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Bond funds

Bond funds are considered a comparatively lower-risk form of investment. They invest mainly in fixed-income securities such as government and corporate bonds with fixed maturities and regular interest payments (coupons).

onemarkets BlackRock Low Duration Bond Fund

The onemarkets BlackRock Low Duration Bond Fund is a short duration bond fund invested primarily in euro-denominated securities. One of the fund’s key features is its flexibility. In an environment where interest rates can change rapidly, the flexible management of duration (sensitivity to changes in interest rates), which ranges from -2 to +2 years, makes this an attractive instrument for taking advantage of the macroeconomic and credit environment.

The onemarkets BlackRock Low Duration Bond Fund uses two main strategies to identify opportunities: relative value and non-traditional bond strategies (asset-backed securities or mortgage-backed securities) and a traditional unconstrained approach to maximise returns with low volatility.

The fund invests across the bond spectrum, seeking opportunities in government bonds, multinational bonds, corporate bonds and asset-backed securities.

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Available share classes:

onemarkets BlackRock Low Duration Bond Fund C
(accumulating; minimum initial investment: 100 EUR)
LU2673943267 VIEW PRODUCT >>

onemarkets (IRL) Bond Target Income 3Y Fund

The onemarkets (IRL) Bond Target Income 01/2029 Fund is a bond fund that primarily invests in G10 government bonds and European corporate credit, both high-quality and high-yield. The fund aims to preserve capital at maturity, providing stability to investors in an environment of economic uncertainty. Based on market expectations and current economic conditions, the fund offers a coupon return to subscribers for 3 years:

  • for Class C (threshold 120 Euro) between 1.25% and 2.25%,
  • for Class W (threshold 20,000 Euro) between 1.60% and 2.60%,
  • for Class U (threshold 120 Euro) between 1.90% and 2.90%. 

The fund is open for subscription from December 10 to January 27, 2026.

 

Available share classes:

onemarkets (IRL) Bond Target Income 3Y Fund G EUR ACC
(accumulating; minimum initial investment: 100 EUR)
IE0002R77TK7 VIEW PRODUCT >>
onemarkets (IRL) Bond Target Income 3Y Fund G EUR DIST
(distributing; minimum initial investment: 100 EUR)
IE0001INQTK7 VIEW PRODUCT >>

onemarkets (IRL) Bond Target Income 5Y Fund

The onemarkets (IRL) Bond Target Income 01/2031 Fund is a bond fund that primarily invests in G10 government bonds and high-quality European corporate credit. The fund aims to preserve capital at maturity, providing stability to investors in an environment of economic uncertainty. Based on market expectations and current economic conditions, the fund offers a coupon return to subscribers for five years: 

  • for Class C (threshold 120 Euro) between 1.60% and 2.60%, 
  • for Class W (threshold 20,000 Euro) between 2.16% and 3.16%, 
  • for Class U (threshold 120 Euro) between 2.70% and 3.70%. 

The fund is open for subscription from December 10 to January 27, 2026.

 

Available share classes:

onemarkets (IRL) Bond Target Income 5Y Fund G EUR ACC
(accumulating; minimum initial investment: 100 EUR)
IE000I66ELP1 VIEW PRODUCT >>
onemarkets (IRL) Bond Target Income 5Y Fund G EUR DIST
(distributing; minimum initial investment: 100 EUR)
IE000B70IDL5 VIEW PRODUCT >>

onemarkets (IRL) Euro Corporate Bond Strategy Fund

onemarkets (IRL) Euro Corporate Bond Strategy Fund is a 100% bond fund that primarily invests in a broadly diversified universe of bonds issued by high-quality European companies. The fund leverages the selection expertise of UniCredit’s Fixed Income Team within the Investment Division, combined with Nova’s active management approach and a global investment perspective. At least 70% of the fund is invested in corporate debt, focusing on high-quality issues, while dynamically managing duration and credit risks to adapt to market conditions. The management of the onemarkets (IRL) Euro Corporate Bond Strategy Fund is entrusted to Nova Investment Manager, an Ireland-based management company fully owned by the Azimut Group.

The onemarkets – PIR Bilanciato Fund is a conservative balanced strategy with a maximum equity exposure of 30%, aiming to invest in bonds and equities issued by Italian companies. The fund qualifies as an eligible investment for the implementation of PIR (Piano Individuale di Risparmio) for long-term savings plans, thus allowing investors to benefit from the tax advantages provided by law. onemarkets Italy ICAV is an Irish-domiciled investment company with variable capital, established by Nova Investment Management Limited, the Irish management company created in 2023 through a partnership between Azimut Holding S.p.A. (Azimut Group) and UniCredit S.p.A..

 

Available share classes:

onemarkets (IRL) Euro Corporate Bond Strategy Fund G EUR ACC UNH
(accumulating; minimum initial investment: 100 EUR)
IE000BJBDUQ3 VIEW PRODUCT >>
onemarkets (IRL) Euro Corporate Bond Strategy Fund G EUR DIS UNH
(distributing; minimum initial investment: 100 EUR)
IE000C7PWVW2 VIEW PRODUCT >>

onemarkets (IRL) Short Term High Yield Bond Fund

onemarkets (IRL) Short Term High Yield Bond Fund is a 100% actively managed bond fund, primarily composed of high-yield issues. The fund adopts a dynamic approach aimed at capturing investment opportunities in the short-term bond market.

onemarkets (IRL) Short Term High Yield Bond Fund is a sub-fund of onemarkets Italy ICAV, an Irish-domiciled investment company with variable capital, established by Nova Investment Management Limited, the Irish management company created in 2023 through a partnership between Azimut Holding S.p.A. (Azimut Group) and UniCredit S.p.A.. The management of the onemarkets (IRL) Short Term High Yield Bond Fund is delegated to Azimut Switzerland SA, a company of the Azimut Group based in Lugano.

 

Available share classes:

onemarkets (IRL) Short Term High Yield Bond Fund G EUR ACC HDG
(accumulating; minimum initial investment: 100 EUR)
IE00084UQZS7 VIEW PRODUCT >>
onemarkets (IRL) Short Term High Yield Bond  Fund G EUR DIS HDG
(distributing; minimum initial investment: 100 EUR)
IE000A7UCA20 VIEW PRODUCT >>
onemarkets (IRL) Short Term High Yield Bond  Fund D EUR ACC HDG 
(accumulating; minimum initial investment: 100 EUR)
IE000QQCVKQ7 VIEW PRODUCT >>

onemarkets J.P. Morgan Emerging Markets Short Term Bond Fund

The onemarkets J.P. Morgan Emerging Markets Short Term Bond Fund invests in short-term debt issued by emerging market sovereigns and corporates. The fund's investments are a combination of emerging market sovereigns and corporates selected by J.P. Morgan through a global, integrated, research-based investment process.

The fund leverages the extensive fixed income resources of J.P. Morgan Asset Management, with $719 billion in assets under management, and 310 fixed income investment professionals.

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Available share classes:

onemarkets J.P. Morgan Emerging Markets Short Term Bond Fund C-USD
(accumulating; minimum initial investment: 100 USD)
LU2673940834 VIEW PRODUCT >>
onemarkets J.P. Morgan Emerging Markets Short Term Bond Fund CD-USD
(distributing; minimum initial investment: 100 USD)
LU2673937293 VIEW PRODUCT >>

onemarkets Obbligazionario Italia

onemarkets Obbligazionario Italia is an actively managed bond fund that invests in a diversified portfolio of fixed-rate and/or floating-rate debt securities issued by the Italian government, supranational institutions or Italian governmental entities, and/or companies with their main headquarters in Italy. onemarkets Italy ICAV is an Irish-domiciled investment company with variable capital, established by Nova Investment Management Limited, the Irish management company created in 2023 through a partnership between Azimut Holding S.p.A. (Azimut Group) and UniCredit S.p.A..

The management of the onemarkets – Obbligazionario Italia fund is delegated by Nova Investment Management Limited to Azimut Investments S.A., a management company based in Luxembourg and wholly owned by the Azimut Group. Azimut Investments S.A. is authorized and supervised by the Commission de Surveillance du Secteur Financier (CSSF).

 

Available share classes:

onemarkets Obbligazionario Italia D EUR ACC HDG
(accumulating; minimum initial investment: 100 EUR)
IE0005EUTMV8 VIEW PRODUCT >>

onemarkets PIMCO Global Short Term Bond Fund

A diversified, global strategy that invests in bonds and aims to generate potential income through a mix of interest payments (yields) and price gains. However, capital preservation is always the top priority.

In order to achieve its investment objectives, the fund invests in global bonds denominated in the most important world currencies. These include primarily, but not exclusively, government bonds or government-related securities, as well as short and medium-term corporate bonds. The average duration of the investments in the portfolio normally varies between zero and five years.

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Available share classes:

onemarkets PIMCO Global Short Term Bond Fund C
(accumulating; minimum initial investment: 100 EUR)
LU2595022414   VIEW PRODUCT >>

onemarkets PIMCO Global Strategic Bond Fund

The fund invests in a diversified, actively managed portfolio of global bonds. This includes primarily, but not exclusively, government bonds or government-related securities, as well as corporate bonds denominated in currencies from industrialised or emerging countries. The average duration of the portfolio is normally between two and eight years.

The fund is actively managed, but without reference to a specific benchmark or comparative index. The strategy is flexible and makes it possible to focus on those investment ideas in the world of bonds that the PIMCO portfolio managers are convinced of. At the same time, the portfolio retains certain characteristics of a “core” strategy.

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Available share classes:

onemarkets PIMCO Global Strategic Bond Fund C
(accumulating; minimum initial investment: 100 EUR)
LU2595024469 VIEW PRODUCT >>
onemarkets PIMCO Global Strategic Bond Fund CD
(distributing; minimum initial investment: 100 EUR)
LU2595024543 VIEW PRODUCT >>

onemarkets UC Bond Portfolio I Fund

The onemarkets UC Bond Portfolio I Fund aims to preserve and increase the value of its assets by investing in a diversified global portfolio of selected bonds with similar maturities over the targeted investment horizon of 5 years. It may also use financial derivative instruments and securities financing techniques to contribute achieving any investment objective for cash management and hedging purposes and to generate additional income.

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Available share classes:

onemarkets UC Bond Portfolio I Fund C
(accumulating; minimum initial investment: 100 EUR)
LU2673935834 VIEW PRODUCT >>
onemarkets UC Bond Portfolio I Fund CD
(distributing; minimum initial investment: 100 EUR)
LU2673935750 VIEW PRODUCT >>
Welcome to onemarkets

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Disclaimer

This website constitutes advertising and is intended exclusively for persons resident in Greece. 

The information contained herein does not constitute an offer or a solicitation to buy or sell securities and may not be used in any jurisdiction where such use is prohibited.

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