Solution funds
Solutions funds are tailor-made investment solutions that are geared to specific client needs – for example, capital protection or security. They pursue clearly defined strategies to efficiently achieve investment goals.
onemarkets (IRL) Bond Opportunity 2031 Fund
An actively managed bond fund with a predefined time horizon (maturing on December 31, 2031), the portfolio prioritizes high-quality issuers (so-called "Investment Grade"), with limited exposure to subordinated debt, high-yield bonds, and emerging market securities. Portfolio duration is actively managed and will naturally and progressively decrease as the year 2029 approaches, giving way to a passive management approach as the securities move toward maturity.
Available share classes:
onemarkets (IRL) Bond Opportunity 2031 Fund G
(accumulating; minimum initial investment: 100 EUR)
IE000VBAKKN3
onemarkets (IRL) Bond Opportunity 2031 Fund G
(distributing; minimum initial investment: 100 EUR)
IE000W2AKM60
onemarkets (IRL) Smart Plan 2025 Fund
The onemarkets (IRL) Smart Plan 2025 Fund is an actively managed multi-asset fund that aims to build a global equity portfolio starting from a portfolio of short- and medium-term European bonds. 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 (IRL) Smart Plan 2025 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 (IRL) Smart Plan 2025 Fund G EUR ACC HDG
(accumulating; minimum initial investment: 100 EUR)
IE0005QIP0Z6
onemarkets (IRL) Smart Plan 2025 Fund G EUR DIST HDG
(distributing; minimum initial investment: 100 EUR)
IE0000ZFVUN1
onemarkets (IRL) Smart Plan 50 Fund
The onemarkets (IRL) Smart Plan 50 Fund is an actively managed multi-asset fund that aims to build a balanced international portfolio starting from a portfolio of short- and medium-term European bonds. The fund’s initial equity exposure will be gradually increased over a period of three years. Spreading purchases over an extended period allows participation in equity market growth while minimizing the risk of mistiming entry. Once the accumulation phase is completed (target equity exposure 50%), the maximum equity exposure in subsequent years may reach up to 65% (prospectus limit).
The management of the onemarkets (IRL) Smart Plan 50 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 (IRL) Smart Plan 50 Fund G EUR ACC
(accumulating; minimum initial investment: 100 EUR)
IE000TKPEQT3
onemarkets (IRL) Smart Plan 50 Fund G EUR DIS
(distributing; minimum initial investment: 100 EUR)
IE0000YTHJX6
onemarkets UC Guaranteed Investment IX Fund
The fund's objective is to protect 100% of the value of the initial fund unit on each valuation day and for the entire investment horizon (one year). The fund has a duration of one year and is available for subscription only during the subscription period. onemarkets UC Guaranteed Investment funds aim to achieve a positive return at maturity. To achieve its objectives, the strategy uses OTC derivatives and other financial solutions throughout the investment period.
Available share classes:
onemarkets UC Guaranteed Investment IX Fund A
(accumulating)
LU3221812137
onemarkets UC Guaranteed Investment IX Fund C
(accumulating)
LU3221812301
onemarkets UC Guaranteed Investment IX Fund D
(accumulating)
LU3233869356
onemarkets UC Guaranteed Investment IX Fund E
(accumulating)
LU3233869430
onemarkets UC Guaranteed Investment X Fund
The fund's objective is to protect 100% of the value of the initial fund unit on each valuation day and for the entire investment horizon (one year). The fund has a duration of one year and is available for subscription only during the subscription period. onemarkets UC Guaranteed Investment funds aim to achieve a positive return at maturity. To achieve its objectives, the strategy uses OTC derivatives and other financial solutions throughout the investment period.
Available share classes:
onemarkets UC Guaranteed Investment X Fund A
(accumulating)
LU3221813531
onemarkets UC Guaranteed Investment X Fund C
(accumulating)
LU3221814349













