Eurizon receives award at the 25th edition of “Premio Alto Rendimento”.

At the 25th edition of the Premio Alto Rendimento awards ceremony that took place on 29 March 2023 in digital version, Eurizon won the second place award in the category "Big" Italian Funds – Best Manager.
The “Premio Alto Rendimento” is an award handed out by Il Sole 24 Ore to asset management companies and mutual funds that “have stood out for the results achieved, as well as for commitment and professionalism in taking care of investments, inspired by the fundamental value of investor protection.”

Alessandro Solina, Head of Investments at Eurizon, remarked: “This is an award that makes me particularly proud, as we won it for 2022, a truly extraordinary year for the dramatic events that strongly impacted the financial markets: the award testifies to the quality of our products, of the services we offer, and of the skills displayed by all my colleagues at Eurizon.”
The awards are assigned based on solid analysis criteria, that take into account the trend of capitals over a three-year time horizon, and are built on ratings provided by CFS Rating. The “Big” Italian Funds – Best Manager category, that rewarded the three best asset management firms on a three-year horizon (data as at 31 December 2022), companies were taken into account with assets under management in open funds in excess of 8,000 million euros (3Q 2022 data published by Assogestioni), and a diversified overall product offer, in the following 12 macro categories:

  • Stocks America
  • Stocks Europ
  • Stocks Euro
  • Stocks Asia-Pacific
  • Stocks Emerging
  • Stocks International
  • Balanced
  • Flexible
  • Bonds America
  • Bonds Euro
  • Bonds Emergin
  • Bonds International

The asset management companies were than examined with one or more funds in at least 6 of the 12 macro categories listed above. After identifying the analysis group, the process was as follows:

  • All the retail funds placed in Italy with a track record of at least 3 years were considered
  • For each fund, the average rating of the different asset classes was calculated
  • For each company, the average rating of the funds included in each of the categories was calculated
  • For each, the average for all the categories was then calculated
  • The three companies with the highest average rating were assigned awards.

For further details on the methodology used, visit:

Document drafted for marketing ends. Before making any investment decision and making an informed choice on the opportunity of investing, please read carefully the Key Information Document (KID), the Prospectus, the Fund Management Rules, and the subscription form. These documents describe the rights of investors, the nature of this Fund, the costs and risks it implies, and are available free of charge from the Internet website as well as from distributors. The documents are available in paper format as well from the Asset Management Company or the Depositary Bank, on written request. KIDs are available in the official language of the country in which the country of distribution. The Prospectus is available in Italian and English. The Asset management Company may decide to end the provisions adopted for the marketing of its undertakings for collective investment, as per Art. 93 of Directive 2009/65/EC, and Art. 32 of Directive 2011/61/EU.
This document is not addressed to persons in jurisdictions where the offer to the public of financial products, or the promotion and placing of investment services and activity is not authorised, or to whom it is illegal to address such offers or promotions. For further information, please read the legal notices.

This website uses technical cookies and so-called analytical cookies of "third parties" to ensure its technical operation and to analyze website's visits in an aggregated and anonymous way. For further information on cookie management, it is possible to consult the dedicated information notice.