Our fund strategies cover a wide range of asset classes – including equities, bonds, multi-asset funds and solutions, designed to address particular client needs. By combining these asset classes in a targeted manner, we enable broad diversification to exploit all market opportunities.
Equity funds
Equity funds pursue a long-term growth objective and generally offer higher return opportunities than bond funds – albeit with greater fluctuations.
onemarkets Amundi Climate Focus Equity Fund
The onemarkets Amundi Climate Focus Equity Fund focuses on companies that aim to reduce carbon dioxide (CO2) emissions in developed markets to facilitate the transition to a “Net Zero” world.
The portfolio selection is highly diversified and based on three types of companies: "Climate Champions": companies that are already at a very advanced stage in reducing carbon emissions and that, thanks to their investments, have an implicit positive impact on the environment; "Climate Committed": companies that have committed to adopting corrective measures to address climate issues and investing more in decarbonization; and "Climate Enablers": companies that produce innovative technologies, products, and services that facilitate the transition to a low-carbon world.
Available share classes:
| onemarkets Amundi Climate Focus Equity Fund M (accumulating; minimum initial investment: 100 EUR) |
LU2503843356 | VIEW PRODUCT >> |
onemarkets BlackRock Global Equity Dynamic Opportunities Fund
The onemarkets BlackRock Global Equity Dynamic Opportunities Fund is a diversified, actively managed global equity fund that seeks to outperform global equity markets over the long term through macroeconomic analysis, fundamental research, and thematic exposure, while maintaining a sustainable portfolio focus.
The fund invests in approximately 100–120 shares of global companies with stable business models based on quality and cash flow generation.
Available share classes:
| onemarkets BlackRock Global Equity Dynamic Opportunities Fund M (accumulating; minimum initial investment: 100 EUR) |
LU2503836731 | VIEW PRODUCT >> |
| onemarkets BlackRock Global Equity Dynamic Opportunities Fund M-USD (accumulating; minimum initial investment: 100 USD) |
LU2693799871 | VIEW PRODUCT >> |
onemarkets Fidelity Longevity & Leisure Fund
onemarkets Fidelity Longevity & Leisure Fund is a global equity fund that aims to achieve capital growth and is designed for investors who seek to take advantage of long-term structural trends such as changing demographics, but with a specific focus on longevity.
Longevity is a megatrend and offers companies a completely new sales market and new opportunities. onemarkets Fidelity Longevity & Leisure Fund identifies four sub-themes into which longevity can be divided and from which interesting investment opportunities could be drawn: Health, Lifestyle, Wealth and planet “earth” longevity. The fund qualifies as a financial product under Article 8 of the SFDR.
Available share classes:
| onemarkets Fidelity Longevity & Leisure Fund M (accumulating; minimum initial investment: 100 EUR) |
LU3046598747 | VIEW PRODUCT >> |
| onemarkets Fidelity Longevity & Leisure Fund M-USD (accumulating; minimum initial investment: 100 USD) |
LU3046599042 | VIEW PRODUCT >> |
onemarkets Pictet Thematic Intelligence Fund
The onemarkets Pictet Thematic Intelligence Fund is an actively managed thematic equity fund. The portfolio invests in approximately 100–130 companies, with a strong focus on developed markets (emerging markets exposure max. 20%). Leveraging Pictet’s expertise in thematic investing, the fund focuses on companies, sectors, and industries that are driving major structural and global transformations.
Fund managers rigorously assess companies based on the “4Ps”: profitability, prudence, price, and protection. This analytical framework has been developed with scientific rigor and continuously refined over many years. The process ensures the selection of resilient, high-quality companies with strong potential for sustainable value creation.
Available share classes:
| onemarkets Pictet Thematic Intelligence Fund M (accumulating; minimum initial investment: 100 EUR) |
LU3046613991 | VIEW PRODUCT >> |
onemarkets Rockefeller Global Innovation Equity Fund
onemarkets Rockefeller Global Innovation Equity Fund is a high-conviction fund (approximately 50-70 companies) that focuses on identifying companies with innovative businesses that are already inspiring, developing and accelerating societal change, while also incorporating Rockefeller’s ESG factors. These are large-cap global companies that have the potential to become the leaders of tomorrow.
This means that onemarkets Rockefeller Global Innovation Equity Fund invests in equity securities of companies located around the world whose business activities are linked to innovation and the underlying global transitions in the areas of technology, health and well-being, demographics and decarbonization (“Global Innovation and Transition Companies”).
Available share classes:
| onemarkets Rockefeller Global Innovation Equity Fund M (accumulating; minimum initial investment: 100 EUR) |
LU2673954207 | VIEW PRODUCT >> |
| onemarkets Rockefeller Global Innovation Equity Fund M-USD (accumulating; minimum initial investment: 100 USD) |
LU2673954462 | VIEW PRODUCT >> |
onemarkets UC European Equity Stars Fund
onemarkets UC European Equity Stars Fund invests in 50-90 selected European equities with an active bottom-up approach that includes sustainability criteria as a growth driver for companies. The fund is actively managed by Schoeller Bank Invest, the UniCredit Group ESG hub, who rely on an ethical committee for the selection of companies. onemarkets UC European Equity Stars Fund qualifies as a financial product under Article 8 of the SFDR and promotes environmental and social characteristics (E/S).
Available share classes:
| onemarkets UC European Equity Stars Fund M (accumulating; minimum initial investment: 100 EUR) |
LU3046606607 | VIEW PRODUCT >> |
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 Algebris Financial Income Fund
The onemarkets Algebris Financial Income Fund invests in the capital structure of financial companies globally, aiming to maximize income and generate capital appreciation.
The bond component of the portfolio includes senior and subordinated debt securities, convertible instruments, Convertible Contingent Bonds (CoCos), hybrid securities, as well as Tier 1 and upper/lower Tier 2 instruments. Net exposure to equities and equity-related securities, whether direct or indirect, will not exceed 20% of the Fund’s Net Asset Value.
Available share classes:
| onemarkets Algebris Financial Income Fund M (accumulating; minimum initial investment: 100 EUR) |
LU3046601046 | VIEW PRODUCT >> |
| onemarkets Algebris Financial Income Fund M-USD (accumulating; minimum initial investment: 100 USD) |
LU3046601475 | VIEW PRODUCT >> |
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.
Available share classes:
| onemarkets BlackRock Low Duration Bond Fund M (accumulating; minimum initial investment: 100 EUR) |
LU2673943424 | 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.
Available share classes:
| onemarkets J.P. Morgan Emerging Markets Short Term Bond Fund M (accumulating; minimum initial investment: 100 EUR) |
LU2673936303 | VIEW PRODUCT >> |
| onemarkets J.P. Morgan Emerging Markets Short Term Bond Fund M-USD (accumulating; minimum initial investment: 100 USD) |
LU2673937020 | VIEW PRODUCT >> |
| onemarkets J.P. Morgan Emerging Markets Short Term Bond Fund MHP (accumulating; minimum initial investment: 100 EUR) |
LU2673936568 | VIEW PRODUCT >> |
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 BlackRock Global Diversified Balanced Fund
The onemarkets BlackRock Global Diversified Balanced Fund is a global multi-asset fund that aims to maximise the returns available from a typical balanced portfolio (50% global equities and 50% global bonds). Stock selection focuses particularly on environmental, social, and governance (ESG) principles.
The strategy is characterized by broad flexibility, allowing the fund to invest in stocks, bonds, and alternative instruments. The manager can always choose the approach and type of instrument best suited to the strategy being implemented. Furthermore, the fund can utilise liquid alternative assets that invest in specific and customised baskets that retail investors would otherwise find difficult to access directly (e.g., private markets).
Available share classes:
| onemarkets BlackRock Global Diversified Balanced Fund M (accumulating; minimum initial investment: 100 EUR) |
LU2673941212 | VIEW PRODUCT >> |
| onemarkets BlackRock Global Diversified Balanced Fund M-USD (accumulating; minimum initial investment: 100 USD) |
LU2673941642 | VIEW PRODUCT >> |
onemarkets Capital Group US Balanced Fund
The onemarkets Capital Group US Balanced Fund is a balanced fund with a US investment focus. Mixing US equities and US bonds is the oldest and most widely used investment strategy in the world. The fund has three balanced objectives: Capital preservation, current income and long-term capital growth. To this end, the fund invests in equities and investment-grade bonds using a balanced approach.
Available share classes:
| onemarkets Capital Group US Balanced Fund M (accumulating; minimum initial investment: 100 EUR) |
LU2673946013 | VIEW PRODUCT >> |
| onemarkets Capital Group US Balanced Fund M-USD (accumulating; minimum initial investment: 100 USD) |
LU2673948738 | VIEW PRODUCT >> |
onemarkets Multi Asset Value Fund
The onemarkets Multi-Asset Value Fund is an actively managed multi-asset and multi-strategy fund with a consistent focus on overall portfolio risk. It offers the opportunity to participate in the long-term growth of the equity market.
The strategy opens up a broad range of investment opportunities without adhering to a predetermined exposure to a specific asset class or risk profile.
The fund managers construct the portfolio by identifying diverse investment opportunities using five proprietary investment strategies. One of the fund's objectives is diversification through identifying the optimal investment time within a specific asset class and considering correlations between different financial instruments.
Available share classes:
| onemarkets Multi Asset Value Fund M (accumulating; minimum initial investment: 100 EUR) |
LU2595013009 | 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.
Available share classes:
| onemarkets Pictet Global Opportunities Allocation Fund M (accumulating; minimum initial investment: 100 EUR) |
LU2595021283 | VIEW PRODUCT >> |
onemarkets Fund is the UniCredit UCITS (= Undertakings for Collective Investments 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.
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. This material is not intended to be relied upon as a forecast, research or investment advice and is not a recommendation or offer to buy or sell any securities or to adopt any investment strategy; it is for advertising purposes only and does not constitute legal, accounting or tax advice. This document contains information relating to the sub-funds (the “Sub-Fund”) of the Fund, an undertaking for collective investment in transferable securities (UCITS), subject to Part I of the Luxembourg Law of 17 December 2010 relating to undertakings for collective investment, as amended, in the form of an investment company with variable capital, registered with the Luxembourg Trade and Companies Register under no. B 271.238. The Sub-Fund is offered in the jurisdictions detailed in the prospectus for distribution and marketing in accordance with the applicable regulations. For full and accurate information on the Fund and its Sub-Funds (including the investment policies, strategies, related risks, costs and fees etc.), please refer to the Fund documents mentioned hereafter. Potential investors should examine whether the risks associated with investing in the Sub-Funds are appropriate to their situation and should also ensure that they fully understand the structure of the Sub-Funds and the risk associated with the investment. In case of doubt, it is recommended to consult a financial advisor in order to determine if the investment in the Sub-Funds is appropriate. The value of the shares and the profit from an investment in the Fund could go down or up, depending on the market conditions. The Sub-Funds do not offer any guarantee of return. Furthermore, past performance is not indicative of future results. The returns presented do not hold in consideration of any fees and costs incurred in subscribing and redeeming the shares. It is not addressed to any “U.S. Person” as defined in the Securities Act of 1933 and the prospectus of the Company (the "Prospectus"). The Prospectus, the KID and further documents and forms related to the Sub-Funds are not available to investors in certain countries in which the Fund is not registered and not offered for distribution and marketing purposes.
Before making any investment decision, please read the KID (in local language) and the Prospectus (available in English and the respective local language with the English version representing the legally binding one) and the articles of incorporation of the Fund (in English language), which are available at https://www.structuredinvest.lu and can be obtained as hard copy free of charge by request of the investor, together with the latest annual reports and half annual reports at the registered offices of the Management Company (as defined below) and at the distributors’ premises. A summary of the information on investor rights as well as the instruments of collective redress can be found in English at: https://www.structuredinvest.lu/lu/en/fund-platform/about-us.html. This marketing communication is published by Structured Invest S.A., the Fund’s management company. Structured Invest S.A. (the “Management Company”) was incorporated under the name Structured Invest on 16 November 2005 in the Grand Duchy of Luxembourg as a public limited company ("société anonyme”) for an indefinite period and is registered with the Luxembourg commercial and company register, Registre de Commerce et des Sociétés, under no. B 112.174. The Management Company has its registered office at 8-10 rue Jean Monnet, L 2180 Luxembourg, Grand Duchy of Luxembourg, and it is part of UniCredit Group. 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.