onemarkets Fund - onemarkets by UniCredit
A one-stop shop for selected and innovative investment solutions
We continuously scan global markets to identify investment opportunities that truly matter. With the client at the center of everything we do, we build on UniCredit’s long-standing expertise in investments and financial markets. Our ambition is to offer well-designed investment solutions.
onemarkets is the product brand for state-of-the-art investment solutions designed by UniCredit. It combines expertise in investment products such as funds, certificates or bonds with access to financial markets worldwide.1
Through onemarkets, we offer a unique and growing range of investment strategies, built on UniCredit Group’s expertise and the insights of leading asset managers. Our onemarkets funds’ portfolios are managed either by UniCredit Group companies2 or, in selected cases, by carefully chosen and highly experienced asset management partners.
UniCredit investment management solutions allow asset allocation to be mandated to a skilled portfolio manager who knows how to navigate complex financial markets. Our UniCredit experts regularly monitor each fund’s performance to assess consistent quality and to maintain defined risk-return profiles throughout market cycles.3
1 Please refer to the product’s legal documentation for more complete information. Investing involves risks. Please refer to the legal documentation for a complete list of risks.
2 Fund portfolios are managed by entities that are part of the UniCredit Group, i.e., Schoellerbank Invest AG, UniCredit International Bank (Luxembourg) S.A., UniCredit Invest Alternatives, UniCredit Invest Lux S.A. and ZB Invest Ltd.
3 Unless otherwise provided by the prospectus and the KID, the products do not guarantee a positive return or protection against losses.
Three reasons why onemarkets is a compelling offer
Client centricity
Solutions are built around clients’ needs – from conservative to growth-oriented – coupled with a sound advisory approach.
Competence
Benefit from UniCredit’s long-standing expertise – with close monitoring of the funds’ performance.
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Uniqueness
Deliver best-in-class investment solutions – developed in-house or in partnership with experienced asset managers
DISCLAIMER
This is a marketing communication. Please refer to the UCITS prospectus and the Key Information Document (KID) before making a final investment decision. This publication is intended for the general public and contains information on undertakings for collective investment in transferable securities (UCITS), namely "onemarkets Fund" and "onemarkets Italy". onemarkets Fund is a SICAV (Société d’Investissement à Capital Variable) under Luxembourg law, while onemarkets Italy is an ICAV (Irish Collective Asset Management Vehicle) established under Irish law. Before subscribing to any Sub-Fund, investors must read the Prospectus of the relevant Fund (onemarkets Fund or onemarkets Italy) as well as the applicable Key Information Document (KID). This material should not be regarded as a forecast, research or investment advice and does not constitute a recommendation or an offer to buy or sell any securities, nor to adopt any investment strategy. It is intended for advertising purposes only and does not constitute investment, legal, accounting or tax advice. This document contains information relating to the sub-funds (the “Sub-Funds”) of the UCITS managed respectively by UniCredit Invest Lux S.A. (onemarkets Fund) or by Nova Investment Management Ltd (onemarkets Italy). The Sub-Funds are registered for distribution and marketing in the jurisdictions listed in the respective Prospectuses, in accordance with the applicable regulations. For complete and accurate information on the Funds and their SubFunds (including investment policies, strategies, associated risks, costs and fees, etc.), investors should refer to the Fund documents mentioned herein. Potential investors should assess whether the risks associated with an investment in the SubFunds are suitable for their personal circumstances and should ensure that they fully understand the structure of the SubFunds and the risks associated with the investment. In case of doubt, it is recommended to consult a financial advisor to determine whether an investment in the SubFunds is appropriate. The value of the shares and the return on an investment in the Funds may decrease as well as increase, depending on market conditions. The SubFunds do not offer any guarantee of return. Past performance is not indicative of future results. The returns presented do not take into account any fees or costs incurred for subscribing to or redeeming shares. This communication is not addressed to any “U.S. Person” as defined under the U.S. Securities Act of 1933 and the Prospectuses of the Funds. The Prospectuses, KIDs and other documents and forms relating to the SubFunds are not available to investors in certain countries where the Funds are not registered and are not offered for distribution or marketing. Before taking any final investment decision, investors must read the KID available in an official language of their country of residence, as well as the Prospectus and the Articles of Incorporation of the respective Fund, available at https://www.invest.unicredit.lu/eu/en.html (for onemarkets Fund) and www.novainvestment.ie (for onemarkets Italy). These documents, together with the latest annual and semiannual reports, can be obtained free of charge in hard copy upon request from the registered offices of the respective Management Companies and at the premises of UniCredit S.p.A. A summary of the information on investor rights as well as the instruments of collective redress can be found in English at https://www.invest.unicredit.lu/lu/en/fund-platform.html#fund-platform-about-us (for onemarkets Fund) and www.novainvestment.ie (for onemarkets Italy). This document may not be distributed, reproduced or disclosed, in whole or in part, nor may any of its content or data be shared with third parties without the authorization of UniCredit S.p.A. It should also be noted that the management companies may decide to terminate the arrangements made for the marketing of the UCITS SubFunds in a EU Member State where a notification for marketing had previously been made.