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| Buscador de Fondos de Inversión |
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| Puede acceder a la ficha de un fondo de inversión
seleccionándolo en el desplegable de la búsqueda simple, o puede realizar una
búsqueda avanzada de fondos de inversión elegiendo uno o varios de los
siguientes criterios: Gestora, Sector, Riesgo y Divisa.
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Gestora:
BNP PARIBAS ASSET MANAGEMENT LUXEMBOURG
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Fondo
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Sector
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Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
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Contratar
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PARV EQUIT JAPAN N
|
Renta Variable Internacional |
3.787,0000 ¥ (21-05) |
+82.42% |
7  |
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C
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PARV EQUIT JAPAN SMALL N
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Renta Variable Internacional |
5.701,0000 ¥ (21-05) |
+75.79% |
6  |
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C
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Fortis L Equity Turkey P Acc
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Renta Variable Internacional |
287,8600 € (21-05) |
+55.42% |
7  |
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C
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PARV EQUIT SWITZERL N
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Renta Variable Internacional |
641,6300 CHF (21-05) |
+42.55% |
6  |
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C
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Parvest Europe Small Cap C
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Renta Variable Internacional |
125,9200 € (21-05) |
+39.17% |
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PARV EQUIT EUROP SMAL CAP N
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Renta Variable Internacional |
121,0900 € (21-05) |
+38.14% |
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Fortis L Equity Growth Europe Cls
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Otros |
39,1500 € (21-05) |
+35.23% |
6  |
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C
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EQUITY BEST SELECTION EURO-P
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Renta Variable Euro |
365,1500 € (21-05) |
+33.0% |
6  |
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C
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PARV EQUIT AUSTRAL N
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Renta Variable Internacional |
725,5200 AUD (21-05) |
+30.85% |
6  |
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C
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PARV EQUIT EUR MID CAP N
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Renta Variable Internacional |
471,6900 € (21-05) |
+26.54% |
6  |
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C
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PARV EQ HIG DIVID EUR N
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Renta Variable Internacional |
73,7200 € (21-05) |
+25.27% |
6  |
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C
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PARW TRACK UK
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Otros |
97,4200 € (21-05) |
+24.51% |
7  |
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PARV EQUIT USA N
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Renta Variable Internacional |
89,3500 $ (21-05) |
+19.76% |
7  |
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C
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PARV DIVER DYNAM N
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Renta Variable Mixta Internacional |
194,0800 € (21-05) |
+15.97% |
4  |
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C
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PARV EQUIT LAT AMER N
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Renta Variable Internacional |
726,4800 $ (21-05) |
+14.01% |
7  |
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C
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PARV EQUIT EUR CONVER N
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Renta Variable Internacional |
94,4400 € (21-05) |
+13.96% |
7  |
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C
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PARV EQUIT BRIC N
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Renta Variable Internacional |
127,2200 $ (21-05) |
+13.77% |
7  |
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C
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PARV CONV BOND EUROPE N
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Renta Fija Internacional |
131,7000 € (21-05) |
+12.87% |
5  |
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C
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PARV EQUIT BRAZIL N
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Renta Variable Internacional |
132,9400 $ (21-05) |
+11.65% |
7  |
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C
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PARV EQUIT WORLD TECH INNOV N
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Renta Variable Internacional |
95,5700 $ (21-05) |
+11.17% |
7  |
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C
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PARV BOND WORLD EMER N
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Renta Fija Internacional |
381,9600 $ (21-05) |
+10.77% |
5  |
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C
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Fortis L Bond Europe Plus Acc
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Renta Fija Internacional |
389,3700 € (21-05) |
+9.34% |
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PARV BOND EURO CORP N
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Renta Fija Internacional |
153,2700 € (21-05) |
+8.9% |
3  |
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C
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Fortis L Bond Europe PlusP
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Renta Fija Internacional |
130,0800 € (21-05) |
+8.8% |
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PARV EQUIT RUSSIA N
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Renta Variable Internacional |
72,0600 $ (21-05) |
+8.7% |
7  |
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C
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PARV BOND EURO GOVER N
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Renta Fija Euro |
319,8400 € (21-05) |
+8.12% |
3  |
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C
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PARV BOND WORLD N
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Renta Fija Internacional |
47,9100 $ (21-05) |
+7.09% |
4  |
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C
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PARV TARG RET PLUS (EURO) N
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Fondos Globales |
105,7000 € (21-05) |
+5.57% |
4  |
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C
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PARV BOND EURO MED. TERM N
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Renta Fija Euro |
162,7700 € (21-05) |
+5.12% |
3  |
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C
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PARV FLEX BOND EUR COR N
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Renta Fija Internacional |
111,3500 € (21-05) |
+4.66% |
4  |
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C
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PARV BOND EURO INFL-LINK N
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Renta Fija Euro |
121,7100 € (21-05) |
+4.22% |
4  |
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C
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PARV BOND EURO SH TERM N
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Renta Fija Euro |
117,0100 € (21-05) |
+2.6% |
2  |
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C
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PARV EQ WOR ENER
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Otros |
621,7700 € (21-05) |
+2.21% |
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BNPPL1 BOND EURO
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Renta Fija Internacional |
101,0800 € (21-05) |
+1.08% |
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PARW ETF FLEX AL
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Otros |
100,7000 € (21-05) |
+0.7% |
4  |
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PARV EQ BEST SEL
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Otros |
460,3700 € (21-05) |
+0.65% |
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PARV EQ BEST SEL
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Otros |
108,9100 € (21-05) |
+0.64% |
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PARV EQ EUR EMER
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Otros |
1.153,0000 € (21-05) |
+0.57% |
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PARV EQ WORLD EM
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Otros |
589,6600 $ (21-05) |
+0.31% |
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PARV EQ WORLD EM
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Otros |
179,3400 $ (21-05) |
+0.3% |
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BNP PARIB INS CH
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Fondos monetarios |
100,4394 £ (23-05) |
+0.2% |
1  |
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PARV EQ WO LOW
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Otros |
157,9900 € (14-05) |
+0.0% |
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PARV EQ WO LOW
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Otros |
402,1000 $ (14-05) |
+0.0% |
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PARV EQ BES EURP
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Otros |
130,9300 € (14-05) |
+0.0% |
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DYNAMIC EONIA PREMIUM L
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Fondos monetarios |
112,2971 € (21-05) |
-0.05% |
2  |
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C
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PARV EQ CHINA C
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Otros |
303,9300 $ (21-05) |
-0.14% |
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PARV EQ CHINA N
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Otros |
289,0800 $ (21-05) |
-0.16% |
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MULTI ASSETS 4 (USD)-CLASSIC CAPITALIZACION (USD)
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Fondos Globales |
102,8400 $ (21-05) |
-0.8% |
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PARV BOND USD N
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Renta Fija Internacional |
421,1200 $ (21-05) |
-0.88% |
3  |
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C
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PARV EQ INDIA N
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Otros |
35,8800 $ (21-05) |
-1.05% |
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PARV STEP 90 EURO C
|
Garantizado de Rendimiento Variable |
1.106,9000 € (21-05) |
-2.76% |
4  |
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C
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PARV WORLD AGRICULTU CLASS
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Fondos Globales |
91,3500 € (21-05) |
-3.47% |
6  |
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C
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Gestora:
INVESCO
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Fondo
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Sector
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Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
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Contratar
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INVESCO JAPANESE EQ CORE
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Renta Variable Internacional |
1,3100 € (23-05) |
+43.96% |
6  |
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C
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INVESCO PAN EUROP STRUCT
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Renta Variable Euro |
11,2000 € (23-05) |
+28.15% |
6  |
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C
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INVESCO GLOBAL STRUCT EQ
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Renta Variable Internacional |
30,3700 € (23-05) |
+25.24% |
6  |
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C
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INVESCO PRC EQUITY A USD
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Renta Variable Internacional |
49,0700 $ (23-05) |
+24.16% |
7  |
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C
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INVESCO INDIA EQUITY
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Renta Variable Internacional |
27,7300 € (23-05) |
+22.32% |
7  |
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C
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EMERGING EUROPE EQUITY E EUR
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Renta Variable Internacional |
8,1600 € (23-05) |
+22.16% |
7  |
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C
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INVESCO ENERGY E EUR
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Renta Variable Internacional |
18,8400 € (23-05) |
+16.8% |
7  |
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C
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INVESCO EURO CORP BOND
|
Renta Fija Euro |
15,5976 € (23-05) |
+15.45% |
4  |
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C
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INV ASIA INFRASTRUCTURE E EUR
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Renta Variable Internacional |
10,5900 € (23-05) |
+11.24% |
6  |
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C
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Invesco Balanced-Risk Alloc E
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Otros |
14,4000 € (23-05) |
+8.6% |
5  |
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Gestora:
FIDELITY INVESTMENT INTERNATIONAL
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Fondo
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Sector
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Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
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Contratar
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FF GLOBAL FINANCIAL SERV
|
Renta Variable Internacional |
20,6000 € (23-05) |
+42.46% |
7  |
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C
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FF IBERIA FUND E EUR
|
Renta Variable Euro |
31,1400 € (23-05) |
+38.52% |
7  |
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C
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EURO BLUE CHIP E EUR
|
Renta Variable Euro |
18,0600 € (23-05) |
+36.51% |
7  |
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C
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FF EUROP DYNAM GROWTH
|
Renta Variable Internacional |
31,8900 € (23-05) |
+29.74% |
6  |
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C
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EUROPEAN AGGRESSIVE E EUR
|
Renta Variable Internacional |
14,0800 € (23-05) |
+29.29% |
7  |
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C
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FF AMERICA FUND E EUR
|
Renta Variable Internacional |
16,8200 € (23-05) |
+28.4% |
6  |
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C
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FF WORLD FUND E EUR
|
Renta Variable Internacional |
15,8100 € (23-05) |
+27.81% |
6  |
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C
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FF GLOBAL PROPERTY
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Renta Variable Internacional |
11,4000 € (23-05) |
+24.17% |
7  |
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C
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FF JAPAN FUND E EUR
|
Renta Variable Internacional |
8,5640 € (23-05) |
+22.71% |
6  |
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C
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FF GLOBAL SECTOR E ACC
|
Renta Variable Internacional |
12,5800 € (23-05) |
+22.25% |
6  |
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C
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FF GLOBAL FOCUS E
|
Renta Variable Internacional |
35,0700 € (23-05) |
+21.98% |
6  |
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C
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FF EMERG EUROP MID EST&AF
|
Renta Variable Internacional |
14,6300 € (23-05) |
+20.61% |
7  |
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C
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FF EUROPEAN HIGH YIELD
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Renta Fija Internacional |
32,8900 € (23-05) |
+20.04% |
5  |
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C
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FF GREATER CHINA E
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Renta Variable Internacional |
28,8200 € (23-05) |
+18.89% |
7  |
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C
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INDIA FOCUS FUND A
|
Renta Variable Internacional |
26,8100 € (23-05) |
+18.16% |
7  |
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C
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FF GLOBAL TELECOM
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Renta Variable Internacional |
12,9600 € (23-05) |
+17.93% |
6  |
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C
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FF EMERG MARKETS E EUR
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Renta Variable Internacional |
34,9700 € (23-05) |
+15.95% |
5  |
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C
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FF SOUTH EAST ASIA E
|
Renta Variable Internacional |
38,0400 € (23-05) |
+14.99% |
7  |
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C
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TARGET 2015 A EUR
|
Renta Variable Mixta Internacional |
11,9700 € (23-05) |
+13.78% |
4  |
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C
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FF LATIN AMERICA FUND E
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Renta Variable Internacional |
53,8200 € (23-05) |
+13.35% |
7  |
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C
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TARGET 2015 EURO A
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Renta Variable Mixta Internacional |
29,9200 € (23-05) |
+11.98% |
4  |
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C
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FF MULTI ASSET STRAT DEFEN
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Otros |
11,8000 € (23-05) |
+8.06% |
3  |
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C
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Gestora:
DWS INVESTMENT
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Fondo
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Sector
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Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
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Contratar
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DWS Invest Asian Small/Mid Cap NC
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Renta Variable Internacional |
170,5500 € (23-05) |
+41.37% |
6  |
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C
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DWS EUROPEAN DIVIDEND PLUS NC EUR
|
Renta Variable Internacional |
119,1000 € (23-05) |
+23.65% |
7  |
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C
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DWS OSTEUROPA EUR
|
Otros |
671,0600 € (23-05) |
+19.62% |
7  |
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C
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DWS INVEST TOP DIVIDEND-NC
|
Renta Variable Internacional |
136,7200 € (23-05) |
+18.72% |
6  |
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DWS CONVERTIBLES NC EUR
|
Renta Fija Internacional |
142,0000 € (23-05) |
+15.38% |
4  |
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C
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DWS INVEST TOP 50 ASIA
|
Renta Variable Internacional |
169,9100 € (23-05) |
+14.57% |
6  |
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C
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DWS RUSSIA EUR
|
Renta Variable Internacional |
191,3100 € (23-05) |
+10.18% |
7  |
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C
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DWS INVEST BRIC PLUS NC
|
Renta Variable Internacional |
165,4900 € (23-05) |
+5.97% |
7  |
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C
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DWS INVEST LATIN
|
Otros |
101,9600 € (23-05) |
+1.96% |
7  |
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DWS INVEST BRAZI
|
Renta Variable Internacional Emergentes |
99,9400 € (23-05) |
+1.27% |
7  |
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DWS Invest Government Liquidity Fund NC
|
Otros |
100,8400 € (23-05) |
-0.03% |
1  |
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Gestora:
FRANKLIN TEMPLETON INVESTMENT MANAGEMENT
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Fondo
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Sector
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Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
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Contratar
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FT EUROPEAN SMALL-MID CAP GROWTH N
|
Renta Variable Internacional |
24,5800 € (23-05) |
+39.82% |
6  |
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C
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FT EUROPEAN GROWTH N EUR
|
Renta Variable Internacional |
11,9600 € (23-05) |
+35.29% |
6  |
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C
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Franklin US Focus A Acc $
|
Otros |
12,2400 $ (23-05) |
+28.03% |
7  |
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C
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FT MUTUAL EUROPEAN FUND
|
Renta Variable Internacional |
16,8700 € (23-05) |
+27.13% |
6  |
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C
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FT MUTUAL BEACON N USD
|
Renta Variable Internacional |
30,0700 $ (23-05) |
+26.77% |
6  |
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C
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FT MUTUAL BEACON N EUR
|
Renta Variable Internacional |
23,2000 € (23-05) |
+23.4% |
6  |
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C
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Franklin US Equity N Acc $
|
Renta Variable Internacional |
17,4600 $ (23-05) |
+21.08% |
6  |
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C
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Templeton Glbl Total Return N Acc $
|
Renta Fija Internacional |
27,6000 $ (23-05) |
+20.52% |
5  |
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C
|
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FT GLOBAL TOTAL RETURN
|
Renta Fija Internacional |
19,7600 € (23-05) |
+19.61% |
5  |
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C
|
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US SMALL-MID CAP GROWTH N ACC USD
|
Renta Variable Internacional |
13,9900 $ (23-05) |
+18.26% |
7  |
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C
|
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FT ASIAN GROWTH N USD
|
Renta Variable Internacional |
49,0800 $ (23-05) |
+17.53% |
7  |
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FT GLOBAL TOTAL RETURN N EUR
|
Renta Fija Internacional |
21,3100 € (23-05) |
+17.35% |
5  |
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C
|
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FT INDIA FUND EUR
|
Renta Variable Internacional |
20,2500 € (23-05) |
+16.31% |
7  |
 |
 |
C
|
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 |
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FT ASIAN GROWTH H1 EUR
|
Renta Variable Internacional |
33,3000 € (23-05) |
+16.23% |
7  |
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FT US OPPORTUNITIES N EUR
|
Renta Variable Internacional |
14,5500 € (23-05) |
+15.66% |
7  |
 |
 |
C
|
 |
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FT GLOBAL BOND HEDGED
|
Renta Fija Internacional |
20,9600 € (23-05) |
+15.48% |
4  |
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C
|
 |
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FT ASIAN GROWTH N EUR
|
Renta Variable Internacional |
37,9400 € (23-05) |
+14.45% |
7  |
 |
 |
C
|
 |
 |
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FT GLOB BOND
|
Renta Fija Internacional |
11,6000 $ (23-05) |
+14.06% |
4  |
 |
 |
|
 |
 |
 |
Templeton Global Bond A MDis ?-H1
|
Renta Fija Internacional |
16,3600 € (23-05) |
+13.37% |
4  |
 |
 |
|
 |
 |
 |
FT GLOBAL BOND N EUR
|
Renta Fija Internacional |
22,2500 € (23-05) |
+12.94% |
5  |
 |
 |
C
|
 |
 |
 |
FT TECHNOLOGY N EUR
|
Renta Variable Internacional |
5,3900 € (23-05) |
+7.8% |
6  |
 |
 |
C
|
 |
 |
 |
|
Gestora:
SCHRODERS INVESTMENT MANAGEMENT
|
 |
 |
Fondo
|
Sector
|
Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
|
|
 |
Contratar
|
 |
 |
 |
 |
SISF MIDDLE EAST B EUR
|
Renta Variable Internacional |
11,6500 € (23-05) |
+39.52% |
7  |
 |
 |
C
|
 |
 |
 |
SISF EUROPEAN EQUITY ALPHA B EUR
|
Renta Variable Internacional |
42,4000 € (23-05) |
+30.99% |
6  |
 |
 |
C
|
 |
 |
 |
US LARGE CAP EURO HEDGED B EUR
|
Renta Variable Internacional |
111,8500 € (23-05) |
+22.93% |
6  |
 |
 |
C
|
 |
 |
 |
Schroder ISF Swiss Sm & Mid Cp Eq B
|
Renta Variable Internacional |
23,6000 CHF (23-05) |
+21.9% |
6  |
 |
 |
C
|
 |
 |
 |
SISF BRIC B EUR
|
Renta Variable Internacional |
137,3500 € (23-05) |
+14.12% |
7  |
 |
 |
C
|
 |
 |
 |
SISF GLOBAL HIGH YIELD
|
Otros |
33,1100 € (23-05) |
+13.94% |
4  |
 |
 |
C
|
 |
 |
 |
SISF GL EMERG MKT OPPORT
|
Renta Variable Internacional |
13,0000 € (23-05) |
+12.85% |
7  |
 |
 |
C
|
 |
 |
 |
LATIN AMERICAN B
|
Renta Variable Internacional |
35,6000 € (23-05) |
+11.08% |
7  |
 |
 |
C
|
 |
 |
 |
SISF EURO CORPORATE BOND
|
Renta Fija Euro |
17,1100 € (23-05) |
+9.82% |
3  |
 |
 |
C
|
 |
 |
 |
SISF EURO BOND B ACC EUR
|
Renta Fija Euro |
17,2000 € (23-05) |
+9.62% |
3  |
 |
 |
|
 |
 |
 |
Schroder ISF Glb Corp Bond B EUR Hdg Acc
|
Renta Fija Internacional |
137,8700 € (23-05) |
+7.28% |
3  |
 |
 |
|
 |
 |
 |
Schroder ISF Euro Bond B1 Acc
|
Renta Fija Euro |
11,3300 € (23-05) |
+6.38% |
3  |
 |
 |
|
 |
 |
 |
SISF US DOLLAR B USD
|
Renta Fija Internacional |
19,3900 $ (23-05) |
+3.41% |
3  |
 |
 |
C
|
 |
 |
 |
Schroder ISF US Dollar Bond B Inc
|
Renta Fija Internacional |
12,8300 $ (23-05) |
+2.15% |
3  |
 |
 |
|
 |
 |
 |
|
Gestora:
JP MORGAN ASSET MANAGEMENT
|
 |
 |
Fondo
|
Sector
|
Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
|
|
 |
Contratar
|
 |
 |
 |
 |
JPM EUROPE DYNAMIC EUR
|
Renta Variable Euro |
15,4900 € (22-05) |
+37.69% |
6  |
 |
 |
C
|
 |
 |
 |
JPM JAPAN EQUITY FUND
|
Renta Variable Internacional |
7,7700 $ (22-05) |
+37.52% |
6  |
 |
 |
C
|
 |
 |
 |
JPM EUROPE EQUITY
|
Renta Variable Euro |
9,9700 € (22-05) |
+35.28% |
6  |
 |
 |
C
|
 |
 |
 |
JPM EUROPE SMALL CAP
|
Renta Variable Internacional |
12,1900 € (22-05) |
+34.99% |
6  |
 |
 |
C
|
 |
 |
 |
EUROPE MICRO CAP D EUR
|
Renta Variable Internacional |
12,3700 € (22-05) |
+34.16% |
6  |
 |
 |
C
|
 |
 |
 |
EUROPE STRATEGIC VALUE D
|
Renta Variable Internacional |
12,7800 € (22-05) |
+32.71% |
7  |
 |
 |
C
|
 |
 |
 |
EUROPE STRATEGIC GROWTH D
|
Renta Variable Internacional |
10,3300 € (22-05) |
+32.61% |
6  |
 |
 |
C
|
 |
 |
 |
JPM GERMANY EQUITY FUND
|
Renta Variable Euro |
3,3800 € (22-05) |
+31.52% |
7  |
 |
 |
C
|
 |
 |
 |
JPM Highbridge US STEEP D (acc)-USD
|
Otros |
14,6900 $ (22-05) |
+30.23% |
7  |
 |
 |
|
 |
 |
 |
SINGAPORE FUND D
|
Otros |
52,1700 $ (22-05) |
+29.81% |
7  |
 |
 |
C
|
 |
 |
 |
US SLCT EQUITY D USD
|
Renta Variable Internacional |
149,6200 $ (22-05) |
+28.66% |
6  |
 |
 |
C
|
 |
 |
 |
JPM US STRATEGIC VALUE D
|
Otros |
18,0600 $ (22-05) |
+27.99% |
7  |
 |
 |
C
|
 |
 |
 |
JPM GLOBAL EQUITY D HEDGED EUR
|
Otros |
6,9900 € (22-05) |
+27.79% |
6  |
 |
 |
C
|
 |
 |
 |
JPM AMERICA EQUITY FUND D
|
Renta Variable Internacional |
13,5300 $ (22-05) |
+27.28% |
6  |
 |
 |
C
|
 |
 |
 |
JPM EASTERN EUROPE EQUITY
|
Renta Variable Internacional |
33,2700 € (22-05) |
+26.74% |
7  |
 |
 |
C
|
 |
 |
 |
JPM US 130/30 D (acc)-USD
|
Renta Variable Internacional |
11,6400 $ (22-05) |
+26.66% |
 |
 |
 |
|
 |
 |
 |
US DYNAMIC D
|
Otros |
16,1500 $ (22-05) |
+26.17% |
1  |
 |
 |
C
|
 |
 |
 |
JPM GL FOCUS D EUR
|
Otros |
22,9600 € (22-05) |
+22.45% |
6  |
 |
 |
C
|
 |
 |
 |
ASIA EQUITY FUND D
|
Renta Variable Internacional |
21,6800 $ (22-05) |
+21.52% |
7  |
 |
 |
C
|
 |
 |
 |
EMERG. EUROPE MID EAST&AFRICA D USD
|
Otros |
44,4900 $ (22-05) |
+20.8% |
7  |
 |
 |
C
|
 |
 |
 |
GLOBAL CONVERTIBLE BOND D
|
Otros |
11,5900 € (22-05) |
+17.9% |
5  |
 |
 |
C
|
 |
 |
 |
CHINA FUND D
|
Otros |
32,5700 $ (22-05) |
+15.99% |
7  |
 |
 |
C
|
 |
 |
 |
GLOBAL HIGH YIELD BOND D
|
Renta Fija Euro |
184,5800 € (22-05) |
+14.95% |
5  |
 |
 |
C
|
 |
 |
 |
JPM EMERG MKT EQ EUR
|
Renta Variable Internacional |
9,9400 € (22-05) |
+14.78% |
7  |
 |
 |
C
|
 |
 |
 |
JPM GLOBAL BALANCED FUND
|
Renta Variable Mixta Internacional |
151,4800 € (22-05) |
+13.97% |
5  |
 |
 |
C
|
 |
 |
 |
JPM GLOBAL CAPITAL PRESER
|
Renta Fija Mixta Euro |
121,6000 € (22-05) |
+7.32% |
4  |
 |
 |
C
|
 |
 |
 |
JPM GL CORP BD D EUR
|
Otros |
11,4900 € (22-05) |
+7.28% |
4  |
 |
 |
|
 |
 |
 |
JPM INCOME OPPORT HEDGED
|
Fondos Globales |
132,9600 € (22-05) |
+4.95% |
4  |
 |
 |
C
|
 |
 |
 |
JPM EURO MONEY MARKET
|
Fondos monetarios |
108,9100 € (22-05) |
+0.0% |
1  |
 |
 |
C
|
 |
 |
 |
JPM EURO GOVERNM LIQUID
|
Fondos monetarios |
10.303,4300 € (23-05) |
+0.0% |
1  |
 |
 |
C
|
 |
 |
 |
EMERGING MARKETS CORPORATE BOND PORTFOLIO
|
Otros |
83,2200 € (15-05) |
-1.18% |
5  |
 |
 |
C
|
 |
 |
 |
JPM GLOBAL NATURAL RESOUR
|
Otros |
9,1300 € (22-05) |
-20.4% |
7  |
 |
 |
C
|
 |
 |
 |
|
Gestora:
PICTET FUNDS
|
 |
 |
Fondo
|
Sector
|
Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
|
|
 |
Contratar
|
 |
 |
 |
 |
PF BIOTECH HR EUR
|
Renta Variable Internacional |
314,8100 € (22-05) |
+36.87% |
6  |
 |
 |
C
|
 |
 |
 |
PF EASTERN EUROPE R EUR
|
Renta Variable Internacional |
354,9900 € (22-05) |
+27.3% |
7  |
 |
 |
C
|
 |
 |
 |
PF GBL MEGATREND SELECT
|
Otros |
135,5900 € (22-05) |
+25.49% |
6  |
 |
 |
C
|
 |
 |
 |
PF GENERICS HR EUR
|
Renta Variable Internacional |
123,8700 € (22-05) |
+25.05% |
6  |
 |
 |
C
|
 |
 |
 |
PF SECURITY R EUR
|
Renta Variable Internacional |
109,6600 € (22-05) |
+21.8% |
6  |
 |
 |
C
|
 |
 |
 |
PF WATER R EUR
|
Renta Variable Internacional |
178,6100 € (22-05) |
+21.35% |
6  |
 |
 |
C
|
 |
 |
 |
PF CLEAN ENERGY R EUR
|
Renta Variable Internacional |
53,0900 € (22-05) |
+17.66% |
7  |
 |
 |
C
|
 |
 |
 |
PICTET - EMERGING MARKETS INDEX-PICTET - EMERGING MARKETS INDEX - R USD
|
Renta Variable Internacional |
244,9000 $ (22-05) |
+16.39% |
7  |
 |
 |
C
|
 |
 |
 |
Pictet-US High Yield-HP EUR
|
Otros |
95,0500 € (22-05) |
+13.29% |
5  |
 |
 |
C
|
 |
 |
 |
PF GLOBAL EMERGING DEBT HR
|
Renta Fija Internacional |
236,0300 € (22-05) |
+10.6% |
5  |
 |
 |
C
|
 |
 |
 |
PF EMERG LOC CUR DEBT HR
|
Renta Fija Internacional |
127,6000 € (22-05) |
+10.43% |
5  |
 |
 |
C
|
 |
 |
 |
PF ASIAN LOCAL CURRENCY DEBT R EUR
|
Renta Fija Internacional |
115,9500 € (22-05) |
+4.66% |
4  |
 |
 |
C
|
 |
 |
 |
|
Gestora:
DWS INVESTMENT GMBH
|
 |
 |
Fondo
|
Sector
|
Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
|
|
 |
Contratar
|
 |
 |
 |
 |
DWS DEUTSCHLAND EUR
|
Otros |
140,9500 € (23-05) |
+36.32% |
7  |
 |
 |
C
|
 |
 |
 |
DWS AKTIEN STRATEGIE DEUT
|
Renta Variable Euro |
212,1200 € (23-05) |
+34.17% |
7  |
 |
 |
C
|
 |
 |
 |
 |
|
Gestora:
BLACKROCK
|
 |
 |
Fondo
|
Sector
|
Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
|
|
 |
Contratar
|
 |
 |
 |
 |
BGF WORLD HEALTHSCIENCE
|
Renta Variable Internacional |
16,8900 € (23-05) |
+32.78% |
6  |
 |
 |
C
|
 |
 |
 |
BGF US BASIC VALUE E2 EUR
|
Renta Variable Internacional |
44,0700 € (23-05) |
+27.33% |
6  |
 |
 |
C
|
 |
 |
 |
EUROPEAN GROWTH FUND-E2 EUR
|
Renta Variable Internacional |
25,3800 € (23-05) |
+26.33% |
6  |
 |
 |
C
|
 |
 |
 |
BGF GLOBAL SMALL CAP E EUR
|
Renta Variable Internacional |
53,6200 € (23-05) |
+22.34% |
6  |
 |
 |
C
|
 |
 |
 |
BGF US Small & MidCap Opps E2 EUR
|
Renta Variable Internacional |
102,0300 € (23-05) |
+19.56% |
7  |
 |
 |
C
|
 |
 |
 |
BGF NEW ENERGY E EUR
|
Renta Variable Internacional |
5,1700 € (23-05) |
+18.58% |
7  |
 |
 |
C
|
 |
 |
 |
BGF GLOBAL ALLOCATION
|
Renta Variable Mixta Internacional |
31,7700 € (23-05) |
+15.15% |
5  |
 |
 |
C
|
 |
 |
 |
BGF EMERGING MARKETS
|
Renta Variable Internacional |
21,9700 € (23-05) |
+15.09% |
7  |
 |
 |
C
|
 |
 |
 |
BGF USD High Yield Bond E2 USD
|
Renta Fija Internacional |
25,5800 $ (23-05) |
+14.35% |
5  |
 |
 |
C
|
 |
 |
 |
BGF GLOBAL ALLOCATION EU
|
Renta Variable Mixta Internacional |
34,3100 € (23-05) |
+13.61% |
5  |
 |
 |
C
|
 |
 |
 |
BGF LATIN AMERICAN E EUR
|
Renta Variable Internacional |
59,0300 € (23-05) |
+10.46% |
7  |
 |
 |
C
|
 |
 |
 |
BGF WORLD ENERGY E EUR
|
Renta Variable Internacional |
16,9300 € (23-05) |
+8.73% |
7  |
 |
 |
C
|
 |
 |
 |
BGF EURO SHORT DURATION E2
|
Renta Fija Euro |
14,2800 € (23-05) |
+4.16% |
2  |
 |
 |
C
|
 |
 |
 |
BGF US D SHORT DURAT BOND
|
Renta Fija Internacional |
11,9000 $ (23-05) |
+2.94% |
3  |
 |
 |
C
|
 |
 |
 |
BSF European Abs Ret Strategies E2 EUR
|
Otros |
118,8900 € (23-05) |
+1.74% |
 |
 |
 |
|
 |
 |
 |
BGF WORLD MINING E EUR
|
Renta Variable Internacional |
4,2100 € (23-05) |
-15.8% |
7  |
 |
 |
C
|
 |
 |
 |
BGF WORLD GOLD HEDGED E EUR
|
Renta Variable Internacional |
5,4900 € (23-05) |
-29.71% |
7  |
 |
 |
C
|
 |
 |
 |
|
Gestora:
ALLIANZ GLOBAL INVESTORS LUXEMBUOURG S.A
|
 |
 |
Fondo
|
Sector
|
Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
|
|
 |
Contratar
|
 |
 |
 |
 |
ALLIANZ RCM EUROPE EQUI
|
Renta Variable Internacional |
164,6600 € (23-05) |
+26.93% |
6  |
 |
 |
C
|
 |
 |
|
Gestora:
CARMIGNAC GESTION (FRANCE)
|
 |
 |
Fondo
|
Sector
|
Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
|
|
 |
Contratar
|
 |
 |
 |
 |
CARMIGNAC INVESTISSEMENT
|
Renta Variable Internacional |
150,2200 € (22-05) |
+19.57% |
6  |
 |
 |
C
|
 |
 |
 |
CARMIGNAC EMERGENTS
|
Renta Variable Internacional |
774,6200 € (22-05) |
+13.45% |
6  |
 |
 |
C
|
 |
 |
 |
CARMIGNAC PATRIMOINE
|
Renta Variable Mixta Internacional |
150,4600 € (22-05) |
+9.03% |
4  |
 |
 |
C
|
 |
 |
 |
CARMIGNAC SECURITE
|
Renta Fija Euro |
1.657,1200 € (22-05) |
+4.63% |
3  |
 |
 |
C
|
 |
 |
|
Gestora:
M&G INVESTMENTS
|
 |
 |
Fondo
|
Sector
|
Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
|
|
 |
Contratar
|
 |
 |
 |
 |
M&G OPTIMAL INCOM FUND EUR
|
Renta Fija Internacional |
17,3939 € (23-05) |
+14.75% |
 |
 |
 |
C
|
 |
 |
(*) Riesgo incluido en DFI. Este es un dato indicativo del riesgo del fondo y está calculado en base a datos históricos.
 |
1
1 sobre 7 |
2
2 sobre 7 |
3
3 sobre 7 |
4
4 sobre 7 |
5
5 sobre 7 |
6
6 sobre 7 |
7
7 sobre 7 |
|
 |
| El anuncio de rentabilidades pasadas no es promesa o garantía de rentabilidades futuras. |
|
|