for the purpose of providing information about these companies and the onemarkets Fund. The product information presented on these websites is provided as a guide only, is subject to change over time and may be updated by Structured Invest S.A. and UniCredit Bank GmbH at any time without prior notice.

UniCredit bank would like to remind clients that the investment options listed may not correspond with the identified target market of an investor - you may be outside the target market or even in a negative target market for those investment products. The target market can only be assessed based on the information you provide in the investment questionnaire.

The rates, prices, yields, appreciation, performance or other parameters achieved by each financial instrument in the past may not in any case serve as an indicator or warranty of future rates, prices, yields, appreciation, performance or other parameters of such or similar financial instruments. An investment is always subject to the risk of fluctuations in value and the return of the funds originally invested is not guaranteed. Additionally, investors further bear the credit risk of a financial instrument issuer. Financial instruments denominated in foreign currencies are also exposed to fluctuations resulting from changes in foreign exchange rates, which may have both a positive and a negative effect, in particular, on their rates, prices, appreciation or proceeds from them. The potential taxation depends on the personal circumstances of the investor and may vary.

Detailed information on the rules of providing investment services by the Bank and risks associated with investment services and the principles of protection of investment banking clients can be found in the document, Investment Services of UniCredit Bank Czech Republic and Slovakia. For basic information on incentives as a potential conflict of interest, please refer to the Conflict of Interest Policy including incentives. An archive of this information can be found in the MiFID Document Archive. If you have any questions, please do not hesitate to contact the relevant contact person at UniCredit Bank.

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