Screener de fondos
Buscador y comparador de fondos de inversión
Filtrar fondos
Patrimonio en miles de euros.
Fondo | ISIN | Partícipes | Patrimonio | 1 año | 2 años | 3 años | 5 años |
---|---|---|---|---|---|---|---|
CAIXABANK GESTION 50, FI | ES0110058015 | 457 | 21.373€ | 3,30% | 24,94% | 13,41% | 12,16% |
VALENTUM, FI | ES0182769002 | 2.787 | 129.910€ | 17,26% | 24,04% | 14,87% | - |
SANTANDER SMALL CAPS ESPAÑA, FI | ES0175224031 | 27.114 | 813.327€ | 12,00% | 23,94% | 11,05% | 16,58% |
BANKIA INDICE EUROSTOXX, FI | ES0138661030 | 30 | 1.292€ | 24,92% | 23,70% | 9,52% | 12,41% |
RURAL TECNOLOGICO RENTA VARIABLE, FI | ES0175738030 | 318 | 689€ | 18,05% | 22,43% | 12,74% | 17,58% |
ALPHA PLUS IBÉRICO ACCIONES, FI | ES0108642002 | 40 | 80.494€ | 7,43% | 22,36% | 8,74% | - |
BONA-RENDA, FI | ES0115091037 | 1.069 | 24.378€ | 14,61% | 22,29% | 11,01% | 11,25% |
KUTXABANK BOLSA NUEVA ECONOMIA, FI | ES0114222039 | 10 | 28.534€ | 20,99% | 22,16% | 14,07% | 16,93% |
ALGAR GLOBAL FUND, FI | ES0140963002 | 2.152 | 51.724€ | 8,08% | 21,91% | 17,00% | - |
ALPHA PLUS IBÉRICO ACCIONES, FI | ES0108642010 | 21 | 224€ | 6,23% | 21,29% | - | - |
GESTION BOUTIQUE, FI | ES0116831001 | 349 | 11.450€ | 2,66% | 21,22% | 10,23% | - |
MAGALLANES IBERIAN EQUITY FI | ES0159201005 | 243 | 41.323€ | 10,34% | 20,91% | 14,99% | - |
CAIXABANK GESTION 25, FI | ES0113422002 | 1.135 | 41.181€ | -1,54% | 20,24% | 12,24% | 9,36% |
MAGALLANES IBERIAN EQUITY FI | ES0159201021 | 924 | 97.247€ | 9,51% | 20,00% | 14,14% | - |
SABADELL ESPAÑA DIVIDENDO, FI | ES0111092021 | 1 | 1.445€ | 3,87% | 19,54% | 4,14% | - |
FON FINECO INVERSION, FI | ES0137396000 | 1.953 | 216.058€ | 4,47% | 19,53% | 6,76% | - |
MAGALLANES IBERIAN EQUITY FI | ES0159201013 | 2.636 | 63.656€ | 8,96% | 19,40% | 13,56% | - |
RENTA 4 LATINOAMERICA, FI | ES0173320039 | 1.460 | 8.616€ | 5,69% | 19,34% | 6,31% | 1,69% |
TRUE VALUE, FI | ES0180792006 | 9.193 | 144.382€ | 7,37% | 19,11% | 12,68% | - |
SABADELL ESPAÑA DIVIDENDO, FI | ES0111092005 | 15.154 | 66.680€ | 3,57% | 18,86% | 3,45% | - |
SABADELL ESPAÑA DIVIDENDO, FI | ES0111092013 | 316 | 46.967€ | 3,24% | 18,82% | 3,51% | - |
BBVA BOLSA INDICE JAPON (CUBIERTO), FI | ES0110088038 | 1.392 | 22.911€ | 10,62% | 18,77% | 2,40% | 9,35% |
BANKINTER ÍNDICE JAPÓN, FI | ES0114104039 | 2.646 | 24.131€ | 11,34% | 18,71% | 3,39% | 9,36% |
ESPAÑA FLEXIBLE, FI | ES0171002035 | 145 | 11.833€ | 3,49% | 18,59% | 17,46% | 9,96% |
BBVA BOLSA CHINA, FI | ES0113818001 | 2.901 | 40.419€ | 15,82% | 18,37% | 1,41% | 9,55% |
SABADELL ESPAÑA DIVIDENDO, FI | ES0111092039 | 4.782 | 76.864€ | 2,73% | 18,23% | 3,00% | 9,48% |
IBERIAN VALUE, FI | ES0147229001 | 107 | 5.093€ | 5,27% | 18,06% | 8,28% | - |
METAVALOR INTERNACIONAL, FI | ES0162757035 | 2.003 | 36.052€ | 8,83% | 17,81% | 10,81% | 15,43% |
KUTXABANK BOLSA JAPON, FI | ES0114232038 | 59.486 | 220.602€ | 10,20% | 17,64% | 2,34% | 8,02% |
MAGALLANES EUROPEAN EQUITY FI | ES0159259003 | 351 | 127.887€ | 4,39% | 17,64% | 10,70% | - |
MUTUAFONDO TECNOLOGICO, FI | ES0141222036 | 919 | 20.293€ | 15,99% | 17,60% | 11,58% | 15,21% |
MUTUAFONDO TECNOLOGICO, FI | ES0141222002 | 95 | 884€ | 16,32% | 17,53% | 11,21% | 15,27% |
AZVALOR IBERIA, FI | ES0112616000 | 2.440 | 105.064€ | 3,47% | 17,51% | - | - |
CAJA INGENIEROS IBERIAN EQUITY, FI | ES0122708037 | 1.595 | 24.612€ | 8,59% | 17,50% | 5,43% | 10,61% |
BBVA BOLSA TECNOLOGIA Y TELECOMUNICACIONES, FI | ES0147711032 | 31.131 | 305.034€ | 16,78% | 17,19% | 11,74% | 15,67% |
RENTA 4 BOLSA, FI | ES0173394034 | 159 | 7.116€ | 7,17% | 17,12% | 8,43% | 13,07% |
SANTANDER ACCIONES ESPAÑOLAS, FI | ES0138823028 | 21.532 | 252.703€ | 1,77% | 17,11% | - | - |
GESCONSULT RENTA VARIABLE, FI | ES0137381036 | 1.197 | 65.369€ | 15,00% | 16,92% | 6,23% | 13,12% |
MAGALLANES EUROPEAN EQUITY FI | ES0159259029 | 2.155 | 292.809€ | 3,61% | 16,76% | 9,87% | - |
BESTINVER BOLSA, FI | ES0147622031 | 4.202 | 259.126€ | 4,31% | 16,69% | 7,58% | 10,70% |
GVCGAESCO SMALL CAPS, FI | ES0113319018 | 33 | 570€ | - | 16,58% | 9,40% | 15,01% |
MUTUAFONDO ESPAÑA, FI | ES0165144025 | 1 | 39.890€ | 5,93% | 16,37% | 3,67% | - |
SABADELL ESTADOS UNIDOS BOLSA, FI | ES0138983020 | 1 | 5.171€ | 12,59% | 16,34% | 9,57% | - |
MAGALLANES EUROPEAN EQUITY FI | ES0159259011 | 5.444 | 159.745€ | 3,09% | 16,18% | 9,32% | - |
AVIVA ESPABOLSA, FI | ES0170147039 | 798 | 227.178€ | 5,42% | 15,86% | - | - |
AVIVA ESPABOLSA, FI | ES0170147021 | 97 | 3.321€ | 5,42% | 15,86% | - | - |
SANTANDER ACCIONES ESPAÑOLAS, FI | ES0138823002 | 1.812 | 336.195€ | 0,58% | 15,74% | 4,89% | 10,79% |
DWS ACCIONES ESPAÑOLAS, FI | ES0114085030 | 2.142 | 55.301€ | 3,36% | 15,74% | 4,31% | 11,97% |
SABADELL ESTADOS UNIDOS BOLSA, FI | ES0138983012 | 130 | 23.014€ | 11,97% | 15,70% | 8,97% | - |
SABADELL ESTADOS UNIDOS BOLSA, FI | ES0138983053 | 2 | 1.161€ | 11,97% | 15,70% | - | - |
SABADELL ESTADOS UNIDOS BOLSA, FI | ES0138983004 | 15.176 | 187.823€ | 12,29% | 15,69% | 8,85% | - |
ADRIZA GLOBAL, FI | ES0182798001 | 12 | 7.805€ | 3,21% | 15,67% | 3,46% | - |
INTERVALOR ACCIONES INTERNACIONAL, FI | ES0155715032 | 116 | 4.944€ | -0,45% | 15,64% | 3,06% | 8,60% |
INTERMONEY VARIABLE EURO, FI | ES0155142039 | 6 | 124€ | 0,28% | 15,59% | 6,60% | 11,08% |
MUTUAFONDO ESPAÑA, FI | ES0165144009 | 1.565 | 82.365€ | 5,44% | 15,51% | 3,46% | 10,99% |
PBP BOLSA ESPAÑA, FI | ES0115063036 | 437 | 10.778€ | 2,12% | 15,50% | 2,78% | 8,61% |
TREA CAJAMAR RENTA VARIABLE ESPAÑA, FI | ES0180666002 | 2.375 | 44.478€ | 2,57% | 15,50% | - | - |
BBVA BOLSA PLUS, FI | ES0142451030 | 1.023 | 51.590€ | 0,40% | 15,47% | -0,23% | 7,30% |
BBVA BOLSA EUROPA FINANZAS, FI | ES0114277033 | 2.783 | 20.506€ | -8,84% | 15,38% | -7,70% | 1,45% |
SABADELL ESTADOS UNIDOS BOLSA, FI | ES0138983046 | 39 | 1.249€ | 11,63% | 15,35% | - | - |
SANTANDER ACCIONES ESPAÑOLAS, FI | ES0138823010 | 9.894 | 384.856€ | 0,23% | 15,34% | 4,53% | 10,41% |
MEDIOLANUM ESPAÑA R.V., FI | ES0136466010 | 565 | 6.726€ | 1,29% | 15,28% | 0,57% | - |
MUTUAFONDO ESPAÑA, FI | ES0165144017 | 461 | 8.004€ | 4,88% | 15,21% | 2,64% | 10,80% |
GVCGAESCO SMALL CAPS, FI | ES0113319034 | 2.187 | 41.635€ | 11,34% | 15,07% | 7,92% | 13,44% |
CAIXABANK BOLSA SELECCION EMERGENTES, FI | ES0138328010 | 6 | 3.171€ | 6,74% | 15,05% | 3,19% | 4,65% |
SABADELL ESTADOS UNIDOS BOLSA, FI | ES0138983038 | 3.538 | 60.358€ | 11,30% | 15,01% | 8,32% | 13,50% |
BANKINTER SECTOR ENERGIA, FI | ES0114806039 | 157 | 508€ | 6,97% | 14,93% | 5,64% | 6,20% |
SANTANDER ACCIONES ESPAÑOLAS, FI | ES0138823036 | 16.701 | 245.522€ | -0,12% | 14,93% | 4,17% | 10,02% |
BANKINTER BOLSA ESPAÑA, FI | ES0125621039 | 7.470 | 23.973€ | 0,58% | 14,84% | 1,19% | 9,90% |
CAIXABANK BOLSA SELECCION ASIA, FI | ES0138137015 | 7 | 2.171€ | 8,11% | 14,81% | 5,66% | 9,27% |
METAVALOR, FI | ES0162735031 | 5.146 | 78.758€ | 5,57% | 14,80% | 9,51% | 16,89% |
ALTAIR EUROPEAN OPPORTUNITIES, FI | ES0108637002 | 321 | 10.183€ | 7,78% | 14,78% | - | - |
EDM-INVERSION, FI | ES0168674002 | 9 | 293.796€ | 2,45% | 14,73% | 6,89% | - |
IBERCAJA TECNOLOGICO, FI | ES0147644001 | 25.771 | 196.405€ | 2,62% | 14,71% | 8,06% | 15,49% |
NB GARANTIZADO EUROPA 100, FI | ES0158773038 | 95 | 3.309€ | 16,09% | 14,60% | - | - |
IBERCAJA TECNOLOGICO, FI | ES0147644035 | 3.781 | 92.801€ | 2,38% | 14,58% | 7,60% | 14,39% |
OKAVANGO DELTA, FI | ES0167211038 | 252 | 28.084€ | 4,73% | 14,56% | -0,10% | 12,27% |
OKAVANGO DELTA, FI | ES0167211004 | 1.946 | 54.192€ | 4,74% | 14,56% | -0,09% | 12,07% |
AVIVA ESPABOLSA, FI | ES0170147005 | 249 | 4.101€ | 4,22% | 14,54% | 5,39% | 11,39% |
LABORAL KUTXA BOLSA JAPON, FI | ES0115396030 | 319 | 2.855€ | 5,89% | 14,53% | 1,82% | 8,01% |
MEDIOLANUM ESPAÑA R.V., FI | ES0136466002 | 899 | 8.541€ | 0,53% | 14,42% | -0,49% | 7,33% |
ACACIA REINVERPLUS EUROPA FI | ES0157934003 | 171 | 15.289€ | 6,38% | 14,37% | 3,22% | 9,60% |
CAIXABANK BOLSA SMALL CAPS EURO, FI | ES0106193016 | 12 | 4.543€ | 6,56% | 14,19% | 5,27% | 12,26% |
IBERCAJA PETROQUIMICO, FI | ES0130706007 | 3.920 | 20.179€ | 19,78% | 14,17% | 6,74% | 6,80% |
GVC GAESCO 300 PLACES WORLDWIDE, FI | ES0157638018 | 113 | 9.250€ | - | 14,17% | 7,51% | - |
CAIXABANK BOLSA SELECCION EMERGENTES, FI | ES0138328002 | 183 | 13.992€ | 5,94% | 14,15% | 2,38% | 3,83% |
GVCGAESCO MULTINACIONAL, FI | ES0140634033 | 788 | 14.986€ | -2,10% | 14,15% | 0,28% | 9,26% |
MEDIOLANUM SMALL & MID CAPS ESPAÑA, FI | ES0136453026 | 1.119 | 15.555€ | 5,60% | 14,12% | 3,31% | - |
IBERCAJA JAPON, FI | ES0147129003 | 2 | 2€ | 11,40% | 14,07% | 5,15% | 9,89% |
CAIXABANK BOLSA SELECCION ASIA, FI | ES0138137007 | 92 | 7.598€ | 7,31% | 13,93% | 4,85% | 8,38% |
DEEP VALUE INTERNATIONAL, FI | ES0126082009 | 110 | 4.689€ | 5,85% | 13,93% | 4,81% | - |
IBERCAJA JAPON, FI | ES0147129037 | 1.059 | 12.836€ | 11,14% | 13,93% | 5,06% | 9,85% |
MEDIOLANUM ESPAÑA R.V., FI | ES0136466036 | 2.045 | 15.866€ | 0,08% | 13,90% | -0,93% | 6,86% |
IBERCAJA PETROQUIMICO, FI | ES0130706031 | 1.361 | 56.320€ | 19,21% | 13,88% | 6,58% | 6,70% |
AVIVA EUROBOLSA, FI | ES0170141032 | 260 | 228.347€ | 1,91% | 13,79% | 7,23% | 10,90% |
AVIVA EUROBOLSA, FI | ES0170141024 | 50 | 7.107€ | 1,91% | 13,79% | - | - |
NB VALOR EUROPA, FI | ES0114917034 | 713 | 6.638€ | 4,18% | 13,72% | 0,57% | 5,20% |
CAIXABANK BOLSA SMALL CAPS EURO, FI | ES0106193008 | 439 | 32.508€ | 6,11% | 13,69% | 4,80% | 11,76% |
INTERVALOR FONDOS, FI | ES0155817036 | 119 | 4.595€ | 2,90% | 13,62% | 3,47% | 5,18% |
LAGUNA NEGRA, FI | ES0157633001 | 107 | 1.171€ | 1,50% | 13,61% | -2,16% | -2,61% |
IBERCAJA FINANCIERO, FI | ES0147104006 | 4 | 80€ | 0,03% | 13,60% | -1,93% | 6,67% |
SABADELL ASIA EMERGENTE BOLSA, FI | ES0175083023 | 0 | 0€ | 5,28% | 13,48% | 4,40% | - |
IBERCAJA FINANCIERO, FI | ES0147104030 | 1.526 | 26.801€ | -0,21% | 13,46% | -2,01% | 5,92% |
EDM RENTA VARIABLE INTERNACIONAL, FI | ES0128271006 | 176 | 17.509€ | 7,91% | 13,38% | 5,24% | 8,59% |
WELZIA BANKS, FI | ES0184592030 | 156 | 11.429€ | -0,43% | 13,34% | -2,02% | 5,64% |
CAIXABANK BOLSA SELECCION EMERGENTES, FI | ES0138328036 | 3.476 | 30.011€ | 5,17% | 13,32% | 1,62% | 3,06% |
EDM-INVERSION, FI | ES0168674036 | 2.674 | 194.284€ | 1,18% | 13,31% | 5,57% | - |
MEDIOLANUM SMALL & MID CAPS ESPAÑA, FI | ES0136453000 | 1.040 | 14.084€ | 4,82% | 13,27% | 2,59% | - |
CAMINOS BOLSA OPORTUNIDADES, FI | ES0138253036 | 98 | 2.007€ | 2,16% | 13,15% | 3,53% | 8,37% |
CS EUROPE SMALL & MID CAP, FI | ES0142538034 | 105 | 17.183€ | 1,31% | 13,15% | 4,67% | 7,86% |
CAIXABANK BOLSA SELECCION ASIA, FI | ES0138137031 | 1.959 | 14.117€ | 6,55% | 13,11% | 4,08% | 7,58% |
AVANTAGE FUND, FI | ES0112231008 | 799 | 17.131€ | 9,16% | 12,97% | 7,76% | - |
CAIXABANK BOLSA SMALL CAPS EURO, FI | ES0106193032 | 3.725 | 34.585€ | 5,35% | 12,86% | 4,03% | 10,94% |
SABADELL ASIA EMERGENTE BOLSA, FI | ES0175083007 | 15.125 | 66.936€ | 5,00% | 12,86% | 3,72% | - |
SABADELL ASIA EMERGENTE BOLSA, FI | ES0175083015 | 17 | 1.949€ | 4,70% | 12,86% | 3,82% | - |
MUTUAFONDO VALORES, FI | ES0165241037 | 1.532 | 52.216€ | 2,63% | 12,86% | 4,15% | 11,10% |
RENTA 4 MULTIGESTION, FI | ES0173311038 | 115 | 666€ | -2,77% | 12,81% | 0,02% | 4,29% |
PREMIUM JB BOLSA INTERNACIONAL, FI | ES0170616033 | 163 | 12.650€ | 13,24% | 12,80% | 10,69% | 6,78% |
FONVALCEM, FI | ES0138930039 | 85 | 6.004€ | 1,40% | 12,77% | 4,91% | 7,90% |
MEDIOLANUM SMALL & MID CAPS ESPAÑA, FI | ES0136453018 | 2.572 | 21.423€ | 4,34% | 12,75% | 2,13% | - |
SANTANDER ACCIONES EURO, FI | ES0114063003 | 33 | 24.234€ | 0,86% | 12,73% | - | - |
IBERCAJA EMERGENTES, FI | ES0102562008 | 6.341 | 46.240€ | 5,49% | 12,72% | 2,16% | 3,16% |
IBERCAJA EMERGENTES, FI | ES0102562032 | 1.678 | 17.922€ | 5,32% | 12,61% | 2,05% | 3,11% |
AVIVA EUROBOLSA, FI | ES0170141008 | 68 | 1.391€ | 0,84% | 12,60% | - | - |
BESTINFOND, FI | ES0114673033 | 21.139 | 1.744.424€ | 4,58% | 12,60% | 7,40% | 11,08% |
SEGURFONDO S&P 100 CUBIERTO, FI | ES0175404005 | 173 | 247.929€ | 10,55% | 12,53% | 9,13% | - |
GVC GAESCO 300 PLACES WORLDWIDE, FI | ES0157638000 | 1.560 | 28.478€ | 10,59% | 12,52% | 5,95% | - |
CAIXABANK BOLSA GESTION EURO, FI | ES0170738019 | 22 | 7.343€ | 2,82% | 12,51% | 2,72% | 11,58% |
FONDGUISSONA GLOBAL BOLSA, FI | ES0115223036 | 786 | 55.524€ | 0,56% | 12,46% | 2,11% | 7,50% |
BBVA BOLSA, FI | ES0138861036 | 11.087 | 153.427€ | -3,69% | 12,44% | -2,98% | 4,73% |
RADAR INVERSIÓN, FI | ES0172603005 | 390 | 59.505€ | -0,05% | 12,43% | 3,98% | 9,24% |
CAIXABANK SELECCION TENDENCIAS, FI | ES0164853014 | 8.806 | 864.488€ | 8,76% | 12,41% | 5,18% | 10,43% |
EUROVALOR ASIA, FI | ES0133539033 | 1.051 | 18.223€ | 4,57% | 12,41% | 3,69% | 7,15% |
ACACIA PREMIUM FI | ES0105263000 | 134 | 9.175€ | 6,31% | 12,40% | 4,04% | 12,90% |
MUTUAFONDO VALORES, FI | ES0165241003 | 46 | 407€ | 1,82% | 12,37% | 3,34% | 10,87% |
CAIXABANK BOLSA INDICE EURO, FI | ES0138792009 | 2 | 222.527€ | 1,83% | 12,35% | 3,01% | - |
SANTANDER INDICE EURO, FI | ES0168651000 | 6 | 290.982€ | 1,94% | 12,29% | 2,96% | 8,76% |
FONVALCEM, FI | ES0138930005 | 63 | 703€ | 0,89% | 12,20% | 4,38% | - |
SABADELL ASIA EMERGENTE BOLSA, FI | ES0175083031 | 1.033 | 9.196€ | 4,07% | 12,18% | 3,20% | 6,44% |
CS EUROPE SMALL & MID CAP, FI | ES0142538000 | 110 | 4.496€ | 0,55% | 12,18% | 3,71% | 6,82% |
OHANA EUROPE, FI | ES0167198003 | 324 | 7.296€ | 3,83% | 12,17% | 5,84% | - |
GVCGAESCO BOLSALIDER, FI | ES0115068001 | 6 | 1.221€ | -5,81% | 12,13% | -0,97% | - |
CAJA INGENIEROS BOLSA EURO PLUS, FI | ES0115443030 | 2.079 | 28.191€ | 2,22% | 12,06% | 4,01% | 9,24% |
RENTA 4 MULTIGESTION, FI | ES0173311079 | 1.236 | 19.610€ | 14,39% | 12,03% | 8,64% | - |
CAIXABANK BOLSA GESTION EURO, FI | ES0170738001 | 384 | 27.887€ | 2,38% | 12,02% | 2,27% | 11,09% |
BANKINTER ÍNDICE AMÉRICA, FI | ES0114763032 | 14.142 | 105.102€ | 8,52% | 11,99% | 8,88% | 11,33% |
CAIXABANK BOLSA SELECCION JAPON, FI | ES0122056015 | 3 | 720€ | 6,20% | 11,88% | 3,81% | 9,87% |
BBVA BOLSA EURO, FI | ES0110101039 | 7.180 | 95.560€ | 1,90% | 11,87% | 2,04% | 6,17% |
RADAR INVERSIÓN, FI | ES0172603013 | 110 | 5.103€ | -0,55% | 11,87% | - | - |
BESTINVER INTERNACIONAL, FI | ES0114638036 | 12.720 | 1.443.187€ | 4,70% | 11,86% | 7,34% | 11,09% |
BBVA BOLSA INDICE USA (CUBIERTO), FI | ES0113925038 | 1.474 | 37.731€ | 9,66% | 11,74% | 8,37% | 10,37% |
FON FINECO VALOR, FI | ES0176236034 | 736 | 44.249€ | -0,93% | 11,71% | 0,47% | 6,18% |
IMANTIA IBEX 35, FI | ES0149051007 | 384 | 7.149€ | -5,00% | 11,70% | - | - |
CAIXABANK SELECCION TENDENCIAS, FI | ES0164853006 | 37.252 | 517.147€ | 8,02% | 11,60% | 4,42% | 9,62% |
ARGOS CAPITAL, FI | ES0110194000 | 285 | 2.789€ | 10,39% | 11,58% | 5,31% | 6,54% |
EUROVALOR ESTADOS UNIDOS, FI | ES0133525032 | 2.642 | 65.080€ | 10,43% | 11,54% | 6,82% | 11,70% |
IBERCAJA SECTOR INMOBILIARIO, FI | ES0147196002 | 1.187 | 2.715€ | 7,14% | 11,53% | 5,63% | 12,03% |
SANTANDER SELECCION RV ASIA, FI | ES0107764039 | 641 | 20.105€ | 5,64% | 11,51% | 2,94% | 6,60% |
ING DIRECT FONDO NARANJA STANDARD & POOR´S 500, FI | ES0152769032 | 27.669 | 357.706€ | 10,09% | 11,50% | 8,49% | 14,12% |
ING DIRECT FONDO NARANJA IBEX 35, FI | ES0152741031 | 28.267 | 324.622€ | -5,45% | 11,47% | -0,86% | 7,73% |
UNIFOND RENTA VARIABLE ESPAÑA, FI | ES0138628039 | 3.062 | 52.543€ | -4,73% | 11,41% | -2,25% | 6,07% |
SABADELL JAPON BOLSA, FI | ES0174402026 | 0 | 0€ | 6,87% | 11,41% | 4,06% | - |
BNP PARIBAS BOLSA ESPAÑOLA, FI | ES0125471039 | 478 | 38.434€ | -3,66% | 11,33% | 0,99% | 7,52% |
BBVA BOLSA INDICE, FI | ES0110182039 | 5.059 | 139.983€ | -5,60% | 11,32% | -1,07% | 7,50% |
SANTANDER INDICE EURO, FI | ES0168651018 | 211 | 33.931€ | 1,06% | 11,31% | 2,08% | - |
IBERCAJA BOLSA USA, FI | ES0147034005 | 2 | 24€ | -2,94% | 11,26% | 4,84% | 11,56% |
BMN BOLSA USA, FI | ES0138499035 | 440 | 6.555€ | 7,81% | 11,25% | 10,61% | 14,63% |
GVCGAESCO T.F.T., FI | ES0138984036 | 1.529 | 34.284€ | 1,89% | 11,24% | 3,56% | 10,94% |
CAIXABANK BOLSA GESTION EURO, FI | ES0170738035 | 3.532 | 42.928€ | 1,66% | 11,20% | 1,52% | 10,28% |
ING DIRECT FONDO NARANJA EURO STOXX 50, FI | ES0152771038 | 18.198 | 195.618€ | 0,70% | 11,15% | 1,99% | 7,79% |
RENTA 4 VALOR EUROPA, FI | ES0173322001 | 5.502 | 96.188€ | 6,08% | 11,14% | 6,69% | 9,99% |
IBERCAJA SECTOR INMOBILIARIO, FI | ES0147196036 | 1.523 | 63.385€ | 6,40% | 11,12% | 5,37% | 11,64% |
CAIXABANK BOLSA USA DIVISA CUBIERTA, FI | ES0137625002 | 992 | 17.910€ | 8,82% | 11,11% | 6,79% | - |
CATALANA OCCIDENTE BOLSA ESPAÑOLA, FI | ES0116901036 | 2.019 | 34.350€ | -2,90% | 11,11% | 1,66% | 8,63% |
PREMIUM JB BOLSA EURO, FI | ES0170643037 | 144 | 11.196€ | 6,44% | 11,10% | 10,23% | 6,13% |
SANTANDER INDICE EURO, FI | ES0168651034 | 372 | 5.874€ | 0,86% | 11,09% | 1,87% | 7,62% |
LABORAL KUTXA BOLSA USA, FI | ES0115304034 | 430 | 5.362€ | 9,40% | 11,08% | 6,44% | 9,12% |
RURAL RENTA VARIABLE ESPAÑA, FI | ES0175734039 | 6.652 | 73.730€ | -5,92% | 11,05% | -2,55% | 6,35% |
GVC GAESCO EUROPA, FI | ES0140643034 | 1.623 | 32.085€ | -0,66% | 11,05% | -3,13% | 5,98% |
CAIXABANK BOLSA SELECCION JAPON, FI | ES0122056007 | 64 | 4.042€ | 5,40% | 11,01% | 3,00% | 9,01% |
BBVA BOLSA INDICE EURO, FI | ES0110098037 | 2.954 | 100.871€ | 0,53% | 10,93% | 1,77% | 7,51% |
SEGURFONDO RENTA VARIABLE, FI | ES0175445032 | 160 | 10.368€ | -2,50% | 10,92% | -1,81% | 6,18% |
ABACO GLOBAL VALUE OPPORTUNITIES FI | ES0140074016 | 29 | 12.470€ | -3,00% | 10,91% | 4,61% | - |
BANKINTER DIVIDENDO EUROPA, FI | ES0114802038 | 8.277 | 68.963€ | -1,59% | 10,90% | 3,14% | 10,92% |
IMANTIA RV IBERIA, FI | ES0107472039 | 4.352 | 27.892€ | 2,38% | 10,89% | -2,11% | 5,48% |
CAIXABANK BOLSA GESTION EUROPA, FI | ES0138068012 | 23 | 7.041€ | 7,02% | 10,86% | 1,12% | 7,44% |
SABADELL JAPON BOLSA, FI | ES0174402000 | 15.191 | 56.159€ | 6,59% | 10,80% | 3,38% | - |
SABADELL JAPON BOLSA, FI | ES0174402018 | 5 | 684€ | 6,29% | 10,80% | 3,49% | - |
RURAL RENTA VARIABLE INTERNACIONAL, FI | ES0175736034 | 1.975 | 7.222€ | 3,89% | 10,72% | 2,47% | 8,61% |
MULTIFONDO AMERICA, FI | ES0165092034 | 1.448 | 81.202€ | 8,18% | 10,72% | 7,43% | 10,49% |
BESTINVER GRANDES COMPAÑÍAS, FI | ES0114561006 | 847 | 55.047€ | 5,77% | 10,70% | 5,67% | 9,48% |
SANTANDER ACCIONES EURO, FI | ES0114063037 | 14.508 | 441.849€ | -1,01% | 10,63% | 2,27% | 8,41% |
BBVA BOLSA USA (CUBIERTO), FI | ES0134599036 | 6.540 | 116.968€ | 8,41% | 10,54% | 5,49% | 8,44% |
GVCGAESCO BOLSALIDER, FI | ES0115068035 | 881 | 13.718€ | -7,27% | 10,54% | -2,42% | 6,44% |
BBVA BOLSA JAPON, FI | ES0147634036 | 2.642 | 18.898€ | 6,77% | 10,53% | 3,43% | 8,53% |
BANCO MADRID RENTA FIJA, FI | ES0170602033 | 3.424 | 304.932€ | 3,54% | 10,52% | 13,79% | 8,33% |
SANTANDER SELECCION RV NORTEAMERICA, FI | ES0121761037 | 13.212 | 294.038€ | 9,17% | 10,51% | 6,63% | 12,15% |
PBP GRAN SELECCION, FI | ES0168831032 | 201 | 9.600€ | 3,70% | 10,51% | 6,63% | 5,98% |
DP FONDOS RV GLOBAL FI | ES0170864039 | 320 | 18.325€ | 4,53% | 10,48% | 3,15% | 8,62% |
KUTXABANK BOLSA EEUU, FI | ES0113191037 | 59.483 | 618.755€ | 6,81% | 10,47% | 6,96% | 8,17% |
EUROVALOR BOLSA EUROPEA, FI | ES0133661035 | 2.740 | 46.285€ | 1,77% | 10,47% | 0,73% | 6,79% |
BBVA BOLSA USA, FI | ES0110122035 | 7.060 | 191.050€ | 9,33% | 10,45% | 5,90% | 12,10% |
KUTXABANK BOLSA, FI | ES0114388038 | 3.630 | 74.802€ | -6,97% | 10,44% | -1,12% | 6,72% |
CAIXABANK BOLSA GESTION EUROPA, FI | ES0138068004 | 600 | 43.559€ | 6,54% | 10,36% | 0,67% | 6,96% |
CAJA INGENIEROS GLOBAL, FI | ES0114988035 | 3.514 | 71.733€ | 4,94% | 10,36% | 4,48% | 9,89% |
LIBERBANK RENTA VARIABLE EURO, FI | ES0111011039 | 1.100 | 15.510€ | 2,13% | 10,34% | 1,45% | 6,76% |
DB TALENTO BOLSA GLOBAL, FI | ES0125756009 | 232 | 5.586€ | 5,76% | 10,33% | 4,67% | - |
EVO FONDO INTELIGENTE, FI | ES0133565012 | 1.533 | 7.129€ | -5,40% | 10,32% | - | - |
NB BOLSA SELECCION, FI | ES0138517034 | 968 | 17.026€ | -2,41% | 10,30% | -1,05% | 5,44% |
SANTANDER SELECCION RV JAPON, FI | ES0112757036 | 1.881 | 16.978€ | 5,87% | 10,28% | 2,57% | 7,35% |
IMANTIA RV ZONA EURO, FI | ES0107492037 | 1.758 | 9.167€ | -1,95% | 10,27% | -1,63% | 3,59% |
DUX RENTA VARIABLE EURO, FI | ES0127107037 | 242 | 10.238€ | 4,74% | 10,24% | 2,26% | 9,28% |
FONBILBAO INTERNACIONAL, FI | ES0138701034 | 329 | 29.569€ | 6,21% | 10,24% | 5,30% | 8,69% |
FINANCIALFOND, FI | ES0169009034 | 162 | 11.060€ | 2,77% | 10,22% | 4,14% | 7,58% |
CAIXABANK BOLSA SELECCION JAPON, FI | ES0122056031 | 3.059 | 18.520€ | 4,64% | 10,20% | 2,25% | 8,21% |
BESTINVER MIXTO, FI | ES0114664032 | 1.347 | 56.642€ | 2,57% | 10,19% | 4,79% | 7,44% |
FONBILBAO ACCIONES, FI | ES0126906033 | 739 | 158.682€ | -4,76% | 10,18% | -0,24% | 6,03% |
ABANTE BOLSA, FI | ES0105011037 | 1.839 | 129.253€ | 5,88% | 10,16% | 4,84% | 9,50% |
CAMINOS BOLSA EURO, FI | ES0138168036 | 321 | 6.222€ | 0,45% | 10,16% | 2,73% | 6,49% |
HIGH RATE, FI | ES0144886035 | 104 | 21.995€ | 2,87% | 10,16% | 3,18% | 5,17% |
CAIXABANK BOLSA INDICE EURO, FI | ES0138792033 | 11.009 | 117.487€ | -0,09% | 10,14% | 0,97% | 6,81% |
SABADELL JAPON BOLSA, FI | ES0174402034 | 941 | 6.849€ | 5,65% | 10,14% | 2,84% | 6,03% |
SABADELL EUROACCION, FI | ES0111098028 | 2 | 4.668€ | -3,44% | 10,12% | 2,55% | - |
CARTERA OPTIMA DINAMICA, FI | ES0133664005 | 1.974 | 224.059€ | 6,23% | 10,10% | 4,46% | 9,35% |
TREA CAJAMAR RENTA VARIABLE INTERNACIONAL FI | ES0180551006 | 1.612 | 33.129€ | 5,23% | 10,09% | - | - |
GESCONSULT LEON VALORES MIXTO FLEXIBLE, FI | ES0175604000 | 97 | 42.667€ | 8,89% | 10,09% | 3,50% | 9,25% |
CATALANA OCCIDENTE BOLSA MUNDIAL, FI | ES0116881030 | 1.039 | 17.690€ | 5,43% | 10,06% | 3,19% | 7,98% |
LIBERTY SPANISH STOCK MARKET INDEX, FI | ES0137999035 | 99 | 1.442€ | -6,83% | 10,04% | -2,26% | 6,25% |
FONDMAPFRE GLOBAL, FI | ES0138445038 | 4.721 | 184.999€ | 2,72% | 10,04% | 2,75% | 8,72% |
AVIVA RENTA VARIABLE ZONA NO EURO, FI. | ES0112186004 | 113 | 89.831€ | 6,99% | 10,02% | 3,91% | 7,92% |
AVIVA RENTA VARIABLE ZONA NO EURO, FI. | ES0112186038 | 19 | 2.248€ | 6,97% | 10,02% | - | - |
EUROVALOR BOLSA ESPAÑOLA, FI | ES0133524035 | 1.964 | 81.582€ | -5,10% | 10,02% | -0,99% | 7,10% |
SANTANDER SELECCION RV EMERGENTE, FI | ES0114081039 | 2.528 | 41.778€ | 2,94% | 9,99% | 2,06% | 2,50% |
KUTXABANK BOLSA INTERNACIONAL, FI | ES0113987038 | 6 | 322.417€ | 5,76% | 9,98% | 3,75% | 7,06% |
MARCH GLOBAL, FI | ES0160982031 | 1.312 | 41.724€ | 2,24% | 9,97% | 5,19% | 8,36% |
CAIXABANK BOLSA SELECCION USA, FI | ES0138189016 | 8 | 3.169€ | -1,42% | 9,96% | 3,24% | 12,25% |
ABACO GLOBAL VALUE OPPORTUNITIES FI | ES0140074008 | 174 | 27.978€ | -3,38% | 9,95% | 3,84% | - |
FONBILBAO EUROBOLSA, FI | ES0138437035 | 263 | 29.351€ | 0,80% | 9,94% | 0,81% | 5,38% |
IBERCAJA SMALL CAPS, FI | ES0130708003 | 43.594 | 187.135€ | 2,57% | 9,94% | - | - |
GESIURIS EURO EQUITIES, FI | ES0116829039 | 124 | 5.553€ | 0,21% | 9,94% | 1,71% | 8,72% |
EUROVALOR JAPON, FI | ES0133663031 | 571 | 8.587€ | 5,63% | 9,93% | 4,10% | 8,26% |
RENTA 4 CARTERA SELECCION DIVIDENDO, FI | ES0173362031 | 1.906 | 22.394€ | 13,55% | 9,89% | 6,82% | 8,98% |
EUROVALOR RV EMERGENTES GLOBAL, FI | ES0133561037 | 1.260 | 11.625€ | 2,55% | 9,88% | 2,65% | 5,69% |
FON FINECO EUROLIDER, FI | ES0138584034 | 243 | 21.858€ | 5,54% | 9,88% | 4,31% | 6,10% |
ABANCA RENTA VARIABLE ESPAÑA, FI | ES0162948006 | 613 | 8.313€ | 0,46% | 9,85% | -2,46% | - |
LIBERTY EURO STOCK MARKET, FI | ES0179172038 | 128 | 21.186€ | -0,15% | 9,85% | 0,76% | 6,52% |
MARCH EUROPA BOLSA, FI | ES0160746030 | 1.525 | 29.368€ | -2,66% | 9,82% | 0,08% | 5,69% |
IBERCAJA SMALL CAPS, FI | ES0130708037 | 3.514 | 86.566€ | 2,32% | 9,80% | 5,46% | 11,50% |
LIBERBANK RENTA VARIABLE ESPAÑA, FI | ES0111038032 | 955 | 15.204€ | -1,01% | 9,78% | -0,04% | 6,68% |
BANCO MADRID DOLPHIN ACCIONES, FI | ES0170642039 | 348 | 9.677€ | 3,13% | 9,76% | 10,43% | 6,91% |
CAIXABANK BOLSA ESPAÑA 150, FI | ES0137878031 | 1 | 1€ | -10,17% | 9,75% | - | - |
BESTVALUE, FI | ES0114579008 | 389 | 439.575€ | 0,55% | 9,64% | 27,19% | 15,53% |
SANTANDER SMALL CAPS EUROPA, FI | ES0107987036 | 8.755 | 267.861€ | 1,41% | 9,63% | 1,40% | 8,82% |
SABADELL EUROACCION, FI | ES0111098044 | 2 | 1.175€ | -3,87% | 9,63% | - | - |
SABADELL EUROPA VALOR, FI | ES0183339029 | 0 | 0€ | -1,30% | 9,63% | -0,06% | - |
UBS ESPAÑA GESTION ACTIVA, FI | ES0180943039 | 157 | 8.737€ | -3,50% | 9,63% | 0,72% | 7,90% |
SABADELL EUROACCION, FI | ES0111098010 | 153 | 22.237€ | -3,88% | 9,62% | 2,08% | - |
SABADELL EUROACCION, FI | ES0111098002 | 11.078 | 118.849€ | -3,70% | 9,59% | 1,99% | - |
ARQUIUNO BOLSA, FI | ES0110247006 | 346 | 7.345€ | 0,14% | 9,58% | 0,63% | - |
GESCONSULT LEON VALORES MIXTO FLEXIBLE, FI | ES0175604034 | 1.286 | 38.936€ | 8,38% | 9,58% | 3,02% | 8,73% |
CAIXABANK BOLSA GESTION EUROPA, FI | ES0138068038 | 4.976 | 51.449€ | 5,77% | 9,55% | -0,07% | 6,17% |
CARTERA OPTIMA DINAMICA, FI | ES0133664039 | 8.283 | 197.351€ | 5,69% | 9,55% | 3,94% | - |
RURAL EURO RENTA VARIABLE, FI | ES0174367039 | 6.611 | 28.516€ | -2,84% | 9,48% | 0,78% | 6,93% |
BBVA BOLSA DESARROLLO SOSTENIBLE, FI | ES0125459034 | 6.734 | 95.740€ | 5,10% | 9,45% | 3,53% | 8,87% |
UNIFOND RENTA VARIABLE EURO, FI | ES0147496030 | 1.419 | 21.578€ | 0,09% | 9,42% | -0,45% | 5,14% |
MUTUAFONDO FONDOS, FI | ES0165194038 | 577 | 14.306€ | 7,07% | 9,42% | 3,83% | 8,77% |
ATL CAPITAL CARTERA RENTA VARIABLE, FI | ES0111128007 | 426 | 17.477€ | 3,49% | 9,36% | -0,23% | - |
PROFIT BOLSA, FI | ES0171571039 | 187 | 14.018€ | 5,33% | 9,36% | 3,86% | 6,77% |
SABADELL EUROACCION, FI | ES0111098051 | 66 | 2.009€ | -4,11% | 9,35% | - | - |
MUTUAFONDO BOLSA, FI | ES0165193030 | 656 | 15.910€ | -0,75% | 9,31% | 0,25% | 7,80% |
IGVF FI | ES0147411005 | 69 | 15.379€ | 2,10% | 9,29% | 1,57% | 6,55% |
SABADELL EUROPA BOLSA, FI | ES0174416026 | 0 | 0€ | 1,49% | 9,28% | 1,55% | - |
GVCGAESCO FONDO DE FONDOS, FI | ES0140633035 | 1.426 | 33.469€ | 0,14% | 9,26% | 1,28% | 9,05% |
QUALITY INVERSION DECIDIDA, FI | ES0157663008 | 41.732 | 1.064.002€ | 5,66% | 9,20% | 1,77% | 4,19% |
WELZIA CRECIMIENTO 15, FI | ES0184676031 | 238 | 46.781€ | 6,45% | 9,17% | 2,85% | 4,67% |
PREMIUM PLAN RENTABILIDAD IV, FI | ES0170653002 | 167 | 8.105€ | 1,02% | 9,12% | - | - |
CAIXABANK BOLSA SELECCION USA, FI | ES0138189008 | 282 | 23.752€ | -2,17% | 9,11% | 2,44% | 11,36% |
SABADELL EUROACCION, FI | ES0111098036 | 5.814 | 62.904€ | -4,35% | 9,08% | 1,57% | 6,74% |
ABANCA RENTA VARIABLE EUROPA, FI | ES0115411037 | 932 | 8.970€ | -2,03% | 9,06% | -1,12% | 4,35% |
BBVA BOLSA ASIA MF, FI | ES0108929037 | 3.674 | 47.707€ | 2,25% | 9,06% | 2,09% | 6,59% |
GVC GAESCO OPORTUNIDAD EMPRESAS INMOBILIARIAS R.V., FI | ES0143628008 | 530 | 8.742€ | 8,87% | 9,06% | 4,55% | 8,50% |
AVIVA RENTA VARIABLE ZONA NO EURO, FI. | ES0112186012 | 31 | 319€ | 6,03% | 9,04% | - | - |
CREDIT SUISSE BOLSA, FI | ES0113286035 | 150 | 22.183€ | -6,12% | 9,04% | -2,87% | 4,80% |
INVERTRES FONDO I, FI | ES0156038038 | 109 | 11.002€ | 0,75% | 9,03% | - | - |
RENTA 4 MULTIGESTION, FI | ES0173311053 | 31 | 114€ | -1,10% | 9,01% | -1,36% | - |
SABADELL EUROPA VALOR, FI | ES0183339003 | 15.177 | 167.305€ | -1,59% | 9,01% | -0,72% | - |
FONTIBREFONDO, FI | ES0138918034 | 149 | 4.637€ | 4,59% | 9,01% | 0,82% | 7,01% |
ANNUALCYCLES STRATEGIES, FI | ES0109298002 | 217 | 10.402€ | -0,29% | 8,98% | 3,97% | 6,77% |
SABADELL EUROPA VALOR, FI | ES0183339045 | 0 | 0€ | -1,89% | 8,98% | - | - |
SABADELL ESPAÑA BOLSA, FI | ES0174404022 | 3 | 3.316€ | -7,26% | 8,97% | -5,17% | - |
SABADELL EUROPA VALOR, FI | ES0183339011 | 56 | 8.660€ | -1,89% | 8,97% | -0,66% | - |
MERCH-UNIVERSAL, FI | ES0182105033 | 929 | 43.668€ | 2,94% | 8,97% | 4,00% | 4,69% |
SANTANDER INDICE ESPAÑA, FI | ES0119203000 | 4 | 230.431€ | -5,13% | 8,97% | - | - |
MICROBANK FONDO ECOLOGICO, FI | ES0162853008 | 1.177 | 19.460€ | 2,34% | 8,96% | 2,05% | 7,67% |
MEDIOLANUM EUROPA R.V., FI | ES0165128010 | 768 | 9.785€ | 1,18% | 8,91% | 1,19% | - |
CAIXABANK BOLSA INDICE ESPAÑA, FI | ES0138392008 | 2 | 226.569€ | -5,08% | 8,90% | - | - |
BANCO MADRID SICAV SELECCION, FI | ES0170614004 | 1.580 | 56.743€ | 6,16% | 8,89% | - | - |
PBP BOLSA EUROPA, FI | ES0147101036 | 325 | 8.288€ | -1,07% | 8,89% | 1,11% | 6,25% |
CAJA LABORAL BOLSA, FI | ES0115467039 | 1.384 | 15.424€ | -6,19% | 8,88% | -2,27% | 5,30% |
EUROVALOR EUROPA, FI | ES0133555039 | 1.101 | 24.597€ | 1,94% | 8,86% | 1,00% | 6,47% |
GESIURIS PATRIMONIAL, FI | ES0116845035 | 373 | 49.354€ | 4,96% | 8,84% | 3,51% | 7,90% |
SABADELL EUROPA BOLSA, FI | ES0174416018 | 43 | 6.058€ | 1,03% | 8,79% | 1,09% | - |
SABADELL EUROPA BOLSA, FI | ES0174416042 | 0 | 0€ | 1,03% | 8,79% | - | - |
SMART-ISH FONDO DE GESTORES F.I. | ES0152505006 | 391 | 16.501€ | 3,72% | 8,77% | 3,29% | 5,81% |
SABADELL EUROPA BOLSA, FI | ES0174416000 | 15.177 | 116.276€ | 1,21% | 8,75% | 0,98% | - |
MUTUAFONDO FONDOS, FI | ES0165194004 | 19 | 108€ | 6,57% | 8,75% | 3,02% | 8,40% |
EUROVALOR EMERGENTES EMPRESAS EUROPEAS, FI | ES0133612038 | 516 | 8.262€ | 5,59% | 8,74% | 1,94% | 6,39% |
IBERCAJA BOLSA USA, FI | ES0147034039 | 1.267 | 29.540€ | -4,85% | 8,74% | 2,56% | 9,15% |
SABADELL EUROPA VALOR, FI | ES0183339052 | 19 | 640€ | -2,14% | 8,71% | - | - |
ALTAIR BOLSA, FI | ES0108525009 | 108 | 9.332€ | 1,75% | 8,70% | 3,42% | - |
ABANDO EQUITIES, FI | ES0109656001 | 127 | 6.072€ | 1,70% | 8,69% | 0,87% | 5,54% |
EUROVALOR EUROPA DEL ESTE, FI | ES0133554032 | 974 | 8.660€ | 1,83% | 8,68% | 2,60% | -0,47% |
ACCION EUROSTOXX 50 ETF, FI COTIZADO ARMONIZADO | ES0105321030 | 4.631 | 106.606€ | -1,09% | 8,66% | -0,15% | 5,48% |
NOVAFONDISA, FI | ES0166453037 | 276 | 10.933€ | -0,48% | 8,66% | 0,55% | 4,53% |
BBVA MEJORES IDEAS (CUBIERTO) MF, FI | ES0141754038 | 3.405 | 62.418€ | 5,85% | 8,65% | 2,77% | 4,80% |
SELECTOR GLOBAL, FI | ES0175450032 | 171 | 18.410€ | 0,94% | 8,62% | 1,90% | 8,24% |
BBVA BOLSA PLAN DIVIDENDO EUROPA, FI | ES0113536009 | 9.598 | 236.278€ | 3,70% | 8,61% | 0,98% | 7,29% |
MUTUAFONDO BONOS CONVERTIBLES, FI | ES0106084009 | 212 | 28.621€ | 6,08% | 8,59% | 4,05% | 3,19% |
FONDONORTE EUROBOLSA, FI | ES0138494036 | 164 | 121.019€ | 1,41% | 8,58% | 1,13% | 7,81% |
CAIXABANK GLOBAL INVEST, FI | ES0113750006 | 109 | 12.165€ | -0,72% | 8,57% | - | - |
CAIXABANK BOLSA SELECCION GLOBAL, FI | ES0138172012 | 31 | 15.227€ | -2,15% | 8,55% | 1,35% | 8,76% |
DWS MIXTA, FI | ES0125785008 | 3 | 1.965€ | 2,50% | 8,53% | 3,30% | 7,71% |
SABADELL EUROPA BOLSA, FI | ES0174416059 | 13 | 390€ | 0,78% | 8,52% | - | - |
MUTUAFONDO BOLSAS EMERGENTES, FI | ES0175805037 | 331 | 5.012€ | 1,46% | 8,50% | 2,84% | 5,26% |
SABADELL ESPAÑA BOLSA, FI | ES0174404014 | 154 | 21.961€ | -7,67% | 8,49% | -5,60% | - |
SABADELL ESPAÑA BOLSA, FI | ES0174404055 | 0 | 0€ | -7,68% | 8,49% | - | - |
RENTA 4 EMERGENTES GLOBAL, FI | ES0173313034 | 762 | 3.643€ | 0,84% | 8,46% | 0,97% | 3,25% |
BBVA DIVIDENDO EUROPA PLUS, FI | ES0125269003 | 4.554 | 122.911€ | 3,53% | 8,46% | 2,78% | 6,55% |
MUTUAFONDO BOLSA, FI | ES0165193006 | 7 | 25€ | -1,79% | 8,46% | -0,81% | 7,23% |
SABADELL ESPAÑA BOLSA, FI | ES0174404006 | 35 | 650€ | -7,51% | 8,45% | -5,70% | - |
ACCION IBEX 35 ETF, FI COTIZADO ARMONIZADO | ES0105336038 | 9.415 | 189.895€ | -7,51% | 8,44% | -3,56% | 4,48% |
SABADELL EUROPA VALOR, FI | ES0183339037 | 1.510 | 19.619€ | -2,38% | 8,44% | -1,14% | 5,38% |
KUTXABANK BOLSA EUROZONA, FI | ES0114221031 | 55.539 | 649.062€ | -2,21% | 8,44% | -0,33% | 5,84% |
NB BEST MANAGERS, FI | ES0115073035 | 396 | 9.298€ | 3,41% | 8,44% | 3,20% | 4,80% |
LABORAL KUTXA BOLSA UNIVERSAL,FI | ES0164734032 | 2.314 | 23.393€ | 5,17% | 8,43% | 2,83% | 4,34% |
BNP PARIBAS CAAP DINAMICO, FI | ES0171956032 | 403 | 18.919€ | 3,29% | 8,40% | 2,00% | 6,23% |
PANDA AGRICULTURE & WATER FUND, FI | ES0114633003 | 340 | 11.389€ | 2,99% | 8,38% | 3,15% | 6,38% |
WELZIA DINAMICO 20, FI | ES0184677039 | 166 | 26.320€ | 17,77% | 8,37% | 6,35% | 8,20% |
CAIXABANK BOLSA SELECCION USA, FI | ES0138189032 | 2.128 | 24.775€ | -2,87% | 8,31% | 1,68% | 10,54% |
RENTA 4 ACCIONES GLOBALES, FI | ES0173128002 | 1.462 | 11.813€ | 3,48% | 8,26% | - | - |
SABADELL EUROPA BOLSA, FI | ES0174416034 | 2.280 | 24.739€ | 0,53% | 8,25% | 0,59% | 5,29% |
EUROVALOR DIVIDENDO EUROPA, FI | ES0127025031 | 2.711 | 56.252€ | 1,57% | 8,25% | 2,91% | 8,41% |
MUTUAFONDO BOLSAS EMERGENTES, FI | ES0175805003 | 22 | 68€ | 1,16% | 8,24% | 2,10% | 4,57% |
BBVA BOLSA EUROPA, FI | ES0114371034 | 19.217 | 274.648€ | 4,01% | 8,23% | -1,22% | 3,99% |
SABADELL ESPAÑA BOLSA, FI | ES0174404048 | 28 | 909€ | -7,91% | 8,21% | - | - |
BANKINTER BOLSA AMERICANA GARANTIZADO, FI | ES0114024005 | 672 | 23.709€ | 11,27% | 8,20% | - | - |
CAJA INGENIEROS EMERGENTES, FI | ES0109221038 | 1.064 | 14.133€ | 1,03% | 8,17% | 3,88% | 5,23% |
EUROVALOR BOLSA, FI | ES0133871030 | 3.517 | 58.843€ | -8,55% | 8,16% | -3,17% | 5,54% |
OMEGA GLOBAL FUND, FI | ES0167388026 | 33 | 37.786€ | 6,85% | 8,15% | 3,56% | - |
MULTIFONDO EUROPA, FI | ES0138614039 | 1.596 | 107.146€ | 2,85% | 8,14% | 1,99% | 8,54% |
KUTXABANK DIVIDENDO, FI | ES0133759037 | 59.483 | 891.656€ | -1,55% | 8,14% | -0,24% | 5,73% |
CAIXABANK BOLSA USA, FI | ES0138615036 | 2.398 | 33.803€ | -3,91% | 8,10% | 3,06% | 11,06% |
LABORAL KUTXA BOLSAS EUROPEAS, FI | ES0114812037 | 3.815 | 55.635€ | 1,13% | 8,09% | 1,04% | 6,68% |
ALHAJA INVERSIONES RV MIXTO, FI | ES0108191000 | 273 | 5.123€ | 3,40% | 8,08% | 4,58% | - |
BBVA BOLSA EMERGENTES MF, FI | ES0110116037 | 3.263 | 34.874€ | 1,19% | 8,08% | 1,79% | 5,11% |
MUTUAFONDO BONOS SUBORDINADOS, FI | ES0164743009 | 217 | 132.523€ | 2,25% | 8,08% | - | - |
MARCH CARTERA DECIDIDA, FI | ES0160747004 | 437 | 30.502€ | 2,58% | 8,05% | 2,92% | - |
MEDIOLANUM EUROPA R.V., FI | ES0165128002 | 876 | 12.549€ | 0,38% | 8,04% | 0,36% | 5,89% |
DP BOLSA ESPAÑOLA FI | ES0170901005 | 151 | 5.269€ | -7,08% | 8,03% | -3,88% | 4,50% |
SANTANDER INDICE ESPAÑA, FI | ES0119203018 | 308 | 21.860€ | -5,95% | 8,03% | - | - |
PBP GESTION FLEXIBLE, FI | ES0110158039 | 745 | 44.306€ | 1,83% | 7,98% | 1,92% | 4,07% |
GVCGAESCO JAPON, FI | ES0141113037 | 635 | 11.553€ | -1,54% | 7,98% | 0,78% | 6,82% |
BBVA MI INVERSION BOLSA, FI | ES0119178004 | 16.043 | 528.508€ | 2,45% | 7,95% | -0,35% | - |
SABADELL ESPAÑA BOLSA, FI | ES0174404030 | 4.221 | 51.586€ | -8,14% | 7,95% | -6,07% | 4,37% |
TREA CAJAMAR RENTA VARIABLE EUROPA, FI | ES0180642003 | 1.121 | 18.601€ | 0,13% | 7,94% | - | - |
SANTANDER INDICE ESPAÑA, FI | ES0119203034 | 1.130 | 17.783€ | -6,04% | 7,92% | - | - |
ALPHA PLUS GESTION FLEXIBLE, FI | ES0108701006 | 106 | 1.724€ | 1,20% | 7,91% | 0,68% | 6,49% |
QUALITY MEJORES IDEAS, FI | ES0110119031 | 32.559 | 742.377€ | 6,99% | 7,91% | 2,82% | 7,39% |
UNIFOND EMERGENTES, FI | ES0138443033 | 1.249 | 16.479€ | -1,75% | 7,80% | 2,14% | 4,88% |
BANKOA BOLSA, FI | ES0113418034 | 253 | 9.889€ | -5,60% | 7,79% | -2,00% | 5,46% |
ABANTE ASESORES GLOBAL, FI | ES0109652034 | 111 | 101.051€ | 3,05% | 7,76% | 3,21% | 5,83% |
KUTXABANK BOLSA EMERGENTES, FI | ES0114233036 | 59.481 | 301.121€ | 2,24% | 7,76% | 1,49% | 4,67% |
CREDIT AGRICOLE MERCAEUROPA EURO, FI | ES0123743033 | 392 | 13.689€ | 1,79% | 7,75% | 1,74% | 6,66% |
DP FONGLOBAL FI | ES0114907035 | 113 | 15.169€ | 3,21% | 7,75% | 2,28% | 6,24% |
CAIXABANK BOLSA SELECCION GLOBAL, FI | ES0138172004 | 931 | 74.228€ | -2,88% | 7,71% | 0,56% | 7,90% |
SABADELL DINAMICO, FI | ES0107489033 | 2 | 6.424€ | 1,22% | 7,65% | - | - |
ALPHA PLUS GESTION FLEXIBLE, FI | ES0108701014 | 8 | 305€ | 0,74% | 7,64% | 0,37% | 6,21% |
BMN BOLSA EUROPEA, FI | ES0138727039 | 1.207 | 28.340€ | 9,48% | 7,64% | 7,34% | 8,70% |
OMEGA GLOBAL FUND, FI | ES0167388018 | 10 | 11.496€ | 6,23% | 7,63% | 3,14% | - |
PATRIVAL, FI | ES0142404039 | 172 | 39.977€ | 12,95% | 7,63% | 3,29% | 4,77% |
BOREAS CARTERA ACTIVA, FI | ES0114902002 | 732 | 35.853€ | 3,76% | 7,63% | - | - |
EDM CARTERA, FI | ES0128331008 | 771 | 147.543€ | 2,29% | 7,62% | 1,83% | 6,28% |
DWS MIXTA, FI | ES0125785032 | 940 | 21.423€ | 1,63% | 7,61% | 2,42% | 6,80% |
EUROAGENTES UNIVERSAL, FI | ES0133569030 | 192 | 6.601€ | -1,94% | 7,61% | -0,12% | 2,96% |
ALCALA ACCIONES, FI | ES0178220036 | 169 | 14.274€ | 0,05% | 7,60% | 1,62% | 3,97% |
CATALANA OCCIDENTE EMERGENTES, FI | ES0116882004 | 308 | 5.769€ | 2,20% | 7,58% | -1,11% | - |
TOGAEST INVERSIONES, FI | ES0179346004 | 115 | 7.624€ | 1,02% | 7,56% | 1,20% | - |
MEDIOLANUM EUROPA R.V., FI | ES0165128036 | 2.110 | 16.657€ | -0,08% | 7,55% | -0,09% | 5,42% |
FONDMAPFRE BOLSA AMERICA, FI | ES0138658036 | 2.681 | 250.277€ | -4,26% | 7,54% | 3,25% | 10,30% |
AURUM RENTA VARIABLE, FI | ES0168845032 | 98 | 6.245€ | 0,29% | 7,52% | 2,01% | 5,76% |
KUTXABANK GESTION ACTIVA INVERSION, FI | ES0113192035 | 4.704 | 51.922€ | 2,01% | 7,50% | 1,28% | 5,16% |
SABADELL DINAMICO, FI | ES0107489025 | 316 | 51.190€ | 1,03% | 7,49% | - | - |
CAIXABANK BOLSA INDICE ESPAÑA, FI | ES0138392032 | 1.760 | 25.572€ | -6,28% | 7,48% | - | - |
BESTINVER MIXTO INTERNACIONAL, FI | ES0114618038 | 2.246 | 117.701€ | 2,95% | 7,47% | 4,67% | 7,54% |
AVIVA FONVALOR EURO, FI | ES0170136008 | 13 | 161.258€ | -0,88% | 7,42% | 3,22% | 10,09% |
AVIVA FONVALOR EURO, FI | ES0170136024 | 78 | 4.445€ | -0,88% | 7,42% | - | - |
SABADELL DINAMICO, FI | ES0107489041 | 116 | 5.283€ | 0,92% | 7,41% | - | - |
CS DIRECTOR GROWTH, FI | ES0143673038 | 276 | 15.740€ | 4,17% | 7,40% | 0,66% | 6,21% |
AZVALOR INTERNACIONAL, FI | ES0112611001 | 11.359 | 977.043€ | 8,52% | 7,38% | - | - |
BANKIA BANCA PRIVADA SELECCIÓN, FI | ES0142343039 | 105 | 39.748€ | -2,26% | 7,38% | 1,27% | 7,08% |
CAIXABANK OPORTUNIDAD, FI | ES0164948038 | 2.824 | 236.506€ | 5,14% | 7,37% | 2,42% | 6,75% |
CAIXABANK DESTINO 2050, FI | ES0137413011 | 76 | 9.124€ | 4,45% | 7,36% | - | - |
CAIXABANK MULTISALUD, FI | ES0110057017 | 41 | 19.283€ | -1,27% | 7,35% | - | - |
DWS CRECIMIENTO, FI | ES0125776007 | 7 | 60.997€ | 3,05% | 7,35% | 3,05% | 6,20% |
FONSVILA-REAL, FI | ES0165206006 | 108 | 6.428€ | 2,32% | 7,34% | 2,78% | 6,18% |
SABADELL DINAMICO, FI | ES0107489009 | 3.695 | 62.910€ | 0,82% | 7,33% | - | - |
EGERIA COYUNTURA, FI | ES0138806031 | 353 | 29.106€ | -0,07% | 7,26% | 2,14% | 6,55% |
SABADELL DINAMICO, FI | ES0107489058 | 2 | 1.415€ | 1,02% | 7,23% | - | - |
CAIXABANK BOLSA GESTION ESPAÑA, FI | ES0105182010 | 32 | 13.833€ | -6,34% | 7,18% | -5,54% | 6,40% |
MUTUAFONDO MIXTO FLEXIBLE, FI | ES0131367007 | 130 | 56.573€ | 0,50% | 7,18% | 0,91% | - |
CAIXABANK OPORTUNIDAD, FI | ES0164948004 | 19.961 | 253.920€ | 4,96% | 7,17% | 2,23% | 6,53% |
CAJA INGENIEROS BOLSA USA, FI | ES0115359038 | 884 | 13.480€ | 5,45% | 7,17% | 4,97% | 10,78% |
SABADELL DINAMICO, FI | ES0107489017 | 1 | 15€ | 1,01% | 7,17% | - | - |
FONDITEL LINCE, FI | ES0137838019 | 112 | 3.596€ | -2,66% | 7,14% | - | - |
WELZIA USA EQUITY, FI | ES0184593004 | 268 | 32.710€ | 3,03% | 7,12% | 4,26% | 7,08% |
OMEGA GLOBAL FUND, FI | ES0167388000 | 94 | 2.672€ | 5,70% | 7,10% | 2,65% | - |
MUTUAFONDO CRECIMIENTO, FI | ES0175808023 | 1 | 16.154€ | 2,48% | 7,06% | 0,56% | - |
GVC GAESCO SOSTENIBLE ISR, FI | ES0164837009 | 292 | 12.543€ | 3,08% | 7,04% | 4,10% | - |
KALAHARI, FI | ES0160623007 | 748 | 22.312€ | 5,18% | 7,03% | 0,53% | 6,55% |
CAIXABANK DESTINO 2040, FI | ES0137626018 | 189 | 19.026€ | 4,11% | 6,99% | - | - |
FONDMAPFRE DIVIDENDO, FI | ES0178520039 | 2.935 | 116.397€ | -3,92% | 6,98% | -1,88% | 5,85% |
ARQUIUNO RENTA VARIABLE MIXTA FI | ES0110256007 | 1.119 | 26.988€ | -1,30% | 6,97% | 0,43% | 5,10% |
ABANTE PATRIMONIO GLOBAL, FI | ES0105013033 | 72 | 4.591€ | 3,03% | 6,94% | 2,61% | 5,36% |
CAIXABANK DESTINO 2050, FI | ES0137413003 | 1.097 | 9.410€ | 4,04% | 6,94% | - | - |
CAIXABANK BOLSA SELECCION GLOBAL, FI | ES0138172038 | 9.892 | 102.914€ | -3,58% | 6,92% | -0,18% | 7,11% |
BSG PROMETEO, FI | ES0115114003 | 109 | 2.583€ | 0,57% | 6,92% | 0,62% | 3,08% |
HORIZONTE GLOBAL,FI | ES0110086032 | 89 | 13.307€ | 1,81% | 6,92% | 1,62% | 7,04% |
CAIXABANK MULTISALUD, FI | ES0110057009 | 2.189 | 154.245€ | -1,71% | 6,88% | - | - |
DWS CRECIMIENTO, FI | ES0125776031 | 1.280 | 55.689€ | 2,59% | 6,87% | 2,59% | 5,81% |
RURAL EMERGENTES RENTA VARIABLE, FI | ES0174365033 | 3.819 | 8.353€ | -0,07% | 6,86% | 0,75% | 3,45% |
MUTUAFONDO CRECIMIENTO, FI | ES0175808007 | 854 | 25.412€ | 2,31% | 6,84% | 0,63% | - |
UNIFOND EUROPA DIVIDENDOS, FI | ES0181405004 | 1.613 | 35.080€ | -3,65% | 6,83% | - | - |
IBERCAJA ALL STAR, FI | ES0162883013 | 43.979 | 268.625€ | 0,37% | 6,77% | 1,52% | - |
CAIXABANK BOLSA GESTION ESPAÑA, FI | ES0105182002 | 686 | 50.047€ | -6,75% | 6,71% | -5,96% | 5,93% |
CREDIT SUISSE EQUITY YIELD, FI | ES0113288031 | 132 | 17.636€ | 1,45% | 6,71% | 2,57% | 5,17% |
METAVALOR GLOBAL, FI | ES0162741005 | 9.537 | 441.515€ | 2,30% | 6,69% | 3,65% | 7,14% |
IBERCAJA BOLSA INTERNACIONAL, FI | ES0147641007 | 11.708 | 14.061€ | -3,23% | 6,69% | - | - |
CAIXABANK MULTISALUD, FI | ES0110057033 | 20.469 | 225.081€ | -1,90% | 6,66% | 1,76% | 12,90% |
IBERCAJA ALL STAR, FI | ES0162883005 | 6.153 | 110.162€ | 0,18% | 6,66% | 1,46% | - |
LABORAL KUTXA MERCADOS EMERGENTES,FI | ES0114928031 | 368 | 2.762€ | -0,74% | 6,59% | -0,69% | -0,27% |
IBERCAJA BOLSA INTERNACIONAL, FI | ES0147641031 | 1.371 | 25.742€ | -3,45% | 6,57% | -0,34% | 7,56% |
AVIVA FONVALOR EURO, FI | ES0170136032 | 241 | 6.840€ | -1,67% | 6,56% | 2,40% | 9,10% |
CAIXABANK DESTINO 2040, FI | ES0137626000 | 2.490 | 28.482€ | 3,69% | 6,56% | - | - |
GESCOOPERATIVO SMALL CAPS EURO, FI | ES0141986002 | 2.829 | 5.869€ | -6,34% | 6,55% | -1,11% | 7,46% |
DUX INTERNATIONAL STRATEGY, FI | ES0127062000 | 214 | 13.780€ | 6,65% | 6,52% | 2,15% | 8,68% |
ACACIA GLOBALMIX 60-90, FI | ES0105244000 | 12 | 2.333€ | 3,89% | 6,49% | - | - |
SABADELL 90 CAPITAL BOLSA EURO 3, FI | ES0174312001 | 148 | 11.754€ | 5,15% | 6,48% | - | - |
ABANTE PATRIMONIO GLOBAL, FI | ES0105013009 | 898 | 65.188€ | 2,78% | 6,47% | 2,40% | 4,92% |
UNIFOND BOLSA INTERNACIONAL, FI | ES0180890008 | 443 | 7.890€ | 1,55% | 6,41% | - | - |
KUTXABANK BOLSA SECTORIAL, FI | ES0114237037 | 44.493 | 287.006€ | 5,26% | 6,41% | 0,42% | 6,17% |
RURAL MIXTO 75, FI | ES0174387037 | 703 | 11.749€ | -5,04% | 6,39% | -1,71% | 4,53% |
TEMPERANTIA FI | ES0178487007 | 111 | 2.196€ | 2,62% | 6,39% | - | - |
LABORAL KUTXA SELEK EXTRAPLUS,FI | ES0157328008 | 543 | 29.187€ | 2,95% | 6,36% | 1,04% | 4,56% |
ACACIA GLOBALMIX 60-90, FI | ES0105244018 | 94 | 615€ | 3,73% | 6,33% | - | - |
RURAL MULTIFONDO 75, FI | ES0174432031 | 1.410 | 36.456€ | 1,70% | 6,33% | 2,42% | 5,77% |
GLOBAL VALUE OPPORTUNITIES, FI | ES0142466004 | 193 | 4.883€ | 5,57% | 6,33% | - | - |
BANKINTER KILIMANJARO, FI | ES0113550034 | 296 | 1.970€ | 3,80% | 6,30% | -5,03% | -4,10% |
OPORTUNIDADES GLOBALES, FI | ES0173951031 | 90 | 2.444€ | -0,48% | 6,28% | - | - |
BBVA GESTION DECIDIDA, FI | ES0113996039 | 5.338 | 83.552€ | 2,03% | 6,24% | 1,92% | 6,09% |
CARTESIO Y, FI | ES0182527038 | 2.527 | 310.237€ | 1,35% | 6,20% | 2,14% | 6,51% |
CAIXABANK DESTINO 2030, FI | ES0137474013 | 1.732 | 143.724€ | 3,56% | 6,18% | - | - |
NB GLOBAL FLEXIBLE 0-100, FI | ES0150036038 | 1.999 | 19.279€ | 3,10% | 6,17% | - | - |
ADRIZA NEUTRAL, FI | ES0118537002 | 1.748 | 103.839€ | 0,85% | 6,16% | 2,17% | 6,13% |
FONDMAPFRE ESTRATEGIA 35, FI | ES0165198039 | 2.825 | 51.351€ | -6,91% | 6,16% | -3,08% | 5,65% |
SANTANDER 95 VALOR CRECIENTE PLUS, FI | ES0174761009 | 2.443 | 109.407€ | 2,99% | 6,15% | - | - |
IBERCAJA BOLSA EUROPA, FI | ES0130705009 | 17.862 | 30.816€ | -3,83% | 6,13% | -2,73% | 4,59% |
MARCH NEW EMERGING WORLD, FI | ES0160933000 | 204 | 3.766€ | -1,72% | 6,12% | -0,48% | 2,28% |
BANKINTER EURIBOR RENTAS III GARANTIZADO, FI | ES0179391000 | 774 | 32.535€ | 3,79% | 6,12% | - | - |
GESRIOJA, FI | ES0142440033 | 150 | 6.760€ | 4,45% | 6,08% | - | - |
ROBUST RENTA VARIABLE MIXTA INTERNACIONAL, FI | ES0121082038 | 388 | 17.861€ | 0,75% | 6,06% | 3,23% | 6,85% |
LABORAL KUTXA KONPROMISO, FI | ES0157072002 | 549 | 6.052€ | 0,94% | 6,05% | - | - |
GVC GAESCO RETORNO ABSOLUTO, FI | ES0138233038 | 2.034 | 81.129€ | -1,15% | 6,04% | 0,89% | 3,81% |
RENTA 4 GLOBAL, FI | ES0173392038 | 170 | 4.266€ | 1,63% | 6,03% | 3,46% | 6,31% |
PBP ALPES, FI | ES0168703025 | 52 | 1.156€ | 2,19% | 6,03% | - | - |
IBERCAJA BOLSA EUROPA, FI | ES0130705033 | 3.961 | 109.061€ | -4,01% | 6,03% | -2,80% | 4,55% |
EUROVALOR MIXTO-70, FI | ES0133865032 | 4.294 | 41.439€ | -1,26% | 6,00% | -0,10% | 4,79% |
IBERCAJA NUEVAS OPORTUNIDADES, FI | ES0147076006 | 13.801 | 80.321€ | -1,78% | 6,00% | 0,40% | 7,12% |
CAIXABANK BOLSA GESTION ESPAÑA, FI | ES0105182036 | 5.620 | 52.646€ | -7,41% | 5,94% | -6,65% | 5,15% |
INVERBANSER, FI | ES0155844030 | 575 | 77.104€ | -0,35% | 5,92% | 1,01% | 7,50% |
RENTA 4 ACTIVOS GLOBALES, FI | ES0173286032 | 915 | 18.960€ | 2,78% | 5,91% | 4,88% | 5,44% |
IBERCAJA NUEVAS OPORTUNIDADES, FI | ES0147076030 | 1.088 | 27.301€ | -2,01% | 5,88% | 0,31% | 6,22% |
LIBERBANK CARTERA RENDIMIENTO, FI | ES0109227035 | 1.707 | 40.145€ | 2,41% | 5,85% | - | - |
BANKINTER MULTISELECCION DINAMICA, FI | ES0114762034 | 1.719 | 52.338€ | 1,49% | 5,83% | 1,00% | 5,25% |
FONDCOYUNTURA, FI | ES0138969037 | 99 | 7.821€ | -0,10% | 5,82% | -0,43% | 2,96% |
MERCH-EUROUNION, FI | ES0162211033 | 101 | 3.131€ | 3,10% | 5,81% | -1,14% | 2,12% |
PATRIBOND, FI | ES0168745034 | 220 | 64.028€ | 9,48% | 5,79% | 3,46% | 4,96% |
GESTION BOUTIQUE, FI | ES0116831100 | 35 | 969€ | 0,72% | 5,79% | -2,01% | - |
INTERVALOR BOLSA MIXTO FI | ES0155853031 | 285 | 11.504€ | -4,05% | 5,78% | 3,38% | 5,32% |
CAIXABANK DESTINO 2030, FI | ES0137474005 | 16.128 | 216.364€ | 3,15% | 5,76% | - | - |
GREDOS BOLSA INTERNACIONAL, FI | ES0143221002 | 183 | 16.247€ | -0,51% | 5,76% | - | - |
SABADELL EUROPA EMERGENTE BOLSA, FI | ES0111099026 | 0 | 0€ | 0,00% | 5,75% | -0,18% | - |
CAIXABANK GESTION TOTAL, FI | ES0114165006 | 852 | 98.852€ | 1,64% | 5,74% | 14,98% | 17,20% |
GLOBAL ESTRATEGIA, FI | ES0168657031 | 226 | 3.633€ | 4,21% | 5,74% | - | - |
IBERCAJA BOLSA, FI | ES0147186003 | 6 | 178€ | -6,62% | 5,71% | -3,87% | 5,51% |
GESCONSULT CRECIMIENTO EUROZONA, FI | ES0138911039 | 380 | 10.644€ | -1,71% | 5,68% | -1,62% | 5,44% |
ARQUIUNO DINAMICO 100RV FI | ES0110233014 | 121 | 7.748€ | 2,75% | 5,65% | - | - |
BNP PARIBAS CAAP EQUILIBRADO, FI | ES0171955034 | 728 | 63.034€ | 1,56% | 5,64% | 0,94% | 4,32% |
QUALITY INVERSION MODERADA, FI | ES0172242002 | 228.955 | 7.905.678€ | 3,32% | 5,63% | 0,77% | 2,02% |
IBERCAJA SELECCION BOLSA, FI | ES0147077004 | 28 | 46€ | -2,28% | 5,63% | -0,03% | - |
ALBUS, FI | ES0107678007 | 350 | 506.916€ | 1,47% | 5,62% | 1,66% | 6,14% |
IBERCAJA SELECCION BOLSA, FI | ES0147077038 | 1.944 | 42.655€ | -2,29% | 5,62% | -0,03% | 6,30% |
INVERSABADELL 70, FI | ES0174434011 | 0 | 0€ | -0,50% | 5,62% | - | - |
FONDITEL LINCE, FI | ES0137838001 | 33 | 168€ | -4,04% | 5,61% | - | - |
CAIXABANK DP INFLACION 2024, FI | ES0170740007 | 1.138 | 30.075€ | 7,29% | 5,61% | - | - |
DWS RENTA PLUS 2019, FI | ES0126894007 | 2.064 | 84.581€ | 2,54% | 5,58% | 3,14% | - |
FONDMAPFRE DIVERSIFICACION, FI | ES0147625034 | 511 | 101.779€ | -2,92% | 5,57% | -0,69% | 4,77% |
IBERCAJA BOLSA, FI | ES0147186037 | 4.478 | 66.605€ | -6,86% | 5,57% | -3,96% | 5,46% |
EUROAGENTES BOLSA MIXTO FI | ES0133797037 | 48 | 1.639€ | -0,54% | 5,55% | 0,72% | 3,11% |
PRINCIPIUM,FI | ES0178016038 | 164 | 24.080€ | 3,03% | 5,54% | 0,57% | 6,31% |
MILLENNIAL FUND, FI | ES0162917001 | 146 | 2.953€ | 0,72% | 5,52% | - | - |
GESTION BOUTIQUE, FI | ES0116831035 | 39 | 8.765€ | 2,42% | 5,52% | 1,11% | - |
METAVALOR DIVIDENDO, FI | ES0162701009 | 2.327 | 42.630€ | 5,64% | 5,50% | - | - |
GESCOOPERATIVO GESTION DECIDIDO, FI | ES0174304032 | 1.407 | 31.374€ | -2,10% | 5,45% | 0,15% | 5,47% |
UBS CORTO PLAZO EURO,FI | ES0180913008 | 425 | 53.692€ | 2,03% | 5,42% | 2,77% | 3,13% |
CATALANA OCCIDENTE PATRIMONIO, FI | ES0116903032 | 1.588 | 21.990€ | 0,58% | 5,41% | 1,69% | 5,33% |
CARTERA VARIABLE, FI | ES0116565039 | 298 | 8.155€ | -6,93% | 5,39% | -4,76% | 4,33% |
INVERSABADELL 70, FI | ES0174434003 | 79 | 15.396€ | -0,75% | 5,36% | - | - |
ALTAIR INVERSIONES, FI | ES0113545034 | 181 | 24.378€ | -1,54% | 5,32% | 2,80% | 7,68% |
ALBUS, FI | ES0107678015 | 5.211 | 1.150.279€ | 1,17% | 5,31% | 1,35% | 5,82% |
BNP PARIBAS GLOBAL DINVER, FI | ES0160615037 | 110 | 33.980€ | 0,55% | 5,30% | 1,29% | 4,83% |
PREMIUM JB MODERADO, FI | ES0115217038 | 162 | 23.234€ | 2,54% | 5,26% | 6,26% | 3,00% |
CAJA LABORAL CRECIMIENTO, FI | ES0115468037 | 595 | 5.306€ | -1,04% | 5,22% | -0,06% | 4,05% |
RENTA 4 MULTIGESTION, FI | ES0173311046 | 48 | 1.167€ | 0,65% | 5,16% | 0,72% | - |
SABADELL EUROPA EMERGENTE BOLSA, FI | ES0111099000 | 7.874 | 7.604€ | -0,26% | 5,16% | -0,83% | - |
SABADELL EUROPA EMERGENTE BOLSA, FI | ES0111099018 | 4 | 640€ | -0,55% | 5,16% | -0,73% | - |
BANKIA BOLSA MUNDIAL, FI | ES0159037037 | 58.846 | 372.413€ | 0,81% | 5,15% | -2,13% | 4,94% |
MEDIOLANUM CRECIMIENTO, FI | ES0137389047 | 892 | 13.358€ | 0,86% | 5,14% | 1,51% | - |
ARQUIUNO DINAMICO 100RV FI | ES0110233006 | 316 | 2.617€ | 2,27% | 5,13% | - | - |
CAIXABANK BOLSA SELECCION EUROPA, FI | ES0138181013 | 25 | 13.884€ | -0,82% | 5,07% | -1,23% | 6,58% |
GESTION MULTIPERFIL, FI | ES0125322042 | 155 | 8.425€ | -0,02% | 5,06% | -0,21% | - |
INVERSABADELL 70, FI | ES0174434029 | 0 | 0€ | -0,93% | 5,05% | - | - |
LABORAL KUTXA AKTIBO, FI | ES0157071004 | 1.369 | 14.035€ | 0,95% | 5,04% | 3,49% | - |
GESIURIS BALANCED EURO, FI | ES0133461030 | 101 | 6.987€ | -2,16% | 5,04% | -3,20% | 3,67% |
BMN BOLSA ESPAÑOLA, FI | ES0158324030 | 1.690 | 34.966€ | 5,12% | 5,03% | 3,81% | 9,32% |
CARTERA OPTIMA DECIDIDA, FI | ES0133620007 | 2.086 | 211.535€ | 1,23% | 5,01% | 1,82% | 5,09% |
ABANCA GESTION, FI | ES0133400046 | 54 | 3.397€ | 1,69% | 5,00% | 0,44% | - |
GVCGAESCO EMERGENTFOND, FI | ES0140628035 | 1.427 | 22.315€ | -1,17% | 4,98% | -0,86% | 3,26% |
FONDMAPFRE ELECCIÓN DECIDIDA, F.I. | ES0138022001 | 657 | 33.439€ | -1,30% | 4,98% | - | - |
BNP PARIBAS DIVERSIFIED, FI | ES0118581034 | 157 | 38.347€ | 0,65% | 4,95% | 1,01% | 4,45% |
SEGURFONDO ETICO CARTERA FLEXIBLE, FI | ES0175316001 | 146 | 34.049€ | 1,87% | 4,93% | 2,57% | 3,58% |
MERCH SELECCIÓN DE FONDOS, FI | ES0162187001 | 180 | 7.755€ | 0,18% | 4,93% | - | - |
GREDOS BOLSA EURO, FI | ES0143231001 | 157 | 14.036€ | -0,07% | 4,93% | - | - |
ABACO RENTA FIJA MIXTA GLOBAL, FI | ES0140072002 | 220 | 62.681€ | -2,02% | 4,92% | 1,69% | 3,90% |
CS ESTRATEGIA GLOBAL, FI | ES0127021030 | 174 | 15.030€ | -3,20% | 4,89% | -0,52% | 1,97% |
TRAMONTANA RETORNO ABSOLUTO AUDAZ, FI | ES0179692001 | 97 | 3.290€ | -0,94% | 4,88% | -2,20% | - |
BEST JP MORGAN AM, FI | ES0114524004 | 576 | 17.904€ | 3,63% | 4,88% | - | - |
BNP PARIBAS GLOBAL ASSET ALLOCATION, FI | ES0118531039 | 106 | 58.371€ | 1,54% | 4,83% | 1,74% | 4,58% |
NB BOLSA USA SELECCION, FI | ES0133338030 | 325 | 2.118€ | -4,16% | 4,83% | -1,36% | 7,02% |
BANKINTER CARTERA PRIVADA DINÁMICA, FI | ES0115086003 | 494 | 40.731€ | 0,06% | 4,82% | - | - |
RENTA 4 NEXUS, FI | ES0173268006 | 7.893 | 192.686€ | 2,11% | 4,81% | 3,13% | 4,67% |
BBVA OPORTUNIDAD ACCIONES VI, FI | ES0113830006 | 1.372 | 43.050€ | 8,55% | 4,80% | - | - |
ABANTE SELECCION, FI | ES0162946034 | 3.191 | 417.373€ | 2,49% | 4,78% | 2,05% | 4,35% |
CAIXABANK GESTION TOTAL, FI | ES0114165030 | 1.691 | 63.192€ | 0,70% | 4,78% | - | - |
CX OPORTUNITAT BORSA 2, FI | ES0159508003 | 833 | 21.186€ | 8,33% | 4,77% | - | - |
CA SELECCION ESTRATEGIA 80, FI | ES0164593032 | 296 | 10.547€ | 0,76% | 4,70% | -0,28% | 2,69% |
FONDEMAR DE INVERSIONES, FI | ES0138053030 | 102 | 5.956€ | -0,99% | 4,70% | -2,78% | 1,89% |
RENTA 4 WERTEFINDER, FI | ES0173323009 | 807 | 7.180€ | -1,22% | 4,69% | 1,17% | 4,60% |
UNIFOND AUDAZ, FI | ES0138173036 | 2.391 | 48.278€ | 0,80% | 4,67% | 0,68% | 2,65% |
IBERCAJA DIVIDENDO, FI | ES0146824018 | 9.117 | 71.466€ | -2,18% | 4,66% | -1,18% | 5,91% |
RENTA 4 MULTIGESTION, FI | ES0173311103 | 478 | 3.291€ | 9,87% | 4,62% | 0,90% | - |
DUX MIXTO VARIABLE, FI | ES0128067008 | 317 | 47.759€ | 4,54% | 4,62% | 1,56% | 6,45% |
FONDMAPFRE BOLSA, FI | ES0138901030 | 6.392 | 304.206€ | -4,11% | 4,62% | -1,85% | 4,14% |
ABANCA RENTA VARIABLE MIXTA, FI | ES0115418032 | 1.623 | 17.244€ | -1,53% | 4,58% | -0,37% | 4,50% |
COMPAS EQUILIBRADO, FI | ES0180571004 | 744 | 180.908€ | 1,08% | 4,57% | 2,00% | - |
SABADELL BONOS ALTO INTERES, FI | ES0111146025 | 1 | 1.547€ | -0,87% | 4,56% | 3,55% | - |
SABADELL EUROPA EMERGENTE BOLSA, FI | ES0111099034 | 410 | 1.703€ | -1,14% | 4,55% | -1,31% | -5,02% |
FONBUSA FONDOS, FI | ES0138438033 | 169 | 25.571€ | -0,84% | 4,55% | 0,06% | 4,49% |
SABADELL RENTA VARIABLE MIXTA ESPAÑA, FI | ES0111124014 | 0 | 0€ | -2,95% | 4,54% | -2,25% | - |
CS GLOBAL MARKET TRENDS, FI | ES0125103004 | 41 | 68.647€ | 5,06% | 4,53% | - | - |
GESTION BOUTIQUE II, FI | ES0168797001 | 63 | 2.608€ | -2,05% | 4,53% | - | - |
INVERSABADELL 70, FI | ES0174434037 | 2.206 | 30.710€ | -1,51% | 4,53% | - | - |
BANKINTER EUROSTOXX 2024 PLUS II GARANTIZADO, FI | ES0114839030 | 920 | 34.120€ | 2,14% | 4,53% | - | - |
IBERCAJA DIVIDENDO, FI | ES0146824000 | 3.069 | 110.252€ | -2,43% | 4,52% | -1,27% | 5,86% |
GESTION BOUTIQUE II, FI | ES0168797027 | 37 | 5.263€ | 0,78% | 4,50% | - | - |
JB INVERSIONES, FI | ES0156473003 | 190 | 71.195€ | -1,08% | 4,49% | - | - |
MEDIOLANUM CRECIMIENTO, FI | ES0137389005 | 694 | 16.796€ | 0,20% | 4,46% | 0,82% | 4,70% |
RENTA 4 USA, FI | ES0173364037 | 970 | 8.409€ | 3,79% | 4,45% | 6,30% | 10,12% |
AEGON INVERSION MV, FI | ES0147616033 | 100 | 3.437€ | -1,69% | 4,44% | -1,72% | 1,99% |
SANTANDER SELECT DECIDIDO, FI | ES0113605002 | 8.649 | 596.696€ | 2,47% | 4,37% | 1,62% | 4,75% |
GLOBAL VALUE SELECTION FI | ES0142338005 | 131 | 49.360€ | 0,16% | 4,36% | 0,90% | 3,76% |
BBVA 100X95 EXPOSICION EUROPA, FI | ES0118846007 | 199 | 10.187€ | 14,18% | 4,32% | - | - |
ATL CAPITAL CARTERA TACTICA, FI | ES0111151009 | 538 | 24.972€ | 1,24% | 4,29% | -0,89% | 2,57% |
PBP CARTERA ACTIVA, FI | ES0157037021 | 39 | 3.086€ | 1,32% | 4,28% | 0,69% | - |
CAIXABANK BOLSA SELECCION EUROPA, FI | ES0138181005 | 681 | 53.461€ | -1,57% | 4,25% | -2,00% | 5,74% |
SABADELL BONOS ALTO INTERES, FI | ES0111146017 | 44 | 7.137€ | -1,17% | 4,25% | 3,24% | - |
GESTION BOUTIQUE, FI | ES0116831084 | 50 | 7.076€ | -1,86% | 4,25% | -1,04% | - |
SANTANDER PB CARTERA 90, FI | ES0166333031 | 722 | 56.413€ | -0,25% | 4,24% | 0,65% | 3,23% |
SABADELL EQUILIBRADO, FI | ES0174436032 | 34 | 50.972€ | 0,83% | 4,19% | - | - |
CAIXABANK DESTINO 2022, FI | ES0137608016 | 6.719 | 589.326€ | 2,37% | 4,17% | - | - |
SABADELL BONOS ALTO INTERES, FI | ES0111146033 | 123 | 124€ | -1,07% | 4,17% | 3,10% | - |
GESTION BOUTIQUE II, FI | ES0168797050 | 93 | 8.751€ | 0,50% | 4,17% | - | - |
SANTANDER SELECT DECIDIDO, FI | ES0113605010 | 4.453 | 50.214€ | 2,27% | 4,16% | 1,42% | 4,55% |
TREA CAJAMAR CRECIMIENTO FI | ES0109226037 | 6.476 | 159.736€ | 0,22% | 4,13% | 1,16% | 3,24% |
INVERSABADELL 50, FI | ES0174391013 | 1 | 1.221€ | -0,20% | 4,13% | - | - |
ALTAIR INVERSIONES II, FI | ES0108526007 | 405 | 27.078€ | -2,36% | 4,11% | - | - |
GESCOOPERATIVO RENTA FIJA HIGH YIELD, FI | ES0142100009 | 4.516 | 15.461€ | 0,83% | 4,11% | - | - |
CS GLOBAL AFI, FI | ES0142537036 | 137 | 16.907€ | 0,18% | 4,09% | -0,28% | 2,01% |
CAIXABANK RENTA FIJA SELECCION HIGH YIELD, FI | ES0184922013 | 7 | 3.038€ | -0,25% | 4,07% | 2,35% | 2,98% |
SABADELL RENTA VARIABLE MIXTA ESPAÑA, FI | ES0111124006 | 15 | 1.971€ | -3,38% | 4,07% | -2,69% | - |
LABORAL KUTXA SELEK PLUS,FI | ES0158674004 | 4.027 | 231.704€ | 1,61% | 4,07% | 0,57% | 3,45% |
BMN MIXTO FLEXIBLE, FI | ES0139010039 | 779 | 18.532€ | 5,94% | 4,05% | 4,39% | 7,79% |
FONBILBAO GLOBAL 50, FI | ES0138321031 | 306 | 11.646€ | 1,25% | 4,05% | 2,17% | 4,67% |
BBVA MI INVERSION MIXTA, FI | ES0119179002 | 20.848 | 821.802€ | 1,13% | 4,02% | - | - |
EUROVALOR MIXTO-50, FI | ES0133875031 | 1.284 | 26.766€ | -4,49% | 4,02% | -1,20% | 3,22% |
NB EUROPA 70, FI | ES0133093007 | 26 | 374€ | -5,12% | 4,02% | - | - |
SABADELL RENTA VARIABLE MIXTA ESPAÑA, FI | ES0111124022 | 0 | 0€ | -3,21% | 4,01% | - | - |
ALCALA BOLSA MIXTO, FI | ES0107692032 | 102 | 11.232€ | 1,60% | 4,00% | 0,63% | 3,37% |
ATL CAPITAL CARTERA DINAMICA, FI | ES0111127017 | 10 | 8.067€ | 0,65% | 4,00% | -3,75% | 3,15% |
BEST MANAGER SELECTION, FI | ES0145807006 | 702 | 42.753€ | 1,01% | 4,00% | 1,48% | 4,88% |
SANTANDER PB CARTERA FLEXIBLE 95, FI | ES0113981007 | 3.575 | 418.075€ | -0,95% | 3,98% | 0,72% | 3,81% |
PENTA INVERSION, FI | ES0168997007 | 43 | 6.869€ | 1,07% | 3,98% | 1,16% | - |
IBERCAJA 2025 GARANTIZADO 2, FI | ES0146845005 | 3.783 | 107.490€ | 7,32% | 3,98% | - | - |
SABADELL EQUILIBRADO, FI | ES0174436024 | 1.869 | 345.755€ | 0,63% | 3,98% | - | - |
SABADELL EQUILIBRADO, FI | ES0174436057 | 26 | 14.645€ | 0,62% | 3,98% | - | - |
CARTERA OPTIMA DECIDIDA, FI | ES0133620031 | 6.784 | 155.142€ | 0,23% | 3,97% | 0,81% | - |
RENTA 4 JAPON, FI | ES0173356033 | 541 | 2.525€ | 0,53% | 3,95% | 0,44% | 5,92% |
MEDIOLANUM MERCADOS EMERGENTES, FI | ES0136467042 | 773 | 10.227€ | -1,31% | 3,95% | 4,02% | - |
IBERCAJA SELECCION CAPITAL, FI | ES0147197034 | 7.669 | 279.708€ | -1,38% | 3,95% | -0,05% | 4,83% |
BANKINTER EUROPA 2025 GARANTIZADO, FI | ES0113585006 | 407 | 17.053€ | 3,54% | 3,94% | - | - |
SABADELL EQUILIBRADO, FI | ES0174436016 | 14 | 263€ | 0,63% | 3,93% | - | - |
ACACIA INVERMIX 30-60, FI | ES0105207007 | 34 | 6.932€ | 1,46% | 3,92% | - | - |
FONDGESKOA, FI | ES0138869039 | 407 | 18.877€ | -3,45% | 3,91% | -1,56% | 3,39% |
SABADELL FINANCIAL CAPITAL, FI | ES0111093029 | 2 | 2.059€ | -2,22% | 3,88% | 1,31% | - |
SABADELL EQUILIBRADO, FI | ES0174436040 | 325 | 13.914€ | 0,52% | 3,88% | - | - |
INVERSABADELL 50, FI | ES0174391005 | 300 | 52.437€ | -0,44% | 3,87% | - | - |
SABADELL COMMODITIES, FI | ES0179606035 | 1 | 1.466€ | -8,56% | 3,86% | - | - |
ALCALA GLOBAL, FI | ES0107693030 | 109 | 11.766€ | 1,19% | 3,83% | 0,56% | 3,81% |
MEDIOLANUM CRECIMIENTO, FI | ES0137389039 | 3.210 | 27.993€ | -0,40% | 3,83% | 0,22% | 4,09% |
CS RENTA FIJA 0-5, FI | ES0124880032 | 486 | 142.794€ | 0,41% | 3,83% | 1,56% | 2,97% |
RURAL MIXTO 50, FI | ES0174398034 | 2.191 | 47.893€ | -3,62% | 3,82% | -0,84% | 3,31% |
BEST CARMIGNAC, FI | ES0114572003 | 758 | 17.093€ | -1,41% | 3,81% | - | - |
ACACIA INVERMIX 30-60, FI | ES0105207015 | 271 | 1.830€ | 1,34% | 3,79% | - | - |
UBS CAPITAL 2 PLUS, FI | ES0180948038 | 114 | 83.344€ | 0,44% | 3,79% | 2,35% | 3,04% |
GESCAFONDO, FI | ES0124506033 | 155 | 14.711€ | 0,42% | 3,79% | - | - |
PBP FONDOS DE AUTOR SELECCION GLOBAL, FI | ES0168851030 | 360 | 22.755€ | 0,28% | 3,77% | 0,80% | 3,30% |
SABADELL EQUILIBRADO, FI | ES0174436008 | 10.873 | 249.361€ | 0,42% | 3,77% | - | - |
CAIXABANK DESTINO 2022, FI | ES0137608008 | 39.938 | 640.967€ | 1,96% | 3,75% | - | - |
SABADELL BONOS ALTO INTERES, FI | ES0111146009 | 644 | 12.294€ | -1,66% | 3,73% | 2,74% | 1,99% |
SANTANDER SOLIDARIO DIVIDENDO EUROPA, FI | ES0114350038 | 708 | 22.851€ | -1,86% | 3,70% | -1,57% | 5,62% |
MUTUAFONDO GESTION OPTIMA DINAMICO, FI | ES0165181035 | 183 | 7.848€ | 0,97% | 3,70% | -0,22% | 1,38% |
PATRISA, FI | ES0168812032 | 105 | 12.736€ | -1,00% | 3,68% | 1,38% | 5,63% |
SABADELL FINANCIAL CAPITAL, FI | ES0111093011 | 62 | 10.022€ | -2,41% | 3,67% | 1,12% | - |
CS GLOBAL FONDOS GESTION ACTIVA, FI | ES0132214034 | 127 | 13.086€ | 0,43% | 3,67% | 0,39% | 2,98% |
AVANCE GLOBAL, FI | ES0112340031 | 93 | 44.799€ | -0,10% | 3,65% | 1,07% | 4,04% |
SABADELL FINANCIAL CAPITAL, FI | ES0111093037 | 1 | 1.045€ | -2,29% | 3,65% | - | - |
CAIXABANK CRECIMIENTO, FI | ES0164540033 | 16.990 | 1.544.659€ | 2,36% | 3,64% | 1,22% | 3,93% |
CAIXABANK RENTA FIJA SUBORDINADA, FI | ES0137794014 | 3 | 2.587€ | 0,49% | 3,64% | - | - |
GLOBAL MANAGERS FUNDS, FI | ES0131304034 | 115 | 22.898€ | 1,81% | 3,62% | - | - |
CAIXABANK BOLSA GESTION SUIZA, FI | ES0177031004 | 584 | 57.323€ | 17,39% | 3,60% | 9,56% | - |
BMN RF FLEXIBLE, FI | ES0138610037 | 322 | 7.074€ | 4,40% | 3,60% | 2,27% | 1,43% |
RENTA 4 DELTA, FI | ES0173317035 | 5 | 1.043€ | 2,07% | 3,58% | 2,49% | 4,32% |
MARCH CARTERA MODERADA, FI | ES0123549000 | 2.490 | 158.213€ | 0,89% | 3,57% | 1,41% | 2,74% |
INVERSABADELL 50, FI | ES0174391021 | 0 | 0€ | -0,63% | 3,57% | - | - |
CAIXABANK RENTA FIJA SELECCION HIGH YIELD, FI | ES0184922005 | 109 | 7.901€ | -0,71% | 3,56% | 1,84% | 2,46% |
GVCGAESCO PATRIMONIALISTA, FI | ES0141114019 | 11 | 4.626€ | -0,56% | 3,56% | -0,96% | 3,48% |
GESTION MULTIPERFIL, FI | ES0125322034 | 253 | 14.062€ | -1,03% | 3,55% | -0,47% | - |
BANKIA BANCA PRIVADA EUROSTOXX 2018, FI | ES0113566006 | 36 | 1.918€ | 2,19% | 3,55% | - | - |
PENTA INVERSION, FI | ES0168997015 | 243 | 4.760€ | 0,59% | 3,53% | 0,70% | - |
RENTA 4 VALOR RELATIVO, FI | ES0128522002 | 2.009 | 55.895€ | 0,92% | 3,52% | 3,46% | 5,49% |
SANTANDER RF CONVERTIBLES, FI | ES0113661039 | 1.327 | 75.573€ | -0,27% | 3,51% | 0,82% | 2,63% |
FONRADAR INTERNACIONAL, FI | ES0139957031 | 114 | 3.078€ | -1,90% | 3,50% | -1,92% | 4,83% |
CAIXABANK BOLSA SELECCION EUROPA, FI | ES0138181039 | 5.614 | 63.090€ | -2,28% | 3,49% | -2,72% | 4,96% |
UNIFOND BOLSA 2018-I, FI | ES0180861009 | 437 | 7.551€ | 2,30% | 3,49% | - | - |
WELZIA FLEXIBLE 10, FI | ES0184684035 | 126 | 12.122€ | 1,42% | 3,48% | 0,70% | 1,54% |
GVC GAESCO SOSTENIBLE ISR, FI | ES0164837017 | 18 | 7.996€ | 0,30% | 3,48% | 1,70% | - |
IMANTIA DEUDA SUBORDINADA, FI | ES0107531032 | 1.457 | 15.224€ | 5,64% | 3,47% | 1,58% | 4,24% |
ARQUIUNO EQUILIBRADO 60RV FI | ES0126459017 | 332 | 22.213€ | 0,83% | 3,45% | - | - |
SABADELL RENTA VARIABLE MIXTA ESPAÑA, FI | ES0111124030 | 536 | 6.979€ | -3,96% | 3,45% | -3,27% | 2,21% |
ABANTE BOLSA ABSOLUTA, FI | ES0109655037 | 210 | 38.318€ | 1,36% | 3,42% | 1,20% | 3,14% |
SABADELL GARANTIA FIJA 16, FI | ES0175095001 | 7.039 | 245.936€ | 3,96% | 3,42% | - | - |
GESTION BOUTIQUE II, FI | ES0168797035 | 40 | 4.858€ | 2,59% | 3,41% | - | - |
ATL CAPITAL CARTERA DINAMICA, FI | ES0111127009 | 91 | 1.726€ | 0,05% | 3,38% | -4,28% | 2,59% |
CAIXABANK BOLSA DIVIDENDO EUROPA, FI | ES0184923029 | 1 | 1€ | -1,57% | 3,37% | -3,12% | - |
SABADELL FINANCIAL CAPITAL, FI | ES0111093003 | 299 | 5.110€ | -2,70% | 3,36% | 0,80% | 1,90% |
ING DIRECT FONDO NARANJA DINAMICO, FI | ES0152743003 | 23.523 | 296.865€ | 2,11% | 3,36% | 2,12% | 4,28% |
SABADELL URQUIJO PATRIMONIO PRIVADO 5, FI | ES0161847035 | 218 | 13.082€ | -0,06% | 3,36% | - | - |
CAIXABANK CRECIMIENTO, FI | ES0164540009 | 72.477 | 1.154.049€ | 2,07% | 3,34% | 0,93% | 3,63% |
CS GLOBAL MARKET TRENDS, FI | ES0125103012 | 239 | 27.889€ | 3,91% | 3,34% | - | - |
CAIXABANK VALOR BOLSA ESPAÑA, FI | ES0164854004 | 463 | 6.335€ | 0,77% | 3,32% | - | - |
EJECUTIVOS GLOBALFOND, FI | ES0128496033 | 698 | 6.315€ | -0,42% | 3,32% | - | - |
CARTERA OPTIMA FLEXIBLE, FI | ES0133613002 | 268 | 26.484€ | 0,94% | 3,31% | 0,85% | 3,11% |
EDM VALORES UNO, FI | ES0127796037 | 132 | 11.553€ | 0,86% | 3,31% | - | - |
CAIXABANK RENTA FIJA SUBORDINADA, FI | ES0137794006 | 324 | 29.803€ | 0,30% | 3,30% | - | - |
POPULAR SELECCIÓN FI | ES0170417002 | 5 | 5.916€ | 0,02% | 3,28% | 0,83% | 3,82% |
MEDIOLANUM CRECIMIENTO, FI | ES0137389054 | 286 | 4.834€ | -1,03% | 3,27% | 0,31% | - |
MEDIOLANUM MERCADOS EMERGENTES, FI | ES0136467000 | 523 | 10.546€ | -1,95% | 3,27% | 3,43% | 3,07% |
PATRIMONIO GLOBAL, FI | ES0175807009 | 151 | 127.881€ | 0,94% | 3,26% | 2,27% | 2,88% |
FON FINECO PATRIMONIO GLOBAL, FI | ES0175605015 | 39 | 56.403€ | 1,93% | 3,26% | - | - |
FONGRUM, FI | ES0138876000 | 38 | 3.389€ | 0,77% | 3,26% | 0,31% | 2,09% |
BBVA GESTION MODERADA, FI | ES0113993036 | 9.433 | 215.580€ | 0,72% | 3,25% | 1,13% | 3,87% |
ESPINOSA PARTNERS INVERSIONES, FI | ES0133091035 | 124 | 17.211€ | 0,55% | 3,24% | -1,78% | 2,87% |
GESCONSULT RENTA FIJA FLEXIBLE, FI | ES0138217031 | 940 | 73.395€ | 2,19% | 3,24% | -0,62% | 3,25% |
CAJA INGENIEROS RENTA, FI | ES0114986039 | 1.680 | 25.699€ | -0,16% | 3,21% | 0,04% | 3,68% |
MUTUAFONDO BONOS FINANCIEROS, FI | ES0124143001 | 776 | 44.854€ | 0,01% | 3,19% | 2,21% | 3,25% |
IBERCAJA HIGH YIELD, FI | ES0147105003 | 19.572 | 60.045€ | 1,79% | 3,19% | 0,60% | 1,90% |
LEASETEN III, FI | ES0158021032 | 100 | 483€ | 3,90% | 3,18% | 1,93% | 5,07% |
BBVA RENDIMIENTO EUROPA POSITIVO, FI | ES0184827006 | 6.505 | 219.635€ | 2,19% | 3,18% | - | - |
SABADELL COMMODITIES, FI | ES0179606027 | 18 | 2.146€ | -9,21% | 3,18% | - | - |
FONBUSA MIXTO, FI | ES0138592037 | 191 | 28.005€ | -2,22% | 3,17% | -1,92% | 2,29% |
GLOBAL BEST SELECTION, FI | ES0142233032 | 106 | 8.406€ | 1,06% | 3,17% | - | - |
BANKINTER INDICE ESPAÑA 2024 GARANTIZADO, FI | ES0113816039 | 642 | 23.156€ | -0,92% | 3,15% | - | - |
BANKINTER EUROSTOXX 2024 PLUS GARANTIZADO, FI | ES0159142001 | 446 | 15.706€ | 2,13% | 3,11% | - | - |
RENTA 4 MULTIGESTION, FI | ES0173311061 | 43 | 1.855€ | -0,41% | 3,10% | 1,74% | - |
SANTANDER TANDEM 20-60 FI | ES0145814036 | 23.446 | 598.556€ | -2,04% | 3,10% | -0,01% | 4,04% |
CAIXABANK BOLSA GESTION SUIZA, FI | ES0177031038 | 3.724 | 51.017€ | 16,81% | 3,09% | 9,02% | 12,51% |
FONALCALA, FI | ES0138932035 | 104 | 10.876€ | 0,08% | 3,09% | -0,63% | 2,60% |
SANTANDER DIVIDENDO EUROPA, FI | ES0109360000 | 6.446 | 396.323€ | -2,39% | 3,08% | -1,06% | 5,99% |
CAIXABANK RENTA FIJA SELECCION HIGH YIELD, FI | ES0184922039 | 1.771 | 8.814€ | -1,16% | 3,07% | 1,35% | 1,96% |
MEDIOLANUM RENTA, FI | ES0165126048 | 807 | 21.086€ | 0,80% | 3,07% | - | - |
IBERCAJA HIGH YIELD, FI | ES0147105037 | 1.451 | 80.082€ | 1,55% | 3,07% | 0,53% | 1,86% |
GESIURIS IURISFOND, FI | ES0156322036 | 219 | 10.910€ | 1,25% | 3,07% | 0,73% | 2,46% |
SABADELL COMMODITIES, FI | ES0179606019 | 11.299 | 15.746€ | -9,10% | 3,07% | - | - |
FON FINECO PATRIMONIO GLOBAL, FI | ES0175605007 | 1.294 | 254.588€ | 1,74% | 3,06% | - | - |
INVERSABADELL 50, FI | ES0174391039 | 3.871 | 75.315€ | -1,21% | 3,06% | - | - |
WORLD SOLIDARITY FUND, FI | ES0170646030 | 150 | 15.101€ | 3,91% | 3,05% | 1,95% | 1,16% |
UNIFOND MIXTO EQUILIBRADO, FI | ES0180988000 | 551 | 12.610€ | -0,84% | 3,05% | - | - |
CX EVOLUCIÓ EUROPA FI | ES0125245003 | 1.092 | 32.322€ | 2,32% | 3,05% | - | - |
CARTERA SELECCION, FI | ES0116371008 | 0 | 0€ | 1,99% | 3,04% | 1,56% | 4,32% |
FONDITEL ALBATROS, FI | ES0138184009 | 27 | 131.854€ | 1,08% | 3,03% | 1,51% | 4,59% |
FON-FINECO I, FI | ES0138783032 | 427 | 23.515€ | -0,42% | 3,03% | -1,45% | 3,48% |
GESCONSULT TALENTO, FI | ES0141991002 | 344 | 11.123€ | -1,50% | 3,02% | -0,82% | 1,38% |
SABADELL 90 CAPITAL BOLSA EURO 1, FI | ES0174310005 | 269 | 21.565€ | -3,91% | 3,01% | - | - |
BANKINTER INDICE EUROPEO 2025 GARANTIZADO, FI | ES0130356001 | 380 | 14.477€ | 4,10% | 2,99% | - | - |
RENTA 4 RENTA FIJA EURO, FI | ES0173319031 | 298 | 2.470€ | 2,00% | 2,98% | 3,76% | 6,29% |
SANTANDER 100 VALOR CRECIENTE, FI | ES0174774002 | 8.176 | 368.691€ | 1,89% | 2,97% | - | - |
NB EUROPA 25, FI | ES0168656033 | 247 | 4.005€ | 0,65% | 2,97% | - | - |
EGERIA GLOBAL, FI | ES0128266014 | 1 | 1.441€ | -0,72% | 2,96% | 0,26% | - |
CAJA LABORAL BOLSA GARANTIZADO VI, FI | ES0115477038 | 1.989 | 39.582€ | 2,34% | 2,96% | - | - |
ABANTE BOLSA ABSOLUTA, FI | ES0109655003 | 2.131 | 245.441€ | 0,88% | 2,95% | 0,73% | 2,66% |
AVANCE GLOBAL, FI | ES0112340007 | 40 | 932€ | -0,79% | 2,92% | 0,36% | - |
UBS RENTA GESTION ACTIVA, FI | ES0180933006 | 114 | 9.061€ | -0,76% | 2,92% | 1,11% | 1,61% |
RENTA 4 MULTIGESTION 2, FI | ES0174741019 | 47 | 8.828€ | -0,09% | 2,89% | - | - |
EUROVALOR BONOS ALTO RENDIMIENTO, FI | ES0133478034 | 943 | 21.690€ | -1,53% | 2,87% | 1,74% | 2,45% |
MEDIOLANUM MERCADOS EMERGENTES, FI | ES0136467034 | 5.412 | 13.251€ | -2,34% | 2,86% | 3,01% | 2,63% |
FON FINECO PATRIMONIO GLOBAL, FI | ES0175605031 | 995 | 78.674€ | 1,54% | 2,86% | 0,97% | 2,18% |
FONPROFIT, FI | ES0138929031 | 451 | 278.719€ | 0,21% | 2,86% | 0,58% | 2,94% |
GESDIVISA, FI | ES0142437039 | 131 | 43.803€ | -2,64% | 2,86% | -1,34% | 2,04% |
MUTUAFONDO BONOS FINANCIEROS, FI | ES0124143019 | 128 | 1.065€ | -0,45% | 2,85% | 1,80% | - |
FONDESPAÑA-DUERO GARANTIZADO RF IV/2020, FI | ES0138021003 | 612 | 14.472€ | 0,74% | 2,84% | - | - |
BMN HORIZONTE 2020, FI | ES0114544036 | 422 | 5.393€ | 1,65% | 2,84% | - | - |
GVCGAESCO PATRIMONIALISTA, FI | ES0141114001 | 1.792 | 56.687€ | -1,30% | 2,81% | -1,69% | 2,54% |
NB GLOBAL FLEXIBLE 0-50, FI | ES0137942001 | 586 | 13.868€ | 0,38% | 2,81% | - | - |
BANKINTER CARTERA PRIVADA AGRESIVA, FI | ES0113569000 | 129 | 9.565€ | -5,93% | 2,80% | - | - |
MUTUAFONDO FORTALEZA, FI | ES0165145022 | 1 | 13.850€ | 1,12% | 2,79% | 0,37% | - |
SANTANDER OBJETIVO RENDIMIENTO EUROPA II, FI | ES0176102004 | 309 | 19.856€ | 1,76% | 2,79% | - | - |
BANKINTER IBEX 2024 PLUS GARANTIZADO, FI | ES0113776035 | 471 | 15.276€ | 1,01% | 2,78% | - | - |
ALPHA PLUS RENTA FIJA DINAMICA, FI | ES0108686009 | 103 | 5.100€ | 0,03% | 2,77% | 0,89% | 2,21% |
MEDIOLANUM RENTA, FI | ES0165126006 | 728 | 56.430€ | 0,50% | 2,77% | 2,24% | 4,49% |
BMN GARANTIZADO SELECCION X, FI | ES0139776035 | 227 | 5.796€ | -0,16% | 2,77% | - | - |
ARQUIUNO EQUILIBRADO 60RV FI | ES0126459009 | 618 | 6.054€ | 0,08% | 2,76% | - | - |
LIBERBANK MIX-RENTA VARIABLE, FI | ES0111029031 | 570 | 9.678€ | 0,17% | 2,76% | -2,51% | 2,84% |
FONGRUM, FI | ES0138876034 | 161 | 24.561€ | -1,35% | 2,76% | -1,09% | 3,56% |
BANKINTER CUMBRE 2017 GARANTIZADO, FI | ES0164542005 | 442 | 13.937€ | 0,33% | 2,76% | - | - |
MEDIOLANUM CRECIMIENTO, FI | ES0137389021 | 180 | 1.789€ | -1,64% | 2,75% | -0,47% | - |
CARTERA OPTIMA FLEXIBLE, FI | ES0133613036 | 1.870 | 31.413€ | 0,39% | 2,74% | 0,30% | - |
CS DIRECTOR FLEXIBLE, FI | ES0125102030 | 237 | 18.565€ | 2,22% | 2,74% | -1,29% | 4,66% |
FONDONORTE, FI | ES0138828035 | 348 | 495.554€ | -0,15% | 2,74% | 0,35% | 3,49% |
BEST MORGAN STANLEY, FI | ES0145808004 | 550 | 16.296€ | -1,99% | 2,73% | - | - |
SABADELL GARANTIA EXTRA 23, FI | ES0175087008 | 8.567 | 293.574€ | 1,54% | 2,70% | - | - |
RENTA 4 RENTA FIJA MIXTO, FI | ES0108207038 | 1.066 | 11.421€ | -0,90% | 2,69% | 1,27% | 2,54% |
UNIFOND MIXTO RENTA VARIABLE, FI | ES0138666039 | 1.236 | 21.648€ | -2,83% | 2,69% | -2,95% | 3,02% |
PBP RENTA MULTIACTIVO, FI | ES0113321030 | 93 | 4.533€ | -0,52% | 2,69% | 1,46% | 1,88% |
GLOBAL ALLOCATION, FI | ES0116848005 | 1.009 | 29.028€ | -9,00% | 2,69% | -0,56% | 11,90% |
IBERCAJA CAPITAL GARANTIZADO, FI | ES0144254002 | 5.218 | 110.271€ | 3,64% | 2,68% | - | - |
BANKINTER INDICE EUROPA GARANTIZADO, FI | ES0114880034 | 537 | 21.563€ | 1,30% | 2,68% | - | - |
FONDMAPFRE ELECCION MODERADA, F.I. | ES0137910008 | 1.619 | 103.304€ | -1,87% | 2,66% | - | - |
IBERCAJA BP GLOBAL BONDS, FI | ES0146822012 | 35.067 | 210.946€ | 0,02% | 2,66% | 0,87% | 1,37% |
ADRIZA ACTIVOS, FI | ES0182753006 | 12 | 10€ | 0,84% | 2,64% | -3,51% | - |
BBVA BOLSA LATAM, FI | ES0142332032 | 1.806 | 26.448€ | -0,23% | 2,63% | -1,34% | -1,54% |
TREA CAJAMAR PATRIMONIO FI | ES0114547039 | 16.687 | 527.164€ | 0,39% | 2,62% | 1,26% | 2,73% |
MEDIOLANUM RENTA, FI | ES0165126030 | 2.766 | 50.932€ | 0,35% | 2,61% | 2,09% | 4,33% |
MUTUAFONDO FORTALEZA, FI | ES0165145006 | 1.138 | 48.908€ | 0,95% | 2,60% | 0,24% | - |
NB CESTA ACCIONES 2021, FI | ES0168621037 | 152 | 2.138€ | -0,88% | 2,60% | - | - |
CAIXABANK SELECCION ALTERNATIVA, FI | ES0115662019 | 148.221 | 561.350€ | -0,10% | 2,59% | - | - |
SABADELL COMMODITIES, FI | ES0179606001 | 281 | 2.258€ | -9,67% | 2,59% | - | - |
ALCALA GESTION ACTIVA FI | ES0174039034 | 362 | 6.683€ | 2,99% | 2,58% | 0,04% | 0,73% |
MERCH-FONTEMAR, FI | ES0138914033 | 620 | 46.310€ | -0,93% | 2,58% | 0,98% | 1,26% |
EUROVALOR GLOBAL CONVERTIBLES, FI | ES0133579005 | 310 | 4.076€ | -1,04% | 2,58% | -0,19% | 2,26% |
GESTION MULTIPERFIL, FI | ES0125322026 | 758 | 69.982€ | -0,62% | 2,58% | -0,16% | - |
RURAL EUROPA 24 GARANTIA, FI | ES0174187007 | 2.753 | 94.040€ | 1,30% | 2,58% | - | - |
CAIXABANK VALOR 95/30 EUROSTOXX, FI | ES0139782009 | 3.616 | 88.170€ | -0,37% | 2,58% | - | - |
BANKINTER EUROZONA GARANTIZADO, FI | ES0125632036 | 825 | 31.269€ | 2,75% | 2,58% | - | - |
CAIXABANK BOLSA DIVIDENDO EUROPA, FI | ES0184923011 | 30 | 11.877€ | -2,12% | 2,57% | -3,78% | 7,40% |
CARTERA OPTIMA MODERADA, FI | ES0133878001 | 7.965 | 855.776€ | 0,25% | 2,56% | 0,79% | 2,84% |
CARTESIO X, FI | ES0116567035 | 4.458 | 458.364€ | 0,11% | 2,56% | 0,89% | 3,43% |
SABADELL EURO YIELD, FI | ES0184976027 | 2 | 5.099€ | -0,14% | 2,56% | 3,56% | - |
SANTANDER DIVIDENDO EUROPA, FI | ES0109360034 | 9.481 | 160.545€ | -2,87% | 2,56% | -1,55% | 5,46% |
UBS RETORNO ACTIVO, FI | ES0180931034 | 739 | 132.094€ | -0,06% | 2,56% | 0,30% | 1,87% |
IBERCAJA BP GLOBAL BONDS, FI | ES0146822004 | 1.338 | 34.377€ | -0,17% | 2,56% | 0,81% | 1,34% |
MICROBANK FONDO ETICO, FI | ES0138516036 | 2.947 | 63.744€ | -0,15% | 2,55% | 0,67% | 3,52% |
IBERCAJA FLEXIBLE EUROPA 50-80, FI | ES0102563030 | 5.257 | 77.530€ | -4,40% | 2,55% | -2,44% | 2,52% |
UBS MIXTO GESTION ACTIVA, FI | ES0158316036 | 102 | 13.126€ | -0,01% | 2,54% | 1,60% | 3,11% |
LIBERBANK CARTERA MODERADA, FI | ES0115431035 | 6.990 | 235.394€ | 0,31% | 2,54% | - | - |
R.V. 30 FOND, FI | ES0173856032 | 2.219 | 102.016€ | -1,57% | 2,53% | 1,27% | 3,38% |
MUTUAFONDO GESTION OPTIMA MODERADO, FI | ES0165268006 | 1 | 96.374€ | 0,14% | 2,52% | 0,96% | 3,02% |
MUTUAFONDO HIGH YIELD, FI | ES0165238033 | 423 | 9.102€ | -2,02% | 2,51% | 1,88% | 3,21% |
BMN RF CORPORATIVA, FI | ES0138887031 | 1.781 | 43.087€ | 5,06% | 2,49% | -0,31% | 0,90% |
MUTUAFONDO MIXTO SELECCION, FI | ES0165183007 | 256 | 38.021€ | -0,80% | 2,45% | 0,24% | - |
EGERIA GLOBAL, FI | ES0128266006 | 109 | 4.436€ | -1,22% | 2,45% | -0,24% | - |
RURAL BOLSA GARANTIA 2024, FI | ES0156831036 | 1.844 | 51.082€ | -0,35% | 2,45% | - | - |
MEDIOLANUM CRECIMIENTO, FI | ES0137389013 | 93 | 1.420€ | -1,35% | 2,44% | -0,47% | - |
MAPFRE PUENTE GARANTIA 7, FI | ES0138353034 | 810 | 10.938€ | -2,05% | 2,44% | - | - |
EDR GLOBAL ADAGIO, FI | ES0118503004 | 177 | 29.948€ | 0,27% | 2,42% | 0,46% | 2,96% |
FIXED INCOME ASSET ALLOCATION FUND, FI | ES0170893038 | 122 | 2.756€ | 0,03% | 2,42% | - | - |
GESTION BOUTIQUE, FI | ES0116831019 | 101 | 15.658€ | 0,62% | 2,40% | 0,09% | - |
ACACIA RENTA DINAMICA, FI | ES0157935000 | 309 | 29.052€ | 1,50% | 2,39% | 3,00% | 2,70% |
ADRIZA INTERNATIONAL OPPORTUNITIES FUND, FI | ES0119375006 | 114 | 3.491€ | 1,30% | 2,39% | - | - |
ALPHA PLUS RENTA FIJA DINAMICA, FI | ES0108686017 | 3 | 252€ | -0,39% | 2,39% | 0,54% | 1,88% |
IMANTIA FLEXIBLE, FI | ES0106949037 | 2.781 | 15.935€ | -0,18% | 2,39% | -3,66% | 3,52% |
SANTANDER 100 VALOR GLOBAL 2, FI | ES0174704009 | 9.824 | 421.042€ | 3,00% | 2,38% | - | - |
EUROVALOR GARANTIZADO ACCIONES II, FI | ES0133545006 | 6.406 | 152.270€ | 3,16% | 2,37% | - | - |
SABADELL EURO YIELD, FI | ES0184976019 | 40 | 6.979€ | -0,33% | 2,36% | 3,35% | - |
WELZIA AHORRO 5, FI | ES0184694034 | 256 | 81.015€ | 0,09% | 2,35% | 0,35% | 1,43% |
SANTANDER SELECT MODERADO, FI | ES0107781009 | 119.745 | 6.633.701€ | 1,05% | 2,35% | 0,74% | 2,93% |
RENTA 4 MULTIGESTION, FI | ES0173311087 | 52 | 1.686€ | -0,43% | 2,35% | -1,17% | - |
SMART GESTION FLEXIBLE, FI | ES0176313007 | 171 | 9.036€ | 1,35% | 2,35% | 0,53% | - |
FONDANETO, FI | ES0138772035 | 106 | 8.734€ | -0,94% | 2,34% | 0,68% | 3,13% |
SABADELL GARANTIA EXTRA 17, FI | ES0140982036 | 4.490 | 147.288€ | -0,29% | 2,34% | - | - |
SABADELL EURO YIELD, FI | ES0184976001 | 16.082 | 148.284€ | -0,23% | 2,32% | 3,27% | - |
CA SELECCION ESTRATEGIA 50, FI | ES0124503006 | 281 | 11.844€ | -1,07% | 2,32% | 0,64% | - |
KUTXABANK GESTION ACTIVA RENDIMIENTO, FI | ES0114390034 | 19.954 | 245.742€ | -0,15% | 2,32% | -0,64% | 2,58% |
NB BOLSA INDICE 65, FI | ES0158762007 | 95 | 2.606€ | -4,08% | 2,32% | - | - |
CAIXABANK VALOR 97/50 EUROSTOXX 2, FI | ES0137434009 | 3.450 | 99.066€ | -0,31% | 2,31% | - | - |
SABADELL RENTAS, FI | ES0158321036 | 2.442 | 51.514€ | -0,72% | 2,28% | 2,56% | 1,57% |
PBP CARTERA ACTIVA, FI | ES0157037013 | 105 | 12.387€ | -0,34% | 2,27% | 0,33% | - |
FONSGLOBAL RENTA, FI | ES0136788033 | 88 | 11.829€ | -4,89% | 2,26% | -2,21% | 3,08% |
INVERSABADELL 25, FI | ES0177124015 | 22 | 32.242€ | 0,30% | 2,26% | - | - |
FONDITEL ALBATROS, FI | ES0138184017 | 33 | 68.961€ | 0,38% | 2,25% | 0,84% | - |
ATL CAPITAL CARTERA PATRIMONIO, FI | ES0111167005 | 608 | 47.734€ | 0,73% | 2,23% | -0,74% | 1,71% |
BANKINTER MERCADO ESPAÑOL II, FI | ES0114875034 | 451 | 12.538€ | 0,06% | 2,23% | - | - |
SANTANDER GENERACION 3, FI | ES0174762015 | 1.561 | 70.056€ | -1,22% | 2,22% | - | - |
SANTANDER GENERACION 3, FI | ES0174762023 | 453 | 63.494€ | -1,22% | 2,21% | - | - |
EUROAGENTES RENTA, FI | ES0133798035 | 100 | 2.884€ | -0,69% | 2,20% | -0,74% | 1,29% |
BNP PARIBAS CAAP MODERADO, FI | ES0171954037 | 613 | 62.702€ | -0,33% | 2,19% | 0,09% | 2,14% |
FON FINECO BEST, FI | ES0137881035 | 100 | 17.605€ | -0,56% | 2,19% | 1,24% | 3,30% |
MIRASSET SELECTOR FUND, FI | ES0110240001 | 107 | 10€ | -0,02% | 2,18% | -0,69% | 1,39% |
MUTUAFONDO UNNEFAR, FI | ES0165184005 | 79 | 5.728€ | 0,85% | 2,18% | - | - |
DALMATIAN, FI | ES0125651036 | 122 | 29.444€ | 0,24% | 2,17% | 0,48% | 2,33% |
FONMARCH, FI | ES0138841038 | 2.226 | 95.422€ | 1,36% | 2,17% | 0,79% | 2,83% |
NB EUROPA 50, FI | ES0158792004 | 100 | 1.668€ | -2,86% | 2,17% | - | - |
LABORAL KUTXA RENTA FIJA GARANTIZADO III,FI | ES0114890033 | 2.111 | 63.377€ | 2,87% | 2,17% | - | - |
BANKINTER RENTA FIJA CUARZO 2017 GARANTIZADO, FI | ES0118843004 | 1.036 | 44.377€ | 5,02% | 2,17% | - | - |
GESTION BOUTIQUE, FI | ES0116831068 | 28 | 5.704€ | -0,04% | 2,16% | -0,28% | - |
UNIFOND RENTAS GARANTIZADO 2024-X, FI | ES0180985006 | 5.113 | 160.476€ | 4,00% | 2,16% | - | - |
SANTANDER SELECT MODERADO, FI | ES0107781017 | 21.239 | 282.632€ | 0,85% | 2,15% | 0,54% | 2,73% |
MUTUAFONDO RENTA FIJA ESPAÑOLA, FI | ES0165182009 | 219 | 5.107€ | 1,22% | 2,15% | 2,09% | 4,22% |
MUTUAFONDO HIGH YIELD, FI | ES0165238009 | 10 | 35€ | -2,60% | 2,14% | 1,34% | 2,76% |
POPULAR SELECCIÓN FI | ES0170417010 | 239 | 5.598€ | -1,09% | 2,13% | -0,29% | 2,66% |
BANKINTER CESTA CONSOLIDACION GARANTIZADO, FI | ES0114832035 | 438 | 15.643€ | 2,70% | 2,13% | - | - |
SABADELL GARANTIZADO SELECCION II, FI | ES0122075031 | 332 | 4.860€ | -0,38% | 2,13% | - | - |
CAIXABANK BOLSA DIVIDENDO EUROPA, FI | ES0184923003 | 665 | 51.947€ | -2,54% | 2,12% | -4,21% | 6,92% |
QUALITY INVERSION CONSERVADORA, FI | ES0172273007 | 293.939 | 11.035.903€ | 0,83% | 2,11% | 0,08% | 0,01% |
MUTUAFONDO LP, FI | ES0165240039 | 632 | 20.469€ | 1,14% | 2,10% | 1,83% | 3,68% |
NB GLOBAL SOLIDARIO, FI | ES0131422000 | 112 | 26.047€ | -3,59% | 2,10% | - | - |
BBVA 100X95 EXPOSICION EUROPA II, FI | ES0119175000 | 320 | 14.447€ | 9,14% | 2,09% | - | - |
TREA CAJAMAR RENTA FIJA, FI | ES0180622005 | 24.299 | 876.289€ | 0,28% | 2,08% | - | - |
CAJA INGENIEROS 2019 BOLSA EUROPA GARANTIZADO, FI | ES0157327000 | 468 | 10.455€ | -2,52% | 2,08% | - | - |
NB GARANTIZADO EUROPA 70, FI | ES0158774002 | 75 | 2.898€ | -4,26% | 2,08% | - | - |
SABADELL URQUIJO PATRIMONIO PRIVADO 2, FI | ES0161851037 | 630 | 103.344€ | 0,21% | 2,08% | - | - |
CAIXABANK BOLSA RENTAS, FI | ES0137412013 | 38 | 17.227€ | 14,29% | 2,07% | - | - |
BBVA CRECIENTE, FI | ES0118856006 | 7.045 | 206.413€ | 2,08% | 2,07% | - | - |
RENTA 4 TOP SELECCIÓN MODERADO, FI | ES0176955005 | 1.042 | 15.655€ | 0,81% | 2,06% | - | - |
MERCH-OPORTUNIDADES, FI | ES0162305033 | 333 | 6.903€ | 11,25% | 2,06% | 0,96% | 2,28% |
SABADELL GARANTIA EXTRA 12, FI | ES0175090002 | 5.193 | 109.330€ | 8,00% | 2,06% | - | - |
UBS MIXTO GESTION ACTIVA, FI | ES0158316002 | 355 | 65.396€ | -0,44% | 2,05% | 1,14% | 2,58% |
SANTANDER GENERACION 3, FI | ES0174762007 | 1.493 | 18.510€ | -1,41% | 2,04% | - | - |
BNP PARIBAS MIXTO MODERADO, FI | ES0160617033 | 92 | 7.619€ | -0,97% | 2,04% | 1,05% | 3,20% |
BANKINTER EURIBOR RENTAS II GARANTIZADO, FI | ES0159143009 | 1.511 | 66.592€ | 4,12% | 2,04% | - | - |
BBVA CONSOLIDACIÓN 85, FI | ES0118855008 | 32.744 | 815.756€ | -0,24% | 2,02% | - | - |
SABADELL EMERGENTE MIXTO FLEXIBLE, FI | ES0105142022 | 0 | 0€ | -1,59% | 2,01% | 2,06% | - |
FONEMPORIUM, FI | ES0138907037 | 161 | 10.068€ | -1,87% | 2,01% | -1,32% | 1,49% |
INVERSABADELL 25, FI | ES0177124007 | 1.364 | 244.637€ | 0,05% | 2,01% | - | - |
SABADELL EURO YIELD, FI | ES0184976035 | 1.273 | 21.635€ | -0,68% | 2,00% | 2,99% | 3,73% |
GESTION BOUTIQUE, FI | ES0116831092 | 56 | 1.539€ | -2,02% | 2,00% | -2,35% | - |
BMN BONOS CORPORATIVOS, FI | ES0107438006 | 1.745 | 49.753€ | 2,79% | 1,99% | 1,97% | 3,94% |
DEUTSCHE CRECIMIENTO CONSERVADOR, FI | ES0139012035 | 46 | 267€ | -0,04% | 1,98% | 0,99% | - |
EUROVALOR MIXTO-30, FI | ES0133745036 | 2.192 | 57.168€ | -3,51% | 1,98% | -0,89% | 2,16% |
MARCH CARTERA CONSERVADORA, FI | ES0123541007 | 5.106 | 328.382€ | -0,26% | 1,97% | 0,68% | 1,80% |
SANTANDER ACCIONES LATINOAMERICANAS, FI | ES0105930038 | 1.825 | 35.979€ | -6,38% | 1,96% | -1,37% | -1,85% |
FONMASTER 1, FI | ES0138909033 | 171 | 26.841€ | 0,24% | 1,96% | - | - |
BANKINTER EUROSTOXX 2018 II GARANTIZADO, FI | ES0113733002 | 138 | 5.165€ | -0,45% | 1,96% | - | - |
RENTA 4 PEGASUS FI | ES0173321003 | 2.168 | 54.830€ | 0,71% | 1,93% | 1,89% | 2,23% |
CARTERA UNIVERSAL, FI | ES0112733037 | 406 | 7.980€ | -2,29% | 1,93% | - | - |
BBVA RENTABILIDAD EUROPA GARANTIZADO II, FI | ES0114142039 | 5.757 | 145.586€ | 5,32% | 1,93% | - | - |
NR FONDO 1, FI | ES0166474033 | 108 | 13.015€ | -2,12% | 1,92% | - | - |
RURAL MIXTO 25, FI | ES0174431033 | 21.567 | 585.221€ | -2,10% | 1,91% | 0,03% | 2,07% |
MILLENIUM FUND, FI | ES0162915039 | 1.945 | 247.316€ | 0,16% | 1,91% | 3,52% | 14,79% |
QUALITY GLOBAL, FI | ES0114122031 | 1.301 | 51.371€ | -0,34% | 1,91% | -2,38% | -0,99% |
UNIFOND BOLSA 2018-III, FI | ES0180862007 | 341 | 6.334€ | -0,69% | 1,91% | - | - |
ARQUIUNO, FI | ES0110253038 | 1.729 | 43.178€ | -1,85% | 1,90% | -0,09% | 2,16% |
SEGUNDA GENERACION RENTA, FI | ES0175426032 | 26 | 4.770€ | -0,33% | 1,89% | 1,08% | 2,33% |
FONDITEL ALBATROS, FI | ES0138184033 | 153 | 5.588€ | -0,02% | 1,89% | 0,44% | 3,36% |
LIBERBANK GLOBAL, FI | ES0110952035 | 4.320 | 90.585€ | 1,02% | 1,88% | -1,66% | 2,05% |
GREDOS MODERADO, FI | ES0143211003 | 181 | 34.050€ | 0,64% | 1,88% | - | - |
CAIXABANK VALOR 97/50 EUROSTOXX, FI | ES0137837003 | 4.353 | 125.269€ | -0,22% | 1,88% | - | - |
BNP PARIBAS GLOBAL INVESTMENT, FI | ES0118502030 | 97 | 3.346€ | -1,58% | 1,86% | -0,95% | 2,62% |
FONCESS FLEXIBLE, FI | ES0164949002 | 702 | 23.521€ | -1,12% | 1,86% | -0,44% | 2,48% |
CX EVOLUCIÓ RENDES CREIXENT FI | ES0160106003 | 1.280 | 35.051€ | 2,12% | 1,85% | - | - |
BBVA RENTABILIDAD EUROPA GARANTIZADO, FI | ES0108934003 | 142 | 9.059€ | 8,02% | 1,85% | - | - |
MEDIOLANUM EXCELLENT, FI | ES0136452036 | 103 | 5.152€ | 0,70% | 1,84% | 1,22% | 3,27% |
CAIXABANK VALOR 95/50 EUROSTOXX 3, FI | ES0137836005 | 6.318 | 168.422€ | 0,09% | 1,84% | - | - |
IBERCAJA RENTA INTERNACIONAL, FI | ES0102564038 | 1.525 | 34.532€ | -1,50% | 1,83% | -0,65% | 3,17% |
GESTION BOUTIQUE II, FI | ES0168797043 | 33 | 2.020€ | 0,99% | 1,83% | - | - |
PBP ALPES, FI | ES0168703017 | 29 | 2.121€ | -0,63% | 1,82% | - | - |
BMN CARTERA FLEXIBLE 50, FI | ES0114705009 | 1.023 | 58.096€ | 2,90% | 1,82% | 2,03% | - |
BNP PARIBAS RENTA FIJA MIXTA GLOBAL, FI | ES0118552035 | 96 | 15.525€ | -0,56% | 1,82% | 0,00% | 1,87% |
MUTUAFONDO RENTA FIJA ESPAÑOLA, FI | ES0165182017 | 6 | 30€ | 0,82% | 1,81% | 1,68% | - |
LIBERBANK RENDIMIENTO GARANTIZADO V, FI | ES0164737035 | 3.968 | 148.913€ | 3,82% | 1,81% | - | - |
SANTANDER PB CARTERA 60, FI | ES0113412003 | 2.453 | 318.969€ | -1,03% | 1,80% | -0,07% | 1,78% |
BNP PARIBAS SELECCION, FI | ES0160620037 | 106 | 4.080€ | -0,85% | 1,80% | 0,14% | 3,05% |
UNIFOND GLOBAL MACRO, FI | ES0127073031 | 1.062 | 21.079€ | -1,35% | 1,78% | -0,86% | -2,23% |
KUTXABANK HORIZONTE EUROPA PLUS, FI | ES0166777005 | 1.074 | 27.876€ | -0,10% | 1,78% | - | - |
GESTION BOUTIQUE II, FI | ES0168797019 | 63 | 2.851€ | -2,74% | 1,77% | - | - |
UNIFOND BOLSA GARANTIZADO 2023-X, FI | ES0138514031 | 4.560 | 141.227€ | 2,46% | 1,77% | - | - |
KUTXABANK RF ENERO 2022, FI | ES0156776009 | 873 | 35.222€ | 2,17% | 1,75% | - | - |
LABORAL KUTXA EURIBOR GARANTIZADO II,FI | ES0164733034 | 969 | 21.861€ | 2,21% | 1,74% | 0,97% | 1,76% |
BBVA OPORTUNIDAD EUROPA GARANTIZADO, FI | ES0114211008 | 4.068 | 143.813€ | -2,51% | 1,74% | - | - |
MUTUAFONDO BONOS CORPORATIVOS EMERGENTES, FI | ES0164985006 | 9 | 296€ | -0,90% | 1,73% | 1,57% | - |
INVERSABADELL 25, FI | ES0177124023 | 0 | 0€ | -0,12% | 1,73% | - | - |
ACACIA BONOMIX FI | ES0105243002 | 6 | 2.399€ | 0,04% | 1,72% | -0,24% | 2,48% |
BANCO MADRID AHORRO, FI | ES0170613030 | 2.481 | 123.174€ | 0,20% | 1,72% | 2,86% | 2,19% |
SABADELL BONOS ESPAÑA, FI | ES0158862013 | 2 | 4.361€ | 2,68% | 1,72% | 3,84% | - |
CS DURACION 0-2, FI | ES0126547001 | 171 | 137.370€ | 0,58% | 1,72% | 0,34% | - |
SABADELL PRUDENTE, FI | ES0111187037 | 240 | 369.022€ | -0,09% | 1,70% | - | - |
BNP PARIBAS GESTION MODERADA, FI | ES0118532037 | 90 | 4.918€ | -0,41% | 1,69% | 0,42% | 2,76% |
FONDO 3 ACCIONES, FI | ES0168624007 | 108 | 3.028€ | -1,69% | 1,69% | - | - |
POLAR RENTA FIJA,FI | ES0182631004 | 218 | 34.317€ | -0,42% | 1,68% | 1,18% | 2,87% |
MEDIOLANUM ACTIVO, FI | ES0165127046 | 2.603 | 166.798€ | 0,19% | 1,67% | - | - |
LIBERBANK RENDIMIENTO GARANTIZADO, FI | ES0114819032 | 1.996 | 61.736€ | 1,51% | 1,67% | - | - |
MUTUAFONDO BONOS SUBORDINADOS II, FI | ES0124144009 | 107 | 25.769€ | 1,58% | 1,66% | 1,64% | 3,87% |
LABORAL KUTXA RENTA FIJA GARANTIZADO XVI, FI | ES0156894000 | 629 | 14.119€ | 0,93% | 1,66% | - | - |
MUTUAFONDO LP, FI | ES0165240005 | 58 | 881€ | 0,62% | 1,65% | 1,33% | 3,35% |
SANTANDER 100 VALOR GLOBAL, FI | ES0174743007 | 5.079 | 228.652€ | 0,60% | 1,65% | - | - |
CAIXABANK VALOR 95/50 EUROSTOXX 2, FI | ES0137835007 | 3.899 | 114.158€ | -0,50% | 1,65% | - | - |
CARTERA OPTIMA MODERADA, FI | ES0133878035 | 25.131 | 546.039€ | -0,64% | 1,64% | -0,12% | - |
OMEGA OPPORTUNITIES FUND, FI | ES0167399007 | 58 | 1.945€ | -1,08% | 1,63% | 0,65% | - |
UNIFOND 2021-IX, FI | ES0164584007 | 3.435 | 111.996€ | 2,56% | 1,63% | - | - |
CAIXABANK BOLSA RENTAS, FI | ES0137412005 | 3.641 | 96.398€ | 13,78% | 1,62% | - | - |
DEUTSCHE CRECIMIENTO CONSERVADOR, FI | ES0139012001 | 2.107 | 65.829€ | -0,39% | 1,62% | 0,64% | 2,18% |
IMANTIA RENTA FIJA FLEXIBLE, FI | ES0107516009 | 9 | 29.024€ | -0,07% | 1,62% | 1,63% | 4,16% |
KUTXABANK RENTAS ENERO 2022, FI | ES0148893003 | 855 | 24.416€ | 2,05% | 1,62% | - | - |
RURAL CASTILLA LA MANCHA RETORNO ABSOLUTO, FI | ES0174186009 | 864 | 26.057€ | 0,45% | 1,61% | 0,65% | - |
MUTUAFONDO GESTION OPTIMA MODERADO, FI | ES0165268030 | 732 | 79.306€ | -0,76% | 1,60% | 0,05% | 2,09% |
CAIXABANK OBJETIVO BOLSA ESPAÑA 2, FI | ES0138176039 | 1.530 | 27.534€ | 8,89% | 1,60% | - | - |
ARQUIUNO PRUDENTE 30RV FI | ES0110248004 | 642 | 49.549€ | -0,85% | 1,59% | - | - |
DEUTSCHE CRECIMIENTO MODERADO, FI | ES0127098004 | 39 | 3.555€ | 2,76% | 1,59% | 1,69% | 2,71% |
NB CESTA ACCIONES 2019, FI | ES0131423008 | 169 | 1.947€ | -0,81% | 1,58% | - | - |
BANKINTER EURIBOR 2024 II GARANTIZADO, FI | ES0114876032 | 1.410 | 61.045€ | 3,73% | 1,58% | - | - |
BANKINTER CARTERA PRIVADA MODERADA, FI | ES0113257002 | 1.724 | 142.209€ | -2,04% | 1,57% | - | - |
LABORAL KUTXA RENTA FIJA GARANTIZADO XIII,FI | ES0147412003 | 1.281 | 34.922€ | 1,83% | 1,57% | - | - |
CA BANKOA OBJETIVO 2022 II, FI | ES0118525007 | 193 | 10.886€ | 0,84% | 1,56% | - | - |
KUTXABANK GARANTIZADO BOLSA 2021, FI | ES0166969008 | 2.224 | 71.861€ | 0,50% | 1,56% | - | - |
UNIFOND EMPRENDEDOR, FI | ES0138337037 | 4.673 | 111.384€ | -0,92% | 1,54% | -0,18% | 1,56% |
RURAL MIXTO INTERNACIONAL 25, FI | ES0174406035 | 3.690 | 115.346€ | -0,46% | 1,54% | 0,24% | 2,26% |
AEGON INVERSION MF, FI | ES0147614038 | 100 | 3.073€ | -1,41% | 1,53% | -0,65% | 0,93% |
GESCOOPERATIVO DEUDA CORPORATIVA, FI | ES0158603037 | 2.832 | 15.258€ | 0,31% | 1,53% | 0,49% | 1,94% |
SABADELL EMERGENTE MIXTO FLEXIBLE, FI | ES0105142014 | 107 | 17.161€ | -2,09% | 1,50% | 1,54% | - |
SABADELL PRUDENTE, FI | ES0111187029 | 10.558 | 1.877.033€ | -0,29% | 1,50% | - | - |
SABADELL PRUDENTE, FI | ES0111187052 | 145 | 84.948€ | -0,29% | 1,50% | - | - |
SANTANDER INDICES CRECIENTE, FI | ES0168652008 | 2.050 | 90.909€ | 0,80% | 1,49% | - | - |
SEQUEFONDO, FI | ES0132467038 | 112 | 4.241€ | -1,25% | 1,49% | - | - |
LABORAL KUTXA BOLSA GARANTIZADO XXII, FI | ES0142526005 | 859 | 19.004€ | 0,32% | 1,49% | - | - |
LABORAL KUTXA RENTA FIJA GARANTIZADO VII,FI | ES0140611007 | 834 | 21.656€ | 4,57% | 1,49% | - | - |
BBVA RENDIMIENTO MULTIPLE 21 II, FI | ES0113430005 | 3.381 | 107.455€ | 1,95% | 1,48% | - | - |
MEDIOLANUM ACTIVO, FI | ES0165127004 | 1.196 | 98.901€ | -0,01% | 1,47% | 1,21% | 2,22% |
KUTXABANK RF OCTUBRE 2020, FI | ES0184244004 | 5.485 | 190.268€ | 0,66% | 1,47% | - | - |
SABADELL EMERGENTE MIXTO FLEXIBLE, FI | ES0105142006 | 10.243 | 16.167€ | -1,90% | 1,46% | 1,43% | - |
GESIURIS MIXED CONSERVATIVE LONG TERM, FI | ES0141988008 | 507 | 16.155€ | -1,27% | 1,46% | 0,36% | - |
FONDESPAÑA-DUERO GARANTIZADO RF I/2022, FI | ES0112834009 | 1.373 | 32.097€ | 1,81% | 1,46% | - | - |
BANKIA RENDIMIENTO GARANTIZADO 2023 II, FI | ES0156733000 | 8.408 | 185.951€ | 2,40% | 1,46% | - | - |
CAIXABANK CARTERA GLOBAL, FI | ES0138012036 | 90.385 | 937.236€ | 7,15% | 1,45% | 3,45% | 3,83% |
SABADELL BONOS ESPAÑA, FI | ES0158862021 | 0 | 0€ | 2,52% | 1,45% | 3,53% | - |
IBERCAJA CAPITAL GARANTIZADO 5, FI | ES0146842036 | 2.479 | 42.033€ | 1,95% | 1,45% | - | - |
SANTANDER BOLSA EUROPA 2019 2, FI | ES0174893000 | 129 | 9.475€ | -2,29% | 1,45% | - | - |
SABADELL PRUDENTE, FI | ES0111187011 | 13 | 116€ | -0,29% | 1,45% | - | - |
LABORAL KUTXA BOLSA GARANTIZADO XVIII,FI | ES0125166035 | 2.064 | 37.099€ | 1,20% | 1,44% | - | - |
SABADELL BONOS ESPAÑA, FI | ES0158862005 | 41 | 8.135€ | 2,41% | 1,43% | 3,54% | - |
SABADELL BONOS ESPAÑA, FI | ES0158862047 | 0 | 0€ | 2,41% | 1,43% | - | - |
BBVA BONOS PATRIMONIO XVIII, FI | ES0118854001 | 1.392 | 46.338€ | 1,19% | 1,43% | - | - |
LIBERBANK RENDIMIENTO GARANTIZADO IV, FI | ES0111026037 | 5.810 | 219.741€ | 2,98% | 1,43% | - | - |
BMN CARTERA FLEXIBLE 50, FI | ES0114705017 | 160 | 1.310€ | 2,69% | 1,42% | - | - |
UNIFOND 2021-X, FI | ES0181003007 | 6.149 | 184.792€ | 2,71% | 1,42% | - | - |
LABORAL KUTXA RENTA FIJA GARANTIZADO V,FI | ES0114984034 | 2.786 | 74.879€ | 3,34% | 1,41% | - | - |
RENTA 4 TOP SELECCIÓN TOLERANTE, FI | ES0173284003 | 1.161 | 9.354€ | 1,06% | 1,40% | - | - |
FON FINECO GESTION II, FI | ES0164813034 | 1.515 | 142.173€ | 1,95% | 1,40% | 1,83% | 2,07% |
GESTION BOUTIQUE, FI | ES0116831027 | 148 | 32.144€ | 0,26% | 1,40% | -0,25% | - |
BANKIA RENTABILIDAD OBJETIVO LARGO PLAZO, FI | ES0118914003 | 132 | 2.113€ | -0,18% | 1,40% | - | - |
SABADELL PRUDENTE, FI | ES0111187045 | 1.723 | 71.937€ | -0,39% | 1,40% | - | - |
RURAL MIXTO 20, FI | ES0174266009 | 10.980 | 303.281€ | -1,41% | 1,39% | 0,43% | 0,58% |
RENTA 4 RENTA FIJA CORTO PLAZO, FI | ES0176954008 | 1.209 | 25.280€ | -0,12% | 1,39% | 1,54% | 2,28% |
BANKIA GESTION DE AUTOR, FI | ES0113256004 | 400 | 23.104€ | -7,96% | 1,39% | -2,05% | - |
CAIXABANK VALOR 95/65 EUROSTOXX, FI | ES0137888006 | 548 | 19.044€ | -3,19% | 1,39% | - | - |
RENTA 4 MULTIGESTION, FI | ES0173311004 | 23 | 3.884€ | -1,33% | 1,38% | -4,68% | - |
CAIXABANK BOLSA DIVIDENDO EUROPA, FI | ES0184923037 | 10.392 | 89.252€ | -3,23% | 1,38% | -4,91% | 6,14% |
FCS GESTION FLEXIBLE, FI | ES0165947005 | 105 | 2.492€ | -1,84% | 1,38% | 0,76% | - |
BANKINTER CESTA CONSOLIDACION GARANTIZADO II, FI | ES0114873039 | 206 | 8.913€ | 2,03% | 1,38% | - | - |
TARFONDO, FI | ES0177975036 | 120 | 30.626€ | -0,34% | 1,37% | 0,67% | 1,39% |
IBERCAJA FUTURO, FI | ES0147185039 | 3.283 | 59.371€ | 0,28% | 1,37% | 1,09% | 3,61% |
GESTION MULTIPERFIL, FI | ES0125322018 | 794 | 26.643€ | -0,73% | 1,37% | -0,11% | - |
SABADELL BONOS ESPAÑA, FI | ES0158862054 | 4 | 147€ | 2,33% | 1,36% | - | - |
BMN CARTERA FLEXIBLE 20, FI | ES0114767009 | 8.012 | 394.757€ | 1,85% | 1,36% | 1,17% | - |
GESCOOPERATIVO GESTION CONSERVADOR, FI | ES0174349037 | 8.694 | 271.705€ | -0,37% | 1,36% | -0,44% | 1,53% |
CA BANKOA OBJETIVO 2022, FI | ES0116007008 | 465 | 30.123€ | 1,35% | 1,35% | - | - |
FONBILBAO MIXTO, FI | ES0138478039 | 198 | 8.189€ | -2,88% | 1,35% | -0,66% | 2,21% |
GVC GAESCO RENTA VALOR, FI | ES0143629006 | 933 | 30.233€ | -1,04% | 1,34% | -0,15% | 1,63% |
BBVA RENDIMIENTO MULTIPLE 21, FI | ES0133775009 | 5.727 | 177.968€ | 1,32% | 1,33% | - | - |
MEDIOLANUM ACTIVO, FI | ES0165127038 | 20.381 | 335.142€ | -0,16% | 1,32% | 1,06% | 2,07% |
MUTUAFONDO BONOS CORPORATIVOS EMERGENTES, FI | ES0164985014 | 1 | 175€ | -1,29% | 1,32% | 1,16% | - |
BANKINTER RENTA FIJA CORAL GARANTIZADO, FI | ES0162940037 | 496 | 17.032€ | 4,61% | 1,32% | - | - |
ABANTE VALOR, FI | ES0190052037 | 868 | 83.441€ | -0,17% | 1,31% | 0,04% | 1,35% |
CS DURACION 0-2, FI | ES0126547035 | 919 | 229.996€ | 0,23% | 1,31% | 0,25% | 1,30% |
IBERCAJA SELECCION RENTA INTERNACIONAL, FI | ES0147149035 | 25.205 | 1.086.150€ | -1,29% | 1,31% | -0,22% | 2,66% |
EUROVALOR GARANTIZADO ACCIONES,FI | ES0133544009 | 6.102 | 143.610€ | -0,25% | 1,30% | - | - |
BANKIA GARANTIZADO CRECIENTE 2024, FI | ES0179390002 | 14.423 | 353.581€ | 2,70% | 1,30% | - | - |
SABADELL PRUDENTE, FI | ES0111187003 | 69.051 | 1.807.689€ | -0,49% | 1,30% | - | - |
SABADELL BONOS ESPAÑA, FI | ES0158862039 | 456 | 8.681€ | 2,25% | 1,28% | 3,39% | 2,97% |
BANKINTER EUROSTOXX 2018 GARANTIZADO, FI | ES0113815031 | 932 | 35.315€ | -4,34% | 1,28% | - | - |
CAIXABANK RENTA FIJA CORPORATIVA, FI | ES0137896009 | 615 | 23.940€ | 0,83% | 1,27% | 1,97% | 3,22% |
DB MULTIESTRELLAS, FI | ES0145553006 | 2.040 | 82.872€ | -2,13% | 1,27% | 1,68% | - |
BELGRAVIA EPSILON, FI | ES0114353032 | 37 | 8.137€ | -3,60% | 1,26% | 1,34% | 10,00% |
FONDGUISSONA, FI | ES0147607032 | 142 | 19.283€ | 0,57% | 1,26% | 0,58% | 0,55% |
EUROVALOR GARANTIZADO ACCIONES III, FI | ES0133557035 | 10.041 | 266.709€ | 1,31% | 1,26% | - | - |
INVERSABADELL 25, FI | ES0177124031 | 16.556 | 345.682€ | -0,67% | 1,26% | - | - |
SANTANDER BOLSA EUROPA 2018, FI | ES0174867004 | 209 | 15.873€ | -3,20% | 1,26% | - | - |
DWS FONCREATIVO, FI | ES0138535036 | 97 | 24.076€ | 0,42% | 1,24% | 1,21% | 2,34% |
FONDMAPFRE RENTA MIXTO, FI | ES0138709037 | 15.325 | 393.075€ | -1,61% | 1,24% | -1,13% | 2,63% |
GLOBAL DIVERSIFICATION FUND FI | ES0142459009 | 118 | 3.844€ | -0,11% | 1,24% | -0,87% | 1,23% |
CAIXABANK VALOR 90/75 EUROSTOXX, FI | ES0137887008 | 480 | 17.051€ | -4,08% | 1,24% | - | - |
EGERIA AHORRO, FI | ES0128311000 | 207 | 17.368€ | 1,10% | 1,23% | 0,42% | 1,57% |
LABORAL KUTXA RENTA FIJA GARANTIZADO XV,FI | ES0125164030 | 944 | 21.369€ | 0,98% | 1,23% | - | - |
QUALITY COMMODITIES, FI | ES0172243000 | 405 | 4.965€ | 8,61% | 1,21% | -3,51% | -3,17% |
BANKINTER EUROPA 2020, FI | ES0170276036 | 353 | 11.438€ | -3,67% | 1,21% | - | - |
BANKINTER EUROPA 2021 GARANTIZADO, FI | ES0147624037 | 663 | 27.499€ | -0,75% | 1,21% | - | - |
CAIXABANK VALOR 90/75 EUROSTOXX 2, FI | ES0112832003 | 399 | 11.478€ | -4,06% | 1,20% | - | - |
DEUTSCHE CRECIMIENTO MODERADO, FI | ES0127098012 | 2 | 1.894€ | 1,58% | 1,19% | 2,50% | - |
LABORAL KUTXA EURIBOR GARANTIZADO III,FI | ES0114889035 | 2.399 | 57.511€ | 2,55% | 1,19% | 0,73% | 1,42% |
IBERCAJA UTILITIES, FI | ES0147189007 | 3 | 9€ | -3,23% | 1,19% | -1,53% | 5,99% |
KUTXABANK GARANTIZADO BOLSA 2021 (2), FI | ES0158599003 | 2.072 | 62.598€ | -0,63% | 1,19% | - | - |
FONENGIN ISR, FI | ES0138885035 | 5.889 | 133.838€ | -0,94% | 1,17% | -0,79% | 2,14% |
ABANCA RENTA FIJA MIXTA, FI | ES0140073000 | 4.552 | 84.831€ | -1,03% | 1,16% | 0,23% | - |
BBVA GESTION PROTECCION 2020 BP, FI | ES0114097035 | 694 | 30.325€ | 1,03% | 1,16% | - | - |
BANKIA GARANTIZADO RENTAS 14, FI | ES0163612007 | 8.393 | 219.397€ | 0,45% | 1,16% | - | - |
BBVA SOLIDARIDAD, FI | ES0114279039 | 7.512 | 331.142€ | -1,49% | 1,15% | -0,77% | 0,96% |
CAIXABANK SELECCION RETORNO ABSOLUTO, FI | ES0138066016 | 117.711 | 758.352€ | 0,48% | 1,15% | - | - |
COMPROMISO FONDO ETICO, FI | ES0121091039 | 107 | 7.559€ | -2,16% | 1,15% | -0,99% | 1,44% |
KUTXABANK FONDO SOLIDARIO, FI | ES0114186036 | 606 | 20.772€ | -0,88% | 1,15% | 0,51% | 2,27% |
KUTXABANK HORIZONTE EUROPA 2021, FI | ES0160626000 | 709 | 9.772€ | -0,46% | 1,15% | - | - |
QUALITY SELECCION EMERGENTES, FI | ES0172262000 | 976 | 13.811€ | -0,53% | 1,14% | -2,26% | 1,38% |
R4 CTA TRADING, FI | ES0173857030 | 214 | 1.307€ | 5,41% | 1,14% | - | - |
CAJA LABORAL PATRIMONIO, FI | ES0115469035 | 1.239 | 18.027€ | -3,31% | 1,14% | -1,31% | 1,65% |
BANKINTER RENTA FIJA AMATISTA GARANTIZADO, FI | ES0137722007 | 475 | 17.516€ | 4,95% | 1,14% | - | - |
ALTAIR PATRIMONIO, FI | ES0138600038 | 262 | 18.371€ | -1,49% | 1,13% | 1,06% | 4,27% |
DP RENTA FIJA FI | ES0142167032 | 313 | 26.472€ | -1,41% | 1,13% | 0,90% | 2,38% |
FON FINECO GESTION, FI | ES0138382033 | 2.915 | 408.813€ | 0,39% | 1,13% | 2,40% | 2,77% |
FONDESPAÑA-DUERO GARANTIZADO BOLSA I/2022, FI | ES0164713002 | 3.642 | 72.244€ | -0,20% | 1,13% | - | - |
RURAL MIXTO 15, FI | ES0174227035 | 22.664 | 685.763€ | -0,78% | 1,12% | 0,57% | 1,01% |
IBERCAJA FLEXIBLE EUROPA 10-40, FI | ES0147146031 | 12.075 | 259.662€ | -1,78% | 1,12% | -1,37% | 1,50% |
IBERCAJA MIXTO FLEXIBLE 15, FI | ES0146944014 | 24.212 | 405.710€ | 0,19% | 1,12% | 0,09% | - |
CX EVOLUCIO 6, FI | ES0125270001 | 262 | 7.243€ | 1,02% | 1,12% | - | - |
CX EVOLUCIO RENDES 5, FI | ES0115456032 | 1.077 | 35.077€ | 1,37% | 1,12% | - | - |
LORETO SUMA, FI | ES0158577009 | 103 | 13.657€ | -0,79% | 1,11% | 0,64% | - |
CAIXABANK RENTAS ABRIL 2021 II, FI | ES0165543010 | 17 | 5.651€ | 0,87% | 1,11% | - | - |
UNIFOND MIXTO RENTA FIJA, FI | ES0175858036 | 3.457 | 78.247€ | -1,31% | 1,10% | -0,69% | 1,36% |
GVC GAESCO RENTA VALOR, FI | ES0143629014 | 23 | 928€ | -1,76% | 1,10% | -0,34% | -0,05% |
CAIXABANK RENTAS ABRIL 2021, FI | ES0112831039 | 13 | 1.857€ | 0,88% | 1,10% | - | - |
BANKINTER IBEX 2023 GARANTIZADO, FI | ES0164528004 | 425 | 15.636€ | 1,45% | 1,10% | - | - |
BBVA BONOS 2024, FI | ES0119176008 | 1.503 | 50.558€ | 1,78% | 1,09% | 3,95% | - |
INVERSABADELL 10, FI | ES0155008024 | 12 | 20.663€ | 0,60% | 1,09% | - | - |
FONDESPAÑA-DUERO GARANTIZADO 2022-II, FI | ES0182037038 | 3.306 | 92.137€ | 1,44% | 1,09% | - | - |
ABANCA GESTION, FI | ES0133400004 | 172 | 4.100€ | -0,55% | 1,07% | -1,07% | - |
IBERCAJA PREMIER, FI | ES0147022034 | 549 | 15.387€ | 0,23% | 1,07% | 0,82% | 2,86% |
SANTANDER BOLSA EUROPA 2019, FI | ES0174868002 | 238 | 16.886€ | -2,74% | 1,07% | - | - |
CAIXABANK VALOR 100/30 EUROSTOXX, FI | ES0137433001 | 4.438 | 135.925€ | -1,01% | 1,07% | - | - |
RURAL CASTILLA LA MANCHA, FI | ES0174388035 | 2.327 | 70.765€ | -0,36% | 1,05% | 0,54% | 0,48% |
DB TALENTO GESTION FLEXIBLE, FI | ES0125746000 | 5.993 | 154.116€ | -1,96% | 1,05% | 0,27% | - |
EUROVALOR COMPROMISO ISR, FI | ES0133560039 | 140 | 6.019€ | 0,18% | 1,05% | 0,17% | -0,08% |
GVC GAESCO 1K + RENTA VARIABLE, FI | ES0143630004 | 63 | 595€ | -2,10% | 1,05% | -5,27% | - |
KUTXABANK RENTAS ABRIL 2021, FI | ES0148892005 | 1.252 | 40.236€ | 0,80% | 1,05% | - | - |
BANKIA RENDIMIENTO GARANTIZADO 2023, FI | ES0163613005 | 5.893 | 139.554€ | 1,28% | 1,05% | - | - |
BANKINTER MULTISELECCION 25, FI | ES0180959035 | 2.470 | 92.088€ | -0,61% | 1,04% | -0,31% | 1,88% |
EUROVALOR IBEROAMERICA, FI | ES0133576035 | 717 | 8.291€ | -6,44% | 1,04% | -2,64% | -3,10% |
IBERCAJA MIXTO FLEXIBLE 15, FI | ES0146944006 | 37.700 | 1.198.502€ | 0,05% | 1,04% | 0,07% | 1,27% |
CAIXABANK VALOR 95/50 EUROSTOXX, FI | ES0112833001 | 1.045 | 30.978€ | -2,12% | 1,04% | - | - |
BMN CARTERA FLEXIBLE 20, FI | ES0114767017 | 1.897 | 21.038€ | 1,65% | 1,02% | - | - |
CAIXABANK FONDOS GLOBAL SELECCION, FI | ES0115252035 | 111 | 8.481€ | -0,41% | 1,02% | - | - |
CAIXABANK RENTAS ABRIL 2021, FI | ES0112831054 | 76 | 4.873€ | 0,78% | 1,00% | - | - |
CX EVOLUCIO BORSA 2 FI | ES0125262008 | 463 | 9.680€ | 1,61% | 0,99% | - | - |
BBVA RENDIMIENTO EUROPA III, FI | ES0133769002 | 1.077 | 29.887€ | -3,03% | 0,99% | - | - |
OMEGA GLOBAL FUND, FI | ES0167388034 | 1 | 968€ | -4,53% | 0,98% | - | - |
DP SALUD FI | ES0170865002 | 150 | 12.231€ | 0,51% | 0,98% | -1,93% | 10,46% |
CAIXABANK GESTION ALFA, FI | ES0180963011 | 1 | 1€ | 0,02% | 0,97% | -2,65% | - |
GESTION BOUTIQUE, FI | ES0116831076 | 251 | 5.072€ | 0,43% | 0,97% | -1,53% | - |
SABADELL GARANTIA EXTRA 19, FI | ES0175093006 | 10.530 | 288.078€ | 0,11% | 0,97% | - | - |
SANTANDER GENERACION 2, FI | ES0174894016 | 11.555 | 571.782€ | -0,88% | 0,96% | - | - |
CAIXABANK RENTAS ABRIL 2021 II, FI | ES0165543028 | 145 | 9.304€ | 0,73% | 0,96% | - | - |
SABADELL EMERGENTE MIXTO FLEXIBLE, FI | ES0105142030 | 1.232 | 17.179€ | -2,61% | 0,95% | 0,99% | 4,42% |
CAIXABANK RENTAS ABRIL 2021, FI | ES0112831021 | 65 | 19.607€ | 0,73% | 0,95% | - | - |
UNIFOND 2021-II, FI | ES0180908008 | 1.175 | 30.122€ | 0,50% | 0,94% | - | - |
CAIXABANK VALOR 100/45 EUROSTOXX, FI | ES0137683001 | 2.286 | 61.115€ | -2,07% | 0,94% | - | - |
ABANCA RENTA FIJA FLEXIBLE, FI | ES0147597035 | 21.930 | 545.606€ | -0,73% | 0,93% | 1,09% | 1,51% |
ABANTE RENTABILIDAD ABSOLUTA, FI | ES0184837039 | 17 | 4.489€ | -1,18% | 0,93% | 0,04% | 0,62% |
SANTANDER GENERACION 2, FI | ES0174894024 | 1.496 | 90.329€ | -0,88% | 0,93% | - | - |
MEDIOLANUM ALPHA PLUS, FI | ES0139008041 | 238 | 3.165€ | -1,25% | 0,92% | -0,18% | - |
CX EVOLUCIÓ BORSA 3 FI | ES0125263006 | 1.014 | 26.944€ | 0,97% | 0,92% | - | - |
IBERCAJA 2025 GARANTIZADO, FI | ES0146945003 | 3.145 | 98.443€ | 6,73% | 0,92% | - | - |
CS DIRECTOR INCOME, FI | ES0125126039 | 209 | 14.822€ | -0,34% | 0,91% | -1,03% | 1,26% |
ALTAIR PATRIMONIO II, FI | ES0108643000 | 719 | 46.966€ | -1,31% | 0,90% | - | - |
MULTIACTIVO MIXTO RENTA FIJA, FI | ES0164977037 | 119 | 23.179€ | -1,14% | 0,90% | 0,55% | 2,42% |
GESIURIS MIXED CONSERVATIVE, FI | ES0105235008 | 340 | 1.954€ | 1,23% | 0,90% | 0,36% | 1,67% |
UNIFOND 2020-IX, FI | ES0181397003 | 2.385 | 59.831€ | 0,60% | 0,90% | - | - |
UNIFOND 2021-I, FI | ES0181068034 | 2.002 | 50.302€ | 0,66% | 0,90% | - | - |
CAIXABANK RENTAS ABRIL 2021, FI | ES0112831013 | 656 | 8.175€ | 0,68% | 0,90% | - | - |
EUROVALOR GARANTIZADO EUROPA II, FI | ES0133662033 | 4.400 | 83.439€ | 0,46% | 0,89% | - | - |
ING DIRECT FONDO NARANJA MODERADO, FI | ES0152739001 | 31.082 | 455.969€ | 0,06% | 0,88% | 0,95% | 2,24% |
GESTION BOUTIQUE, FI | ES0116831043 | 116 | 1.567€ | 0,53% | 0,88% | -0,39% | - |
SANTANDER PB CARTERA 40, FI | ES0115242036 | 6.011 | 833.040€ | -1,15% | 0,87% | -0,32% | 1,17% |
ARTE FINANCIERO, FI | ES0110276039 | 107 | 2.918€ | 2,73% | 0,87% | 0,31% | 0,15% |
SANTANDER RENTA VARIABLE OBJETIVO ESPAÑA, FI | ES0174957003 | 341 | 16.977€ | -2,39% | 0,87% | - | - |
CAIXABANK VALOR 100/30 EUROSTOXX 2, FI | ES0139781001 | 3.555 | 102.413€ | -0,66% | 0,87% | - | - |
CARTERA OPTIMA PRUDENTE, FI | ES0133578007 | 7.304 | 829.569€ | -0,49% | 0,86% | 0,21% | 1,47% |
BETA DEUDA FONDTESORO LARGO PLAZO, FI | ES0114671037 | 86 | 2.957€ | 0,35% | 0,85% | 0,42% | 3,47% |
BOLSA EURO VALOR, FI | ES0107934038 | 144 | 3.125€ | 7,62% | 0,85% | 1,46% | 1,07% |
CAIXABANK RENTAS ABRIL 2021, FI | ES0112831047 | 423 | 26.673€ | 0,63% | 0,85% | - | - |
BELGRAVIA DELTA,FI | ES0114429006 | 149 | 20.570€ | -2,04% | 0,84% | - | - |
INVERSABADELL 10, FI | ES0155008016 | 401 | 75.896€ | 0,35% | 0,84% | - | - |
BNP PARIBAS MANAGEMENT FUND, FI | ES0118553033 | 88 | 1.817€ | -1,88% | 0,83% | -1,45% | 2,90% |
BBVA RENDIMIENTO EUROPA VIII, FI | ES0133774002 | 10.449 | 303.657€ | -0,16% | 0,83% | - | - |
SANTANDER OBJETIVO RENDIMIENTO EUROPA, FI | ES0174977001 | 222 | 17.374€ | -4,80% | 0,83% | - | - |
BANKINTER MERCADO EUROPEO, FI | ES0114878038 | 290 | 8.035€ | 2,35% | 0,83% | - | - |
CAIXABANK RENTA FIJA CORPORATIVA, FI | ES0137896033 | 8.878 | 123.674€ | 0,38% | 0,82% | 1,51% | 2,76% |
MUTUAFONDO, FI | ES0165237035 | 1.839 | 190.995€ | -0,30% | 0,81% | 0,68% | 1,95% |
CAIXABANK RENTAS ABRIL 2021 II, FI | ES0165543002 | 1.113 | 14.951€ | 0,58% | 0,81% | - | - |
ALTAIR RENTA FIJA, FI | ES0107574008 | 171 | 5.721€ | -1,42% | 0,80% | 0,88% | - |
ARQUIUNO PRUDENTE 30RV FI | ES0110248012 | 962 | 9.437€ | -1,62% | 0,80% | - | - |
CAIXABANK DP ABRIL 2021, FI | ES0115652010 | 10 | 1.686€ | 0,53% | 0,80% | - | - |
BANKINTER MERCADO EUROPEO II, FI | ES0114830039 | 621 | 17.839€ | -0,14% | 0,80% | - | - |
CAIXABANK SELECCION RETORNO ABSOLUTO, FI | ES0138066024 | 6 | 6.843€ | 0,07% | 0,79% | - | - |
IBERCAJA CAPITAL GARANTIZADO 2, FI | ES0146762002 | 410 | 9.656€ | -0,01% | 0,79% | - | - |
KUTXABANK RF ABRIL 2020, FI | ES0179468006 | 4.358 | 179.404€ | 0,52% | 0,79% | - | - |
ALCALA AHORRO, FI | ES0107696033 | 139 | 3.665€ | -0,43% | 0,78% | -0,45% | 1,14% |
BBVA RETORNO ABSOLUTO, FI | ES0162081030 | 13.158 | 325.179€ | 0,24% | 0,78% | 1,34% | 1,81% |
IBERCAJA BP SELECCION GLOBAL, FI | ES0146758018 | 12.930 | 15.794€ | -0,44% | 0,78% | -0,69% | 0,76% |
SANTANDER GENERACION 2, FI | ES0174894008 | 8.671 | 129.238€ | -1,07% | 0,77% | - | - |
RFMI MULTIGESTION FI | ES0122762000 | 130 | 139.562€ | -0,98% | 0,77% | -0,35% | 1,70% |
CX EVOLUCIO BORSA, FI | ES0125271009 | 469 | 11.187€ | 1,15% | 0,77% | - | - |
LABORAL KUTXA BOLSA GARANTIZADO XXI,FI | ES0114888037 | 1.644 | 36.267€ | -0,42% | 0,77% | - | - |
RURAL EUROPA GARANTIA FI | ES0174399032 | 864 | 13.836€ | 4,45% | 0,76% | - | - |
BBVA OPORTUNIDAD ACCIONES IV, FI | ES0113828000 | 1.721 | 46.766€ | -0,96% | 0,75% | - | - |
CAIXABANK RENTAS ABRIL 2021, FI | ES0112831005 | 2.371 | 35.272€ | 0,53% | 0,75% | - | - |
SANTANDER MULTIGESTION, FI | ES0114271036 | 2.022 | 33.861€ | -0,34% | 0,74% | -0,99% | -0,27% |
GVC GAESCO RENTA FIJA, FI | ES0169764034 | 240 | 6.646€ | 0,22% | 0,74% | -0,60% | 0,15% |
UNIFOND 2020-II, FI | ES0181062037 | 1.276 | 32.122€ | 0,19% | 0,74% | - | - |
CX EVOLUCIO RENDES MAIG 2020, FI | ES0105574034 | 759 | 13.389€ | 0,65% | 0,74% | - | - |
KUTXABANK GARANTIZADO BOLSA 2020, FI | ES0166968000 | 3.137 | 91.072€ | 0,29% | 0,74% | - | - |
ING DIRECT FONDO NARANJA RENTA FIJA, FI | ES0152772036 | 84.157 | 1.406.251€ | -0,54% | 0,73% | 0,76% | 1,77% |
CAJA LABORAL BOLSA GARANTIZADO XVII, FI | ES0118511007 | 1.463 | 21.352€ | -0,26% | 0,73% | - | - |
CAIXABANK GESTION ALFA, FI | ES0180963003 | 23 | 4.242€ | -0,23% | 0,72% | -2,89% | - |
IBERCAJA UTILITIES, FI | ES0147189031 | 1.473 | 31.860€ | -3,61% | 0,72% | -1,87% | 5,25% |
IBERCAJA OPORTUNIDAD RENTA FIJA, FI | ES0184007013 | 48.111 | 666.601€ | 1,90% | 0,72% | 0,67% | 2,69% |
CAIXABANK RENTAS ABRIL 2020, FI | ES0112830031 | 23 | 3.844€ | 0,44% | 0,72% | - | - |
INVERACTIVO CONFIANZA, FI | ES0147131033 | 1.839 | 83.248€ | -1,14% | 0,71% | -0,13% | 1,99% |
IMANTIA GLOBAL MODERADO, FI | ES0169082031 | 302 | 3.569€ | 0,06% | 0,71% | -0,90% | 1,81% |
CAIXABANK RENTA FIJA FLEXIBLE, FI | ES0138219052 | 4.591 | 70.041€ | 1,08% | 0,70% | 1,37% | - |
MEDIOLANUM ALPHA PLUS, FI | ES0139008058 | 140 | 1.931€ | -1,70% | 0,70% | -0,32% | - |
FONDMAPFRE ELECCION PRUDENTE, F.I. | ES0112835006 | 1.310 | 112.611€ | -1,91% | 0,70% | - | - |
GESCONSULT CORTO PLAZO, FI | ES0138922036 | 2.320 | 188.059€ | 0,84% | 0,70% | 0,39% | 1,03% |
BANKINTER RENTA FIJA IRIS GARANTIZADO, FI | ES0114874037 | 487 | 14.980€ | 3,13% | 0,70% | - | - |
MEDIOLANUM ALPHA PLUS, FI | ES0139008009 | 175 | 4.688€ | -1,37% | 0,68% | -0,55% | 1,14% |
IBERCAJA BP SELECCION GLOBAL, FI | ES0146758000 | 647 | 12.570€ | -0,62% | 0,68% | -0,75% | 0,73% |
SABADELL GARANTIA FIJA 12, FI | ES0175089004 | 5.858 | 136.186€ | 1,87% | 0,68% | - | - |
BANKINTER RENTA FIJA MARFIL I GARANTIZADO, FI | ES0138954039 | 518 | 17.795€ | 4,42% | 0,68% | - | - |
MARCH PATRIMONIO DEFENSIVO, FI | ES0160921039 | 2.372 | 142.234€ | -0,30% | 0,67% | - | - |
CREDIT AGRICOLE MERCAPATRIMONIO, FI | ES0162230033 | 659 | 24.900€ | -1,55% | 0,66% | -0,34% | 2,63% |
EUROVALOR MIXTO-15, FI | ES0138987039 | 6.587 | 164.979€ | -2,48% | 0,66% | -0,40% | 1,53% |
IBERCAJA OPORTUNIDAD RENTA FIJA, FI | ES0184007005 | 5.810 | 338.745€ | 1,80% | 0,66% | 0,64% | 2,67% |
CAJA LABORAL RENTA FIJA GARANTIZADO I, FI | ES0114948039 | 959 | 23.033€ | 0,41% | 0,66% | - | - |
CAIXABANK EQUILIBRIO, FI | ES0164539019 | 484 | 150.322€ | 0,48% | 0,65% | -0,14% | 1,99% |
BANKINTER RENTA FIJA CRISTAL GARANTIZADO, FI | ES0130355003 | 436 | 15.612€ | 3,05% | 0,65% | - | - |
WELZIA GLOBAL ACTIVO, FI | ES0184583005 | 5 | 997€ | 6,80% | 0,64% | -1,10% | 0,24% |
BBVA BONOS EUSKOFONDO, FI | ES0113994034 | 122 | 21.483€ | 0,78% | 0,64% | 2,25% | 3,51% |
NB 10, FI | ES0138839032 | 1.648 | 33.534€ | -0,65% | 0,64% | 0,66% | 1,90% |
GESCOOPERATIVO MULTIESTRATEGIAS ALTERNATIVAS, FI | ES0158602039 | 192 | 3.170€ | -1,55% | 0,64% | -0,61% | 0,92% |
IMANTIA DECIDIDO, FI | ES0107512032 | 2.959 | 20.652€ | -2,99% | 0,63% | -3,57% | 3,85% |
BANKINTER EUROBOLSA GARANTIZADO, FI | ES0114783030 | 719 | 24.940€ | 1,15% | 0,63% | - | - |
RURAL GARANTIZADO EUROPA 20, FI | ES0156835003 | 658 | 20.325€ | 0,18% | 0,63% | - | - |
CAIXABANK RENTA FIJA FLEXIBLE, FI | ES0138219011 | 5 | 12.669€ | 1,05% | 0,62% | 1,26% | - |
BBVA BONOS PATRIMONIO XVII, FI | ES0116863004 | 2.710 | 77.912€ | 0,36% | 0,62% | - | - |
KUTXABANK RENTAS OCTUBRE 2020, FI | ES0179467008 | 1.482 | 60.037€ | 0,38% | 0,62% | - | - |
CAIXABANK RENTAS ABRIL 2020, FI | ES0112830056 | 112 | 7.342€ | 0,34% | 0,62% | - | - |
SANTANDER EVOLUCION 40, FI | ES0174746000 | 651 | 19.083€ | -0,99% | 0,61% | - | - |
FONDITEL RENTA FIJA MIXTA INTERNACIONAL, FI | ES0138047008 | 29 | 24.346€ | 0,00% | 0,61% | -0,29% | - |
30-70 INVERSION, FI | ES0184833038 | 112 | 714€ | -1,36% | 0,61% | - | - |
BBVA BONOS PATRIMONIO RENTAS VI, FI | ES0118853003 | 2.862 | 83.533€ | 0,38% | 0,61% | - | - |
CAJA LABORAL RENTA FIJA GARANTIZADO XII,FI | ES0115311039 | 1.503 | 37.300€ | 0,35% | 0,61% | - | - |
INVERSABADELL 10, FI | ES0155008008 | 0 | 0€ | 0,21% | 0,61% | - | - |
LABORAL KUTXA RENTA FIJA GARANTIZADO XIV,FI | ES0114891031 | 2.599 | 70.380€ | 0,24% | 0,61% | - | - |
AMUNDI FONDTESORO LARGO PLAZO, FI | ES0126531039 | 195 | 8.381€ | 1,35% | 0,60% | 2,40% | 3,45% |
LABORAL KUTXA SELEK BASE,FI | ES0119489005 | 8.074 | 359.627€ | -1,15% | 0,60% | -0,74% | 2,13% |
BBVA OPORTUNIDAD ACCIONES V, FI | ES0113829008 | 1.633 | 39.613€ | -0,06% | 0,59% | - | - |
ORFEO, FI | ES0167540006 | 121 | 22.231€ | -0,76% | 0,58% | - | - |
PBP DIVERSIFICACION GLOBAL, FI | ES0147041034 | 136 | 1.401€ | -1,64% | 0,58% | -1,74% | 1,83% |
PENTATHLON, FI | ES0162858031 | 105 | 13.725€ | -7,54% | 0,58% | -13,60% | -1,81% |
KUTXABANK GARANTIZADO BOLSA EUROPA 3, FI | ES0184253005 | 3.459 | 88.789€ | -1,68% | 0,58% | - | - |
CAIXABANK DP ABRIL 2021, FI | ES0115652002 | 373 | 6.863€ | 0,32% | 0,58% | - | - |
GESTION MULTIPERFIL, FI | ES0125322000 | 184 | 9.091€ | -0,40% | 0,57% | 0,25% | - |
CAJA LABORAL BOLSA GARANTIZADO XV, FI | ES0164731038 | 1.709 | 39.967€ | -1,25% | 0,57% | - | - |
CAIXABANK RENTAS ABRIL 2020, FI | ES0112830023 | 62 | 13.781€ | 0,29% | 0,57% | - | - |
SANTANDER RENTA FIJA LATINOAMERICA, FI | ES0121772034 | 383 | 16.905€ | -3,10% | 0,56% | -0,09% | 2,73% |
SANTANDER RENTA FIJA, FI | ES0146133055 | 20.719 | 230.715€ | 0,89% | 0,56% | - | - |
TREA RENTAS EMERGENTES, FI | ES0105298006 | 322 | 10.566€ | -3,15% | 0,56% | 0,49% | - |
MEDIOLANUM ALPHA PLUS, FI | ES0139008025 | 69 | 596€ | -1,63% | 0,55% | -0,62% | -0,39% |
EUROVALOR AHORRO TOP 2019, FI | ES0133563009 | 281 | 33.984€ | 0,30% | 0,55% | - | - |
SABADELL GARANTÍA EXTRA 22, FI | ES0175094004 | 5.985 | 178.654€ | -0,52% | 0,55% | - | - |
IBERCAJA HORIZONTE, FI | ES0147642039 | 7.007 | 179.371€ | 1,04% | 0,54% | 0,43% | 2,98% |
UNIFOND 2024-IV, FI | ES0181083033 | 11.408 | 387.827€ | 4,24% | 0,54% | - | - |
SANTANDER RENTA FIJA, FI | ES0146133048 | 2 | 97€ | 0,86% | 0,53% | 2,28% | - |
DINFONDO, FI | ES0126536038 | 721 | 36.722€ | -1,08% | 0,53% | 0,47% | 2,20% |
MEDIOLANUM ALPHA PLUS, FI | ES0139008033 | 642 | 9.558€ | -1,53% | 0,53% | -0,71% | 0,98% |
MEDIOLANUM ALPHA PLUS, FI | ES0139008017 | 131 | 1.403€ | -1,53% | 0,53% | -0,68% | -0,45% |
FONDO ARTAC, FI | ES0138354032 | 119 | 52.853€ | -0,60% | 0,52% | 0,36% | 3,91% |
SANTANDER 100 VALOR CRECIENTE 2, FI | ES0174742009 | 5.046 | 211.660€ | 0,09% | 0,52% | - | - |
LIBERBANK OBJETIVO I, FI | ES0110953009 | 58 | 1.286€ | 0,06% | 0,52% | - | - |
CAIXABANK RENTAS ABRIL 2020, FI | ES0112830015 | 803 | 11.297€ | 0,25% | 0,52% | - | - |
BANKINTER BOLSA EUROPEA 2025 GARANTIZADO, FI | ES0113064002 | 287 | 14.034€ | 1,68% | 0,52% | - | - |
MEDIOLANUM PREMIER, FI | ES0148219001 | 26 | 1.031€ | -0,04% | 0,50% | -79,03% | -60,53% |
IBERCAJA GESTION GARANTIZADO 6, FI | ES0147107009 | 2.538 | 37.930€ | -1,38% | 0,50% | - | - |
RURAL MIXTO INTERNACIONAL 15, FI | ES0156832000 | 2.673 | 64.858€ | -0,72% | 0,49% | -0,30% | -0,04% |
MUTUAFONDO, FI | ES0165237001 | 360 | 9.322€ | -0,69% | 0,48% | 0,31% | 1,69% |
NB CAPITAL PLUS, FI | ES0125240038 | 84 | 4.695€ | -0,34% | 0,48% | 0,71% | 1,82% |
GESIURIS FIXED INCOME, FI | ES0109695033 | 108 | 28.405€ | 0,50% | 0,48% | 0,25% | 1,18% |
SABADELL GARANTIZADO SELECCION I, FI | ES0122074034 | 285 | 8.629€ | -2,58% | 0,48% | - | - |
CAIXABANK GESTION ALFA, FI | ES0180963029 | 105 | 3.823€ | -0,48% | 0,47% | -3,13% | - |
CAIXABANK RENTAS ABRIL 2020, FI | ES0112830049 | 360 | 20.256€ | 0,19% | 0,47% | - | - |
ABANTE RENTABILIDAD ABSOLUTA, FI | ES0184837005 | 185 | 6.763€ | -1,62% | 0,46% | -0,47% | 0,12% |
CAIXABANK EQUILIBRIO, FI | ES0164539035 | 16.248 | 1.258.674€ | 0,29% | 0,46% | -0,34% | 1,78% |
CAIXABANK SELECCION RETORNO ABSOLUTO, FI | ES0138066032 | 1.111 | 93.242€ | -0,24% | 0,46% | -0,81% | 0,39% |
DP AHORRO CORTO PLAZO FI | ES0141580037 | 412 | 110.341€ | -0,55% | 0,45% | 0,56% | 1,14% |
CAJA LABORAL BOLSA GARANTIZADO XVI, FI | ES0149043038 | 1.565 | 27.511€ | -1,02% | 0,45% | - | - |
FONCAM, FI | ES0138712031 | 393 | 18.865€ | 0,16% | 0,44% | 1,15% | 2,70% |
FONDO SENIORS, FI | ES0138623030 | 516 | 30.149€ | 0,06% | 0,44% | 0,51% | 2,32% |
SABADELL INVERSION ETICA Y SOLIDARIA, FI | ES0182543035 | 523 | 12.004€ | -1,47% | 0,44% | - | - |
SANTANDER SELECT PATRIMONIO, FI | ES0175835000 | 40.972 | 2.469.414€ | -0,16% | 0,43% | -0,35% | 0,76% |
GESTION DEL CICLO, FI | ES0116832009 | 93 | 1.611€ | -2,07% | 0,43% | -1,35% | - |
AVIVA RENTA FIJA, FI | ES0170138004 | 9 | 196.803€ | -0,80% | 0,42% | 1,76% | 3,83% |
AVIVA RENTA FIJA, FI | ES0170138020 | 15 | 291€ | -0,80% | 0,42% | - | - |
LIBERBANK MIX-RENTA FIJA, FI | ES0111028033 | 2.021 | 41.697€ | -0,35% | 0,42% | -0,84% | 1,81% |
SABADELL RENTA FIJA MIXTA ESPAÑA, FI | ES0111145019 | 1 | 1.063€ | -1,14% | 0,42% | -0,44% | - |
BANKINTER RENTA VARIABLE ESPAÑOLA GARANTIZADO, FI | ES0114023007 | 761 | 26.736€ | -0,53% | 0,42% | - | - |
BNP PARIBAS EURO, FI | ES0125472037 | 144 | 11.888€ | -1,08% | 0,41% | 1,01% | 1,72% |
UNIFOND BOLSA GARANTIZADO 2017-XI, FI | ES0180984033 | 612 | 10.659€ | 1,98% | 0,40% | - | - |
CAJA INGENIEROS 2018 INFLACION GARANTIZADO, FI | ES0118509001 | 378 | 5.942€ | -1,55% | 0,40% | - | - |
UNIFOND BOLSA GARANTIZADO 2020-I, FI | ES0181403009 | 806 | 17.891€ | -0,67% | 0,39% | - | - |
CAIXABANK FONDTESORO LARGO PLAZO, FI | ES0137979037 | 1.092 | 15.782€ | 0,90% | 0,38% | 2,04% | 3,82% |
TREA CAJAMAR CORTO PLAZO FI | ES0114546031 | 12.427 | 428.155€ | -0,34% | 0,37% | 0,24% | 0,50% |
BANKIA GARANTIZADO BOLSA 5, FI | ES0159081035 | 6.029 | 107.956€ | 0,09% | 0,37% | - | - |
BBVA RENDIMIENTO EUROPA VII, FI | ES0133773004 | 6.233 | 169.487€ | -1,48% | 0,37% | - | - |
CAIXABANK RENTAS ABRIL 2020, FI | ES0112830007 | 2.116 | 30.447€ | 0,10% | 0,37% | - | - |
SABADELL GARANTIA EXTRA 21, FI | ES0178521037 | 7.163 | 177.063€ | -0,94% | 0,37% | - | - |
SANTANDER RESPONSABILIDAD SOLIDARIO, FI | ES0145821031 | 16.193 | 683.144€ | -1,35% | 0,36% | -0,27% | 1,59% |
CAIXABANK SELECCION RETORNO ABSOLUTO, FI | ES0138066008 | 1.135 | 19.286€ | -0,34% | 0,36% | -0,91% | 0,29% |
HARMATAN CARTERA CONSERVADORA, FI | ES0154974036 | 356 | 29.974€ | -0,31% | 0,36% | -1,68% | 0,83% |
EUROVALOR AHORRO GARANTIZADO 9, FI | ES0133445009 | 179 | 20.199€ | 0,06% | 0,36% | - | - |
BANKINTER GRANDES EMPRESAS ESPAÑOLAS GARANTIZADO, FI | ES0114102033 | 589 | 16.482€ | 3,15% | 0,36% | - | - |
ATL CAPITAL RENTA FIJA, FI | ES0111168003 | 353 | 16.690€ | -0,66% | 0,34% | -0,07% | 2,16% |
OPTIMA RENTA FIJA FLEXIBLE, FI | ES0133462004 | 2.663 | 83.709€ | -1,23% | 0,34% | 1,23% | 1,00% |
CREDIT AGRICOLE BANKOA RF CORTO PLAZO, FI | ES0126499005 | 149 | 21.387€ | 0,13% | 0,34% | 0,18% | - |
EUROVALOR BONOS EURO LARGO PLAZO, FI | ES0133479032 | 1.975 | 55.088€ | -0,18% | 0,34% | 1,63% | 3,14% |
FON FINECO INTERES FI | ES0164814016 | 14 | 4.542€ | 0,36% | 0,34% | 1,97% | 5,07% |
FONDITEL RENTA FIJA MIXTA INTERNACIONAL, FI | ES0138047032 | 75 | 9.379€ | -0,28% | 0,34% | -0,58% | 1,53% |
GEF ALBORAN GLOBAL, FI | ES0141176000 | 104 | 2.787€ | -0,11% | 0,34% | - | - |
SPB RF CORTO PLAZO, FI | ES0112793031 | 105 | 443.788€ | -0,10% | 0,33% | 0,55% | - |
BBVA BONOS PLAZO VIII, FI | ES0159153008 | 946 | 11.539€ | 0,14% | 0,33% | - | - |
AMUNDI ESTRATEGIA GLOBAL, FI | ES0126545039 | 142 | 6.586€ | -1,22% | 0,32% | 0,23% | 2,37% |
CAIXABANK RENTA FIJA FLEXIBLE, FI | ES0138219029 | 13 | 18.252€ | 0,75% | 0,32% | 0,96% | - |
LABORAL KUTXA SELEK BALANCE, FI | ES0157073000 | 4.303 | 230.061€ | -0,43% | 0,32% | - | - |
IMANTIA CORTO PLAZO, FI | ES0107432009 | 517 | 127.393€ | 0,35% | 0,32% | 0,42% | - |
IBERCAJA BP RENTA FIJA, FI | ES0146791019 | 54.190 | 995.319€ | 0,12% | 0,31% | 0,18% | 0,84% |
MAPFRE PUENTE GARANTIA 4, FI | ES0138394038 | 503 | 4.848€ | -0,30% | 0,31% | - | - |
LABORAL KUTXA BOLSA GARANTIZADO XX,FI | ES0115478036 | 4.785 | 112.840€ | -0,55% | 0,31% | - | - |
ABANCA GESTION, FI | ES0133400020 | 1.376 | 37.897€ | -0,58% | 0,30% | -0,64% | - |
SANTANDER GENERACION 1, FI | ES0174869026 | 1.936 | 118.212€ | -0,59% | 0,30% | - | - |
UNIFOND MODERADO, FI | ES0182035032 | 18.449 | 567.376€ | -1,14% | 0,30% | -0,43% | 0,44% |
EUROVALOR BONOS CORPORATIVOS FI | ES0133485005 | 460 | 12.847€ | -0,60% | 0,30% | 1,05% | 2,01% |
BBVA BONOS PATRIMONIO RENTAS V, FI | ES0118852005 | 1.026 | 47.336€ | -0,05% | 0,30% | - | - |
SANTANDER GRANDES COMPAÑIAS 2019 2, FI | ES0175008004 | 448 | 19.561€ | -2,54% | 0,30% | - | - |
CREDIT AGRICOLE BANKOA RF CORTO PLAZO, FI | ES0126499039 | 1.247 | 18.457€ | 0,08% | 0,29% | 0,13% | 0,51% |
CREDIT AGRICOLE SELECCION, FI | ES0162231031 | 890 | 39.778€ | -1,53% | 0,29% | -0,12% | 0,61% |
DB TALENTO GESTION CONSERVADORA, FI | ES0145554004 | 5.847 | 142.518€ | -1,49% | 0,29% | -0,05% | - |
IBERCAJA EUROPA GARANTIZADO, FI | ES0146825007 | 803 | 15.482€ | 1,76% | 0,29% | - | - |
LIBERBANK RENDIMIENTO GARANTIZADO II, FI | ES0110951037 | 4.267 | 132.189€ | 4,49% | 0,29% | - | - |
BBVA RENDIMIENTO EUROPA VI FI | ES0133772006 | 3.603 | 90.520€ | -1,54% | 0,29% | - | - |
FONDESPAÑA-DUERO GARANTIZADO RF IMPULSO, FI | ES0137909000 | 2.470 | 62.712€ | 0,77% | 0,29% | - | - |
KUTXABANK RENTAS OCTUBRE 2019, FI | ES0179466000 | 2.827 | 84.779€ | 0,04% | 0,29% | - | - |
BANKINTER CARTERA PRIVADA CONSERVADORA, FI | ES0113500005 | 1.674 | 143.801€ | -2,05% | 0,28% | - | - |
BBVA BONOS PATRIMONIO XVI, FI | ES0116862006 | 1.101 | 47.488€ | -0,02% | 0,28% | - | - |
PBP BIOGEN, FI | ES0147032033 | 169 | 3.569€ | -3,14% | 0,27% | -1,05% | 5,12% |
SANTANDER 95 GRANDES COMPAÑIAS, FI | ES0174744005 | 4.969 | 255.457€ | -2,16% | 0,27% | - | - |
FONDESPAÑA-DUERO GARANTIZADO BOLSA IV/2020, FI. | ES0138522034 | 3.207 | 58.584€ | -0,35% | 0,27% | - | - |
BANKINTER RENTA FIJA TITANIO 2017 GARANTIZADO, FI | ES0118844002 | 774 | 30.908€ | 1,15% | 0,27% | - | - |
SANTANDER GENERACION 1, FI | ES0174869018 | 14.900 | 800.146€ | -0,59% | 0,26% | - | - |
CAIXABANK ESPAÑA RENTA FIJA 2022, FI | ES0138216033 | 1.273 | 30.089€ | 0,31% | 0,26% | 2,69% | 0,87% |
BMN FONDEPOSITO, FI | ES0158949034 | 9.491 | 322.105€ | 0,53% | 0,26% | -4,68% | -2,06% |
IBERCAJA BP RENTA FIJA, FI | ES0146791001 | 9.426 | 790.381€ | 0,03% | 0,26% | 0,14% | 0,83% |
EUROVALOR AHORRO TOP 2019, FI | ES0133563033 | 1.738 | 25.067€ | 0,00% | 0,25% | - | - |
BBVA RENDIMIENTO EUROPA, FI | ES0113455036 | 2.529 | 58.562€ | -4,93% | 0,25% | - | - |
BMN INTERES GARANTIZADO 8, FI | ES0114543038 | 314 | 5.000€ | -0,19% | 0,25% | - | - |
DINVALOR GLOBAL, FI | ES0126553033 | 421 | 12.591€ | -1,59% | 0,24% | 0,03% | 1,50% |
CAIXABANK VALOR 100/50 IBEX, FI | ES0137834000 | 1.638 | 48.550€ | -2,26% | 0,24% | - | - |
SANTANDER INVERSION CORTO PLAZO 3, FI | ES0174942005 | 36.567 | 1.001.307€ | 0,04% | 0,23% | 0,03% | 1,36% |
SANTANDER SELECT PATRIMONIO, FI | ES0175835018 | 17.680 | 215.239€ | -0,36% | 0,23% | -0,55% | 0,56% |
SABADELL BONOS EURO, FI | ES0173828023 | 0 | 0€ | 1,25% | 0,23% | 2,00% | - |
IBERCAJA DIN, FI | ES0147174033 | 17.077 | 368.353€ | -0,38% | 0,23% | -0,16% | 0,69% |
BBVA BONOS PATRIMONIO RENTAS IV, FI | ES0118851007 | 885 | 38.800€ | -0,06% | 0,23% | - | - |
CX OPORTUNITAT BORSA FI | ES0152182004 | 321 | 5.849€ | -0,16% | 0,23% | - | - |
SEGURFONDO RENTA FIJA FLEXIBLE, FI | ES0175414004 | 176 | 18.382€ | -1,54% | 0,21% | 0,65% | 0,90% |
FONDIBAS, FI | ES0138936036 | 186 | 17.924€ | -2,46% | 0,21% | 0,07% | 1,98% |
BBVA RENDIMIENTO EUROPA II, FI | ES0110187038 | 1.825 | 35.409€ | -4,44% | 0,21% | - | - |
LABORAL KUTXA BOLSA GARANTIZADO XIX,FI | ES0147396008 | 1.643 | 35.441€ | -0,50% | 0,21% | - | - |
BBVA BONOS PATRIMONIO XV, FI | ES0159151002 | 1.562 | 69.465€ | -0,20% | 0,20% | - | - |
BBVA BONOS PLAZO VII, FI | ES0159152000 | 960 | 13.582€ | -0,23% | 0,20% | - | - |
INVERSABADELL 10, FI | ES0155008032 | 4.110 | 90.504€ | -0,28% | 0,20% | - | - |
SANTANDER TANDEM 0-30, FI | ES0155818034 | 78.056 | 2.849.440€ | -2,10% | 0,19% | -0,12% | 1,91% |
IBERCAJA SELECCION RENTA FIJA, FI | ES0147192035 | 8.924 | 240.575€ | -0,47% | 0,19% | -0,10% | 1,61% |
SANTANDER GRANDES COMPAÑIAS 2019 3, FI | ES0175009002 | 760 | 32.796€ | -2,26% | 0,19% | - | - |
BANKINTER RENTA FIJA OPALO 2017 GARANTIZADO, FI | ES0119173005 | 452 | 16.728€ | 0,53% | 0,19% | - | - |
CAIXABANK RENTAS JULIO 2019, FI | ES0137886034 | 41 | 7.674€ | -0,14% | 0,18% | - | - |
LIBERBANK PLATINUM, FI | ES0110929033 | 122 | 20.960€ | -0,34% | 0,17% | 0,29% | 1,40% |
IBERCAJA RENTA FIJA 2024, FI | ES0147051009 | 2.386 | 79.752€ | 1,56% | 0,17% | - | - |
BBVA BONOS PATRIMONIO RENTAS III, FI | ES0118850009 | 459 | 19.316€ | -0,36% | 0,17% | - | - |
IBERCAJA CONSERVADOR, FI | ES0146792009 | 10 | 1.573€ | 0,43% | 0,16% | 0,09% | 0,35% |
CAJA LABORAL BOLSA GARANTIZADO IX, FI | ES0115310031 | 1.961 | 34.685€ | -2,21% | 0,16% | - | - |
MARCH PATRIMONIO CORTO PLAZO, FI | ES0160990000 | 1.089 | 64.099€ | -0,53% | 0,14% | 0,29% | 0,89% |
BBVA BONOS PATRIMONIO V, FI | ES0159147000 | 63 | 2.975€ | -0,45% | 0,14% | - | - |
UNIFOND CRECIMIENTO 2019-IV, FI | ES0180986004 | 909 | 13.867€ | -0,25% | 0,14% | - | - |
BBVA BONOS RENTAS VII, FI | ES0119177006 | 829 | 16.557€ | -0,16% | 0,14% | - | - |
NB EURO/DOLAR 80, FI | ES0138367000 | 170 | 1.385€ | -4,09% | 0,14% | - | - |
KUTXABANK GARANTIZADO BOLSA EUROPA 2, FI | ES0114238035 | 2.037 | 42.545€ | -2,65% | 0,14% | - | - |
CAIXABANK BOLSA ESPAÑA 2019, FI | ES0138520038 | 1.100 | 29.640€ | -0,18% | 0,14% | - | - |
RENTA 4 TOP SELECCIÓN CONSERVADOR, FI | ES0173270002 | 495 | 13.839€ | -1,45% | 0,13% | - | - |
NB RENTA FIJA LARGO, FI | ES0168662031 | 288 | 7.979€ | -0,67% | 0,13% | 1,03% | 2,58% |
AMEINON RENTA FIJA, FI | ES0109191009 | 111 | 7.258€ | -0,99% | 0,12% | -1,03% | - |
RSR GLOBAL, FI | ES0174193005 | 106 | 3.851€ | -1,10% | 0,12% | - | - |
BBVA GESTION CONSERVADORA, FI | ES0110178037 | 19.988 | 505.446€ | -1,42% | 0,12% | -0,89% | 0,70% |
BBVA BONOS PATRIMONIO XIV, FI | ES0159150004 | 313 | 14.157€ | -0,32% | 0,12% | - | - |
UNIFOND BOLSA GARANTIZADO 2020-IV, FI | ES0181065030 | 3.021 | 76.936€ | -0,77% | 0,11% | - | - |
BANKINTER MEDIA EUROPEA 2024 GARANTIZADO, FI | ES0114792031 | 918 | 29.895€ | 0,88% | 0,11% | - | - |
IBERCAJA ALPHA, FI | ES0146756012 | 35.336 | 75.643€ | -4,58% | 0,10% | -1,14% | 4,53% |
BBVA BONOS PLAZO VI, FI | ES0115164008 | 555 | 8.269€ | -0,25% | 0,10% | - | - |
CAIXABANK VALOR 100/50 EUROSTOXX, FI | ES0137833002 | 1.434 | 44.923€ | -2,69% | 0,10% | - | - |
IBERCAJA CRECIMIENTO DINAMICO, FI | ES0146843000 | 30.038 | 421.238€ | -0,58% | 0,09% | -0,21% | 0,52% |
BBVA BONOS RENTAS VI, FI | ES0114029004 | 724 | 18.273€ | -0,29% | 0,09% | - | - |
BMN FONDEPOSITO SELECCION EUROPA, FI | ES0114882006 | 5.338 | 169.598€ | 0,05% | 0,08% | -0,16% | 1,48% |
IBERCAJA AHORRO, FI | ES0147173035 | 3.923 | 69.894€ | -0,45% | 0,08% | -0,03% | 1,61% |
UNIFOND 2020-III, FI | ES0181073034 | 1.388 | 31.947€ | -0,18% | 0,08% | - | - |
UNIFOND BOLSA 2020-V, FI | ES0180863005 | 1.520 | 32.672€ | -2,76% | 0,08% | - | - |
EUROVALOR AHORRO GARANTIZADO 9, FI | ES0133445017 | 956 | 16.897€ | -0,19% | 0,08% | - | - |
CAIXABANK RENTAS JULIO 2019, FI | ES0137886059 | 273 | 17.265€ | -0,24% | 0,08% | - | - |
SANTANDER GENERACION 1, FI | ES0174869000 | 14.349 | 261.637€ | -0,79% | 0,07% | - | - |
CAIXABANK RENTA FIJA FLEXIBLE, FI | ES0138219045 | 135 | 55.350€ | 0,50% | 0,07% | 0,71% | - |
CA SELECCION ESTRATEGIA 20, FI | ES0171962006 | 1.156 | 52.040€ | -2,22% | 0,07% | -0,18% | - |
CS CORTO PLAZO, FI | ES0155598032 | 650 | 371.627€ | -0,37% | 0,07% | 0,18% | 0,41% |
FONBUSA, FI | ES0138784030 | 155 | 14.370€ | -1,38% | 0,07% | -2,09% | 0,54% |
IBERCAJA GESTION GARANTIZADO 5, FI | ES0147106035 | 2.884 | 38.552€ | -2,28% | 0,07% | - | - |
CAJA INGENIEROS GESTION ALTERNATIVA, FI | ES0142547035 | 1.294 | 11.451€ | -1,04% | 0,06% | -1,77% | -1,37% |
CARTERA OPTIMA PRUDENTE, FI | ES0133578031 | 33.780 | 738.708€ | -1,28% | 0,06% | -0,59% | - |
MEDIOLANUM PREMIER, FI | ES0148219035 | 2.772 | 57.603€ | -0,49% | 0,05% | - | - |
EUROVALOR CONSERVADOR DINAMICO, FI | ES0133614000 | 888 | 43.982€ | -1,21% | 0,05% | 0,04% | 0,31% |
GESIURIS FIXED INCOME SHORT TERM, FI | ES0170863031 | 112 | 1.444€ | -0,79% | 0,05% | 0,38% | 0,71% |
EUROVALOR GARANTIZADO ESTRATEGIA, FI | ES0133562035 | 2.576 | 42.968€ | 5,05% | 0,05% | - | - |
SANTANDER GRANDES COMPAÑIAS 2019, FI | ES0166493009 | 881 | 35.894€ | -3,16% | 0,05% | - | - |
XENIA FLEXIBLE, FI | ES0105312005 | 160 | 509€ | -2,57% | 0,05% | - | - |
FON FINECO INTERES FI | ES0164814008 | 99 | 1.453€ | 0,06% | 0,04% | 1,67% | 4,76% |
FONBILBAO CORTO PLAZO, FI | ES0138812039 | 354 | 37.716€ | -0,27% | 0,04% | 0,68% | 0,56% |
CAJA INGENIEROS 2019 IBEX GARANTIZADO, FI | ES0118510009 | 391 | 9.149€ | -0,45% | 0,04% | - | - |
IBERCAJA CAPITAL GARANTIZADO 3, FI | ES0146742012 | 498 | 10.573€ | -2,05% | 0,04% | - | - |
PBP CARTERA ACTIVA, FI | ES0157037005 | 212 | 43.178€ | -1,50% | 0,03% | -0,34% | - |
DP FONSELECCION FI | ES0158327033 | 126 | 46.129€ | -1,09% | 0,03% | -0,07% | 1,39% |
CAIXABANK RENTAS JULIO 2019, FI | ES0137886026 | 55 | 9.314€ | -0,29% | 0,03% | - | - |
CAIXABANK FONDTESORO LARGO PLAZO, FI | ES0137979011 | 1.231 | 33.837€ | 0,54% | 0,02% | - | - |
CAIXABANK INTERES 3, FI | ES0137793008 | 21.446 | 420.768€ | -0,18% | 0,02% | - | - |
SABADELL RENTA FIJA MIXTA ESPAÑA, FI | ES0111145001 | 13 | 2.577€ | -1,54% | 0,02% | -0,84% | - |
SABADELL RENTA FIJA MIXTA ESPAÑA, FI | ES0111145043 | 0 | 0€ | -1,54% | 0,02% | - | - |
BANKINTER CARTERA PRIVADA DEFENSIVA, FI | ES0135704007 | 492 | 42.411€ | -0,91% | 0,02% | - | - |
GVCGAESCO CONSTANTFONS, FI | ES0121776035 | 16.285 | 137.278€ | 0,03% | 0,02% | 0,01% | 0,15% |
CAJA LABORAL RENTA FIJA GARANTIZADO XI, FI | ES0115476030 | 1.225 | 28.846€ | -0,34% | 0,02% | - | - |
BANKINTER RENTA FIJA ROBLE 2019, FI | ES0113065009 | 74 | 1.872€ | -0,40% | 0,02% | - | - |
ABANCA RENTA FIJA CORTO PLAZO, FI | ES0119483008 | 23.793 | 650.802€ | -0,10% | 0,01% | 0,14% | 0,94% |
BBVA BONOS ESPAÑA LARGO PLAZO, FI | ES0113465001 | 1.613 | 62.760€ | 0,02% | 0,01% | 1,77% | 3,33% |
BBVA BONOS PATRIMONIO XII, FI | ES0110009000 | 1.351 | 69.989€ | -0,51% | 0,01% | - | - |
UNIFOND 2017-X, FI | ES0181033038 | 911 | 19.328€ | -0,31% | 0,01% | - | - |
SABADELL RENDIMIENTO, FI | ES0173829005 | 274 | 19.657€ | -0,10% | 0,00% | - | - |
MIRABAUD FUNDS EQUITIES SPAIN, FI (EN LIQUIDACION) | ES0183261033 | 1 | 0€ | 0,00% | 0,00% | -7,69% | -46,15% |
MUTUAFONDO GESTION OPTIMA CONSERVADOR FI | ES0131366033 | 293 | 31.183€ | -1,14% | 0,00% | -0,51% | 0,98% |
GVCGAESCO FONDO FONDTESORO CORTO PLAZO, FI | ES0140642036 | 712 | 10.708€ | 0,00% | 0,00% | 0,00% | 0,11% |
IBERCAJA CRECIMIENTO DINAMICO, FI | ES0146843034 | 29.388 | 929.508€ | -0,75% | 0,00% | -0,27% | 0,53% |
BANKIA GARANTIZADO RENTAS 11, FI | ES0113489001 | 2.872 | 57.956€ | -0,57% | 0,00% | - | - |
BANKIA OBJETIVO 2019 I, FI | ES0135703009 | 1.319 | 19.599€ | -0,48% | 0,00% | - | - |
RENTA 4 MONETARIO, FI | ES0128520006 | 7.293 | 299.799€ | -0,16% | -0,01% | 0,15% | 0,69% |
SANTANDER EVOLUCION 20, FI | ES0174723009 | 3.174 | 108.989€ | -0,94% | -0,01% | - | - |
SPB RF CORTO PLAZO, FI | ES0112793007 | 9.556 | 1.802.862€ | -0,39% | -0,01% | 0,25% | 0,83% |
EUROVALOR AHORRO OBJETIVO 2018, FI | ES0133446007 | 13 | 1.249€ | -0,24% | -0,02% | - | - |
CAIXABANK RENTAS JULIO 2019, FI | ES0137886018 | 2.870 | 34.279€ | -0,34% | -0,02% | - | - |
BANKOA-AHORRO FONDO, FI | ES0113691036 | 1.349 | 58.183€ | -0,48% | -0,03% | 0,17% | 0,47% |
SABADELL RENDIMIENTO, FI | ES0173829054 | 140 | 297.576€ | -0,16% | -0,03% | - | - |
IBERCAJA ALPHA, FI | ES0146756004 | 3.896 | 116.872€ | -4,83% | -0,03% | -1,23% | 4,48% |
CAJA LABORAL RENTA ASEGURADA V FI | ES0147428009 | 283 | 6.744€ | -0,43% | -0,03% | - | - |
CAIXABANK EQUILIBRIO, FI | ES0164539001 | 75.266 | 1.086.999€ | -0,16% | -0,04% | -0,85% | 1,25% |
LABORAL KUTXA AVANT,FI | ES0164735039 | 11.273 | 361.725€ | -1,72% | -0,04% | 0,02% | 1,77% |
IMANTIA CORTO PLAZO, FI | ES0107432033 | 5.623 | 43.148€ | -0,01% | -0,04% | 0,05% | 0,73% |
UNIFOND 2019-I, FI | ES0181001035 | 2.152 | 55.473€ | -0,42% | -0,04% | - | - |
BBVA BONOS RENTAS V, FI | ES0116856032 | 2.415 | 52.020€ | -0,45% | -0,04% | - | - |
EUROVALOR GARANTIZADO CESTA PLUS, FI | ES0133464000 | 616 | 63.863€ | -0,33% | -0,04% | - | - |
SANTANDER CUMBRE 2019 PLUS 2, FI | ES0174928020 | 25 | 7.050€ | -0,22% | -0,04% | - | - |
SANTANDER CUMBRE 2019 PLUS 2, FI | ES0174928046 | 13 | 2.891€ | -0,23% | -0,04% | - | - |
KUTXABANK RENTAS OCTUBRE 2018, FI | ES0179465002 | 791 | 20.133€ | -0,37% | -0,04% | - | - |
CAIXABANK RENTAS OCTUBRE 2018, FI | ES0137907038 | 83 | 13.860€ | -0,33% | -0,04% | - | - |
SABADELL GARANTIA EXTRA 20, FI | ES0136786037 | 6.661 | 170.012€ | -1,39% | -0,04% | - | - |
SABADELL BONOS EURO, FI | ES0173828015 | 50 | 10.171€ | 0,99% | -0,05% | 1,70% | - |
SABADELL BONOS EURO, FI | ES0173828049 | 0 | 0€ | 0,99% | -0,05% | - | - |
BANKIA FUSION III, FI | ES0113934006 | 3.153 | 41.183€ | -0,02% | -0,05% | 0,08% | - |
SABADELL RENTA FIJA MIXTA ESPAÑA, FI | ES0111145027 | 0 | 0€ | -1,40% | -0,05% | - | - |
BANKIA 2017 EUROSTOXX II, FI | ES0113407003 | 801 | 13.117€ | 2,23% | -0,05% | - | - |
LIBERBANK RENTA FIJA III, FI | ES0115380000 | 125 | 17.143€ | 0,23% | -0,05% | - | - |
RURAL EUROPA 2018 GARANTIZADO, FI | ES0156834006 | 504 | 11.567€ | -0,88% | -0,05% | - | - |
WELZIA GLOBAL ACTIVO, FI | ES0184583013 | 96 | 1.078€ | 6,06% | -0,06% | -1,87% | -0,48% |
BBVA AHORRO PATRIMONIO, FI | ES0110091032 | 227 | 143.669€ | -0,23% | -0,06% | 0,10% | 0,31% |
RURAL RENTA FIJA 5, FI | ES0175735036 | 1 | 8€ | -1,09% | -0,06% | 0,79% | 2,69% |
CX PATRIMONI PLUS, FI | ES0117091035 | 164 | 264.830€ | -0,26% | -0,06% | -0,10% | 0,68% |
DINERCAM, FI | ES0126551037 | 648 | 42.378€ | -0,06% | -0,06% | 0,03% | 0,47% |
MARCH MONETARIO, F.I. | ES0160873008 | 453 | 84.575€ | -0,33% | -0,06% | - | - |
MARCH PREMIER RENTA FIJA CORTO PLAZO, FI | ES0161032034 | 1.197 | 434.970€ | -0,74% | -0,06% | 0,18% | 0,50% |
BANKINTER ESPAÑA 2020 GARANTIZADO, FI | ES0114791033 | 235 | 8.829€ | -0,42% | -0,06% | - | - |
SANTANDER RENTA FIJA, FI | ES0146133022 | 184 | 35.531€ | 0,26% | -0,07% | 1,67% | 3,22% |
CAIXABANK RENTA FIJA SELECCION GLOBAL, FI | ES0113802013 | 15 | 7.408€ | -2,78% | -0,07% | - | - |
UBS BONOS GESTION ACTIVA, FI | ES0180914006 | 119 | 2.787€ | -1,15% | -0,07% | 0,63% | 1,08% |
CAIXABANK VALOR BOLSA EURO 2, FI | ES0137908002 | 1.614 | 41.691€ | -3,19% | -0,07% | - | - |
CX EVOLUCIÓ RENDES NOVEMBRE 2018, FI | ES0159507005 | 377 | 11.530€ | -0,37% | -0,07% | - | - |
CAIXABANK RENTAS JULIO 2019, FI | ES0137886042 | 329 | 18.528€ | -0,39% | -0,07% | - | - |
SANTANDER RENDIMIENTO, FI | ES0138534054 | 20.370 | 763.021€ | -0,51% | -0,08% | - | - |
SEGURFONDO GESTION DINAMICA, FI | ES0175437039 | 262 | 30.854€ | -0,56% | -0,08% | -0,61% | 0,37% |
SABADELL INTERES EURO, FI | ES0174403040 | 45 | 86.961€ | -0,44% | -0,08% | - | - |
CAIXABANK AHORRO, FI | ES0105002028 | 3 | 45.196€ | -0,61% | -0,08% | 0,29% | - |
KUTXABANK GESTION ACTIVA PATRIMONIO, FI | ES0114836036 | 27.659 | 407.727€ | -1,08% | -0,08% | -1,22% | 0,71% |
IBERCAJA CONSERVADOR, FI | ES0146792025 | 150 | 9.112€ | 0,18% | -0,08% | -0,16% | 0,10% |
EUROVALOR AHORRO GARANTIZADO 10, FI | ES0133422008 | 332 | 25.855€ | -0,39% | -0,08% | - | - |
BANKINTER ESPAÑA 2020 II GARANTIZADO, FI | ES0114795034 | 679 | 24.468€ | -0,28% | -0,08% | - | - |
SABADELL RENDIMIENTO, FI | ES0173829013 | 16.169 | 854.666€ | -0,14% | -0,09% | - | - |
MIRABAUD SHORT TERM ESPAÑA, FI | ES0183302035 | 179 | 18.081€ | -0,54% | -0,09% | -0,14% | 0,12% |
NB PREMIUM, FI | ES0138366002 | 121 | 6.468€ | -1,85% | -0,09% | -0,13% | 1,67% |
IMANTIA GLOBAL CONSERVADOR, FI | ES0106951033 | 1.205 | 18.305€ | -1,25% | -0,09% | -0,41% | 0,63% |
FONDMAPFRE RENTA LARGO, FI | ES0138820032 | 2.378 | 43.584€ | 1,05% | -0,09% | -0,27% | 3,38% |
AVIVA CORTO PLAZO, FI | ES0170156006 | 22 | 230.533€ | -0,43% | -0,10% | 0,06% | 0,64% |
AVIVA CORTO PLAZO, FI | ES0170156022 | 13 | 1.283€ | -0,43% | -0,10% | - | - |
KUTXABANK RENTA FIJA LARGO PLAZO, FI | ES0157023039 | 58.002 | 586.852€ | -1,02% | -0,10% | 0,28% | 1,81% |
UNIFOND 2018-II, FI | ES0178234037 | 1.655 | 45.977€ | -0,28% | -0,10% | - | - |
SABADELL RENDIMIENTO, FI | ES0173829021 | 57 | 33.054€ | -0,22% | -0,11% | - | - |
SABADELL RENDIMIENTO, FI | ES0173829047 | 2.576 | 529.176€ | -0,22% | -0,11% | - | - |
SANTANDER RENTA FIJA CORTO PLAZO, FI | ES0105931036 | 16.794 | 369.411€ | -0,46% | -0,12% | 0,12% | - |
BANKIA BONOS CORTO PLAZO (III), FI | ES0113044038 | 1.068 | 94.150€ | -0,15% | -0,12% | 0,02% | 0,54% |
EUROVALOR PARTICULARES VOLUMEN, FI | ES0133877003 | 23 | 177.730€ | -0,39% | -0,12% | 0,04% | 0,59% |
BBVA BONOS PATRIMONIO RENTAS II, FI | ES0118849001 | 296 | 13.625€ | -0,60% | -0,12% | - | - |
SANTANDER CUMBRE 2019 PLUS, FI | ES0176937029 | 24 | 4.635€ | -0,42% | -0,12% | - | - |
SANTANDER CUMBRE 2019 PLUS, FI | ES0176937045 | 15 | 3.722€ | -0,42% | -0,12% | - | - |
SANTANDER RENDIMIENTO, FI | ES0138534047 | 11 | 936.787€ | -0,57% | -0,13% | 0,13% | 0,62% |
SANTANDER RENTA FIJA CORTO PLAZO, FI | ES0105931002 | 33.015 | 1.661.906€ | -0,45% | -0,13% | 0,11% | 0,49% |
RURAL AHORRO PLUS, FI | ES0174305039 | 6 | 1.828€ | -0,71% | -0,13% | -0,16% | 0,27% |
SABADELL RENDIMIENTO, FI | ES0173829062 | 293 | 10.857€ | -0,24% | -0,13% | - | - |
BMN INTERES GARANTIZADO 11, FI | ES0138091030 | 1.100 | 33.250€ | -0,31% | -0,13% | - | - |
CAIXABANK RENTAS OCTUBRE 2018, FI | ES0137907053 | 498 | 29.297€ | -0,42% | -0,13% | - | - |
A&G TESORERIA, FI | ES0156873004 | 266 | 26.911€ | -0,24% | -0,14% | -0,13% | 0,24% |
CAIXABANK MONETARIO RENDIMIENTO, FI | ES0138045044 | 242.560 | 2.562.059€ | -0,34% | -0,14% | -0,04% | 0,12% |
BBVA BONOS PATRIMONIO XI, FI | ES0159149006 | 436 | 18.913€ | -0,54% | -0,14% | - | - |
ATL CAPITAL LIQUIDEZ, FI | ES0111166031 | 495 | 37.018€ | -0,19% | -0,15% | -0,07% | 0,31% |
SABADELL BONOS EURO, FI | ES0173828007 | 3 | 14.407€ | 1,02% | -0,15% | 1,55% | - |
MUTUAFONDO CORTO PLAZO, FI | ES0165142037 | 1.316 | 196.249€ | -0,52% | -0,16% | 0,06% | 0,77% |
UNIFOND CONSERVADOR, FI | ES0138046034 | 32.405 | 1.044.860€ | -1,13% | -0,16% | -0,46% | 0,12% |
IMANTIA FONDEPOSITO, FI | ES0106933007 | 209 | 122.070€ | -0,32% | -0,16% | 0,02% | 0,63% |
FONDESPAÑA-DUERO RENTA FIJA IMPULSO, FI | ES0164494009 | 3.336 | 98.917€ | -0,29% | -0,16% | -0,10% | 0,53% |
GESIURIS HEALTHCARE, FI | ES0109874000 | 56 | 27€ | -4,04% | -0,16% | - | - |
CAIXABANK RENTAS JULIO 2019, FI | ES0137886000 | 3.344 | 38.888€ | -0,49% | -0,16% | - | - |
MEDIOLANUM FONDCUENTA, FI | ES0138816006 | 249 | 57.347€ | -0,47% | -0,17% | -84,44% | -67,17% |
FONDMAPFRE RENTA CORTO, FI | ES0165197031 | 7.682 | 90.422€ | 0,01% | -0,17% | -0,19% | 0,28% |
HERCULES CORTO PLAZO, FI | ES0144083039 | 97 | 1€ | -0,33% | -0,17% | -0,13% | 0,36% |
SANTANDER PB CARTERA 20, FI | ES0113444006 | 3.880 | 595.235€ | -1,19% | -0,18% | -0,66% | 0,44% |
CAIXABANK MONETARIO RENDIMIENTO, FI | ES0138045051 | 30 | 74.850€ | -0,39% | -0,18% | -0,06% | 0,27% |
SABADELL RENDIMIENTO, FI | ES0173829039 | 26.164 | 546.740€ | -0,28% | -0,18% | -0,03% | 0,69% |
CX LIQUIDITAT, FI | ES0138858032 | 6.244 | 144.729€ | -0,16% | -0,18% | - | - |
IBERCAJA PLUS, FI | ES0147102034 | 5.897 | 974.250€ | -0,90% | -0,18% | 0,19% | 0,74% |
CAIXABANK RENTAS 2017, FI | ES0138017001 | 3.398 | 57.469€ | -0,47% | -0,18% | - | - |
CAIXABANK RENTAS OCTUBRE 2018, FI | ES0137907020 | 31 | 5.940€ | -0,47% | -0,18% | - | - |
BANKINTER CESTA SELECCION GARANTIZADO, FI | ES0114796032 | 477 | 12.123€ | 5,14% | -0,18% | - | - |
CAIXABANK ESTRATEGIA FLEXIBLE, FI | ES0137656015 | 4 | 3.586€ | -1,14% | -0,19% | 0,11% | - |
BANKINTER DINERO 4, FI | ES0127186031 | 1.680 | 434.431€ | -0,33% | -0,19% | -0,08% | 0,43% |
IMANTIA FONDEPOSITO, FI | ES0106933015 | 4 | 2.404€ | -0,27% | -0,19% | - | - |
SANTANDER CUMBRE 2019 PLUS 2, FI | ES0174928012 | 347 | 27.919€ | -0,37% | -0,19% | - | - |
SANTANDER CUMBRE 2019 PLUS 2, FI | ES0174928038 | 74 | 5.512€ | -0,37% | -0,19% | - | - |
RURAL BONOS 2 AÑOS, FI | ES0174372039 | 3.153 | 19.363€ | -0,88% | -0,20% | -0,43% | 0,36% |
UNIFOND RETORNO PRUDENTE, FI | ES0164714000 | 12.787 | 286.756€ | -0,61% | -0,20% | -0,33% | 0,37% |
PROFIT CORTO PLAZO, FI | ES0171629035 | 260 | 59.857€ | -0,79% | -0,20% | -0,01% | 0,39% |
BBVA BONOS PATRIMONIO IX, FI | ES0118847005 | 247 | 19.048€ | -0,46% | -0,20% | - | - |
MUTUAFONDO DINERO, FI | ES0165143001 | 771 | 103.597€ | -0,28% | -0,21% | -0,17% | 0,01% |
IBERCAJA AHORRO DINAMICO, FI | ES0184002030 | 17.104 | 439.531€ | 0,32% | -0,21% | 0,00% | - |
BANKIA 2018 EUROSTOXX II, FI | ES0109222036 | 2.457 | 37.730€ | 0,44% | -0,21% | - | - |
ABANTE RENTA, FI | ES0162947032 | 378 | 56.450€ | -1,41% | -0,22% | -0,39% | 0,09% |
METROPOLIS RENTA, FI | ES0162819033 | 108 | 8.562€ | -2,11% | -0,22% | -0,52% | 2,24% |
EUROVALOR ESTABILIDAD, FI | ES0125935009 | 325 | 77.981€ | -0,42% | -0,22% | -0,10% | 0,35% |
IBERCAJA CAPITAL GARANTIZADO 4, FI | ES0146743002 | 896 | 19.168€ | -0,50% | -0,22% | - | - |
BANKINTER BOLSA EUROPEA 2018 GARANTIZADO, FI | ES0113584009 | 1.053 | 36.732€ | -4,32% | -0,22% | - | - |
AVIVA RENTA FIJA, FI | ES0170138038 | 180 | 3.008€ | -1,44% | -0,23% | 1,10% | 3,16% |
CAIXABANK ITER, FI | ES0145458016 | 173 | 246.273€ | -1,32% | -0,23% | -0,30% | 2,07% |
CAIXABANK RENTA FIJA FLEXIBLE, FI | ES0138219037 | 6.003 | 329.521€ | 0,20% | -0,23% | 0,41% | 2,33% |
SANTANDER EUROCREDITO, FI | ES0176938001 | 457 | 38.965€ | -0,31% | -0,23% | 0,04% | - |
CAIXABANK RENTAS OCTUBRE 2018, FI | ES0137907012 | 5.956 | 64.877€ | -0,51% | -0,23% | - | - |
FON FINECO TOP RENTA FIJA, FI | ES0137639011 | 735 | 333.425€ | -0,42% | -0,24% | -0,06% | 0,41% |
BBVA RENDIMIENTO EUROPA IV, FI | ES0133770000 | 1.614 | 36.723€ | -2,23% | -0,24% | - | - |
BANKINTER BOLSA EUROPEA 2019 GARANTIZADO, FI | ES0130354006 | 1.058 | 41.587€ | -3,37% | -0,24% | - | - |
BBVA AHORRO EMPRESAS, FI | ES0114129036 | 810 | 417.164€ | -0,51% | -0,25% | -0,16% | 0,08% |
BBVA BONOS PLAZO V, FI | ES0113553004 | 398 | 5.495€ | -0,50% | -0,25% | - | - |
NUCLEFON, FI | ES0166486037 | 100 | 18.949€ | -1,93% | -0,26% | 0,37% | 0,69% |
SABADELL RENTA FIJA MIXTA ESPAÑA, FI | ES0111145050 | 0 | 0€ | -1,81% | -0,26% | - | - |
MEDIOLANUM RENTA, FI | ES0165126014 | 244 | 3.456€ | -1,51% | -0,26% | 0,17% | -0,30% |
FONDMAPFRE RENTA MEDIO, FI | ES0138903036 | 2.485 | 58.263€ | 0,46% | -0,26% | -0,33% | 1,66% |
AMUNDI CORTO PLAZO, FI | ES0126542036 | 288 | 37.981€ | -0,34% | -0,27% | 970,61% | 314,87% |
EUROVALOR RENTA FIJA CORTO, FI | ES0138986031 | 4.902 | 108.595€ | -0,74% | -0,27% | 0,22% | 1,07% |
EUROVALOR-PATRIMONIO, FI | ES0133617037 | 17.607 | 631.879€ | -1,09% | -0,27% | 0,20% | 1,05% |
BBVA BONOS PLAZO IV, FI | ES0114389036 | 1.292 | 30.056€ | -0,63% | -0,27% | - | - |
SANTANDER CUMBRE 2019 PLUS, FI | ES0176937011 | 541 | 39.931€ | -0,57% | -0,27% | - | - |
SANTANDER CUMBRE 2019 PLUS, FI | ES0176937037 | 88 | 7.258€ | -0,57% | -0,27% | - | - |
CAIXABANK RENTAS OCTUBRE 2018, FI | ES0137907046 | 185 | 10.333€ | -0,56% | -0,27% | - | - |
ABANTE TESORERIA, FI | ES0190051039 | 252 | 38.830€ | -0,42% | -0,28% | -0,15% | 0,03% |
BBVA BONOS 2021, FI | ES0159146002 | 1.069 | 25.035€ | -0,53% | -0,28% | 1,84% | 4,90% |
CAIXABANK FONDTESORO LARGO PLAZO, FI | ES0137979003 | 1.291 | 13.923€ | 0,24% | -0,28% | 1,37% | 3,14% |
CAIXABANK MONETARIO RENDIMIENTO, FI | ES0138045002 | 71.959 | 1.725.344€ | -0,49% | -0,28% | -0,17% | -0,07% |
CAIXABANK MONETARIO RENDIMIENTO, FI | ES0138045010 | 5.861 | 723.614€ | -0,49% | -0,28% | -0,17% | 0,03% |
CAIXABANK MONETARIO RENDIMIENTO, FI | ES0138045028 | 642 | 218.272€ | -0,50% | -0,28% | -0,17% | 0,12% |
CAIXABANK MONETARIO RENDIMIENTO, FI | ES0138045036 | 130 | 122.962€ | -0,50% | -0,28% | -0,16% | 0,21% |
RURAL RENDIMIENTO, FI | ES0174394033 | 953 | 23.776€ | -0,90% | -0,28% | -0,20% | 0,05% |
SABADELL INTERES EURO, FI | ES0174403008 | 15.172 | 620.300€ | -0,52% | -0,28% | - | - |
CAIXABANK AHORRO, FI | ES0105002002 | 15.915 | 336.725€ | -0,81% | -0,28% | 0,04% | 0,50% |
CAIXABANK AHORRO, FI | ES0105002010 | 2.997 | 240.700€ | -0,81% | -0,28% | 0,04% | 0,61% |
CAIXABANK AHORRO, FI | ES0105002036 | 248 | 87.471€ | -0,81% | -0,28% | 0,05% | 0,69% |
DWS FONDEPOSITO PLUS, FI | ES0136787001 | 3 | 3.450€ | -0,36% | -0,28% | -0,18% | 0,02% |
RURAL 2017 GARANTIA, FI | ES0174407033 | 1.449 | 30.133€ | -0,60% | -0,28% | - | - |
RURAL GARANTIZADO 9,70, FI | ES0174371031 | 1.751 | 42.635€ | -0,65% | -0,28% | - | - |
CAJA INGENIEROS PREMIER, FI | ES0115532030 | 2.547 | 80.843€ | -1,45% | -0,29% | 0,18% | 0,27% |
SABADELL INTERES EURO, FI | ES0174403016 | 62 | 38.918€ | -0,64% | -0,29% | - | - |
SABADELL INTERES EURO, FI | ES0174403024 | 1.107 | 219.551€ | -0,64% | -0,29% | - | - |
BBVA BONOS PATRIMONIO RENTAS I, FI | ES0118848003 | 324 | 16.821€ | -0,67% | -0,29% | - | - |
UNIFOND BOLSA GARANTIZADO 2019-V, FI | ES0181402001 | 754 | 16.838€ | -0,53% | -0,29% | - | - |
BBVA BONOS PLAZO II, FI | ES0113819009 | 1.077 | 23.013€ | -0,59% | -0,29% | - | - |
CAIXABANK HORIZONTE ENERO 2018, FI | ES0137791010 | 43 | 6.847€ | -0,47% | -0,29% | - | - |
SABADELL BONOS EURO, FI | ES0173828056 | 2 | 75€ | 0,73% | -0,30% | - | - |
MARCH RENTA FIJA CORTO PLAZO, FI | ES0160985034 | 5.332 | 88.732€ | -0,95% | -0,30% | -0,09% | 0,20% |
EUROVALOR CONSERVADOR DINAMICO, FI | ES0133614034 | 9.901 | 178.724€ | -1,56% | -0,30% | -0,31% | - |
FON FINECO DINERO, FI | ES0107499032 | 838 | 60.375€ | -0,38% | -0,30% | -0,21% | -0,03% |
CAJA LABORAL RENTA ASEGURADA IV, FI | ES0125112039 | 1.014 | 24.711€ | -0,64% | -0,30% | - | - |
ALCALA INSTITUCIONAL, FI | ES0174013005 | 154 | 25.891€ | -1,37% | -0,31% | 0,00% | 1,22% |
PBP RENTA FIJA FLEXIBLE, FI | ES0147140034 | 572 | 26.648€ | -2,02% | -0,31% | -0,22% | 1,25% |
BANKINTER RENTA FIJA ALAMO 2018, FI | ES0113936001 | 28 | 883€ | -0,63% | -0,31% | - | - |
SANTANDER RENTA FIJA, FI | ES0146133014 | 700 | 65.430€ | 0,01% | -0,32% | 1,42% | 2,96% |
FONDO LIQUIDEZ, FI | ES0137987006 | 75 | 1.776€ | -0,46% | -0,32% | -0,29% | 0,11% |
EUROVALOR AHORRO OBJETIVO 2018, FI | ES0133446015 | 240 | 2.718€ | -0,53% | -0,32% | - | - |
EUROVALOR GARANTIZADO ENERGIA, FI | ES0133516007 | 2.830 | 45.663€ | -0,81% | -0,32% | - | - |
FONDESPAÑA-DUERO GARANTIZADO RF VII/2017, FI | ES0138055035 | 1.365 | 28.421€ | -0,63% | -0,32% | - | - |
CAIXABANK DP JULIO 2018, FI | ES0137507010 | 11 | 2.453€ | -0,59% | -0,32% | - | - |
BANKIA GARANTIZADO RENTAS 12, FI | ES0113498002 | 4.155 | 80.310€ | -0,62% | -0,32% | - | - |
RURAL RENTAS GARANTIZADO, FI | ES0174339038 | 2.761 | 65.069€ | -0,68% | -0,32% | - | - |
MEDIOLANUM RENTA, FI | ES0165126022 | 129 | 3.529€ | -1,43% | -0,33% | 0,18% | -0,29% |
BBVA BONOS PATRIMONIO VI, FI | ES0110008002 | 228 | 14.158€ | -0,70% | -0,33% | - | - |
OPENBANK CORTO PLAZO, FI | ES0178172039 | 1.011 | 46.877€ | -0,78% | -0,34% | -0,15% | 0,30% |
PBP AHORRO CORTO PLAZO, FI | ES0147074035 | 566 | 34.825€ | -0,55% | -0,34% | -0,24% | 0,08% |
PBP ALPES, FI | ES0168703009 | 20 | 2.972€ | -1,18% | -0,34% | - | - |
DWS FONDEPOSITO PLUS, FI | ES0136787035 | 10.359 | 117.513€ | -0,42% | -0,34% | -0,24% | -0,09% |
SANTANDER CUMBRE 2019 PLUS 2, FI | ES0174928004 | 1.584 | 30.702€ | -0,52% | -0,34% | - | - |
SANTANDER RENTA FIJA PRIVADA, FI | ES0175164039 | 7.983 | 279.724€ | -0,45% | -0,35% | 0,82% | 1,90% |
CCM FONDEPOSITO, FI | ES0115942031 | 155 | 3.769€ | -0,45% | -0,35% | -0,20% | 0,42% |
FAV-ARQUITECTOS, FI | ES0136083039 | 388 | 9.640€ | -0,59% | -0,35% | -0,25% | -0,07% |
CAIXABANK RENTAS ENERO 2018, FI | ES0137906030 | 138 | 25.723€ | -0,53% | -0,35% | - | - |
SANTANDER FONDEPOSITOS, FI | ES0107762033 | 3.866 | 430.846€ | -0,45% | -0,36% | -0,26% | 0,73% |
SABADELL INTERES EURO, FI | ES0174403057 | 570 | 18.877€ | -0,69% | -0,36% | - | - |
LIBERBANK RENTAS, FI | ES0111049039 | 2.410 | 96.608€ | -0,63% | -0,36% | -0,04% | 0,50% |
BESTINVER RENTA, FI | ES0114675038 | 1.792 | 188.005€ | -0,44% | -0,36% | -0,26% | 0,42% |
EUROVALOR AHORRO GARANTIZADO 10, FI | ES0133422016 | 917 | 10.264€ | -0,65% | -0,36% | - | - |
KUTXABANK HORIZONTE 95/2018 PLUS, FI | ES0165902000 | 27 | 1.240€ | -0,61% | -0,36% | - | - |
CAIXABANK RENTAS 2018, FI | ES0138018017 | 24 | 3.721€ | -0,53% | -0,36% | - | - |
SABADELL SELECCIÓN ALTERNATIVA, FI | ES0182282048 | 2 | 2.523€ | 0,63% | -0,36% | - | - |
SANTANDER PB CARTERA FLEXIBLE 30, FI | ES0174978009 | 1.167 | 182.965€ | -1,73% | -0,37% | - | - |
BBVA RENTABILIDAD AHORRO CORTO PLAZO, FI | ES0110131036 | 21.248 | 582.746€ | -0,67% | -0,37% | -0,33% | -0,15% |
BBVA BONOS PATRIMONIO X, FI | ES0116861008 | 6.247 | 150.101€ | -0,61% | -0,37% | - | - |
SANTANDER CUMBRE 2018 PLUS 3, FI | ES0174927022 | 16 | 3.974€ | -0,74% | -0,37% | - | - |
SANTANDER CUMBRE 2018 PLUS 3, FI | ES0174927048 | 10 | 3.037€ | -0,74% | -0,37% | - | - |
CAIXABANK BOLSA ESPAÑA 2017, FI | ES0179393006 | 430 | 10.412€ | 1,72% | -0,37% | - | - |
CAIXABANK RENTAS OCTUBRE 2018, FI | ES0137907004 | 1.874 | 20.342€ | -0,65% | -0,37% | - | - |
BANKINTER ESPAÑA 2021, FI | ES0164529002 | 281 | 8.271€ | -3,97% | -0,37% | - | - |
EUROVALOR GARANTIZADO CESTA PLUS, FI | ES0133464018 | 2.620 | 41.326€ | -0,67% | -0,38% | - | - |
BMN GARANTIZADO SELECCION XI, FI | ES0138080033 | 642 | 15.192€ | 0,19% | -0,38% | - | - |
BMN HORIZONTE 2018, FI | ES0122077003 | 134 | 3.615€ | -0,96% | -0,38% | - | - |
RURAL RENTA FIJA 1, FI | ES0126535030 | 6.324 | 61.680€ | -1,01% | -0,39% | -0,49% | -0,03% |
DUX RENTINVER RENTA FIJA, FI | ES0127097030 | 206 | 14.570€ | -0,56% | -0,39% | 0,22% | 1,33% |
EVO FONDO INTELIGENTE, FI | ES0133565004 | 7.923 | 58.034€ | -1,03% | -0,39% | - | - |
FIMAP FI | ES0137603009 | 104 | 1.171€ | -0,11% | -0,39% | - | - |
FONBILBAO RENTA FIJA, FI | ES0138333036 | 328 | 22.413€ | -0,47% | -0,39% | 0,47% | 1,55% |
KUTXABANK RF ENERO 2018, FI | ES0156775001 | 1.650 | 40.782€ | -0,61% | -0,39% | - | - |
UNIFOND RENTA FIJA LARGO PLAZO, FI | ES0138656030 | 1.337 | 42.556€ | 0,15% | -0,40% | 0,21% | 1,12% |
MAPFRE FONDTESORO LARGO PLAZO, FI | ES0160634038 | 20.156 | 383.533€ | -0,53% | -0,40% | 0,11% | 0,80% |
KUTXABANK RENTA FIJA EMPRESAS, FI | ES0157354038 | 173 | 15.291€ | -0,49% | -0,40% | -0,25% | 0,14% |
FONDESPAÑA-DUERO HORIZONTE 2019, FI | ES0138539038 | 3.166 | 61.293€ | -0,76% | -0,40% | - | - |
KUTXABANK GARANTIZADO BOLSA EUROPA, FI | ES0156727036 | 138 | 1.566€ | -4,00% | -0,40% | - | - |
BMN INTERES GARANTIZADO 10, FI | ES0138082005 | 476 | 11.888€ | -0,68% | -0,40% | - | - |
RURAL RENTA FIJA 3, FI | ES0123971030 | 6.062 | 57.631€ | -1,21% | -0,41% | 0,33% | 1,59% |
KUTXABANK RF CARTERAS, FI | ES0125627002 | 59.470 | 1.741.345€ | -0,51% | -0,41% | -0,28% | 0,07% |
FONDITEL DINERO, FI | ES0138338035 | 136 | 5.494€ | -0,51% | -0,41% | -0,28% | -0,06% |
UNIFOND 2018-VI, FI | ES0181009038 | 647 | 12.606€ | -0,72% | -0,41% | - | - |
CAIXABANK GARANTIA ENERO 2018, FI | ES0138402039 | 480 | 4.666€ | -0,21% | -0,41% | - | - |
ALCALA UNO, FI | ES0107703037 | 104 | 2.275€ | -0,40% | -0,42% | -0,44% | 0,28% |
MUTUAFONDO CORTO PLAZO, FI | ES0165142003 | 105 | 5.294€ | -0,78% | -0,42% | -0,20% | 0,51% |
BANKINTER DINERO 3, FI | ES0115155030 | 1.299 | 206.176€ | -0,59% | -0,42% | -0,30% | 0,20% |
KUTXABANK RENTA FIJA CORTO, FI | ES0138591039 | 8.813 | 292.026€ | -0,53% | -0,42% | -0,30% | -0,03% |
FIDEFONDO, FI | ES0137631018 | 0 | 0€ | -0,56% | -0,42% | 0,02% | - |
UNIFOND BOLSA GARANTIZADO 2019-II, FI | ES0180909006 | 1.674 | 35.301€ | -1,87% | -0,42% | - | - |
SANTANDER CUMBRE 2019 PLUS, FI | ES0176937003 | 1.972 | 41.357€ | -0,72% | -0,42% | - | - |
BBVA DINERO CP, FI | ES0115209035 | 4.833 | 94.417€ | -0,55% | -0,43% | -0,34% | -0,27% |
CAIXABANK ITER, FI | ES0145458008 | 5.095 | 926.732€ | -1,52% | -0,43% | -0,50% | 1,87% |
SABADELL INTERES EURO, FI | ES0174403032 | 9.145 | 156.698€ | -0,74% | -0,43% | 0,08% | 0,97% |
DP FLEXIBLE GLOBAL FI | ES0158600033 | 157 | 19.230€ | -1,35% | -0,43% | -0,68% | 1,64% |
BMN INTERES GARANTIZADO 9, FI | ES0138148038 | 525 | 10.457€ | -0,76% | -0,43% | - | - |
WELZIA CORTO PLAZO,FI | ES0184683037 | 137 | 5.787€ | -0,17% | -0,44% | -0,37% | -0,04% |
UBS VALOR,FI | ES0180942031 | 352 | 78.802€ | -0,56% | -0,44% | -0,39% | -0,10% |
EDM RENTA, FI | ES0127795039 | 457 | 40.366€ | -0,51% | -0,44% | -0,35% | 0,09% |
EUROVALOR AHORRO EURO, FI | ES0133867004 | 420 | 26.623€ | -1,00% | -0,44% | -0,10% | 0,43% |
SANTANDER INVERSION CORTO PLAZO 11, FI | ES0113732004 | 8.202 | 281.944€ | -0,30% | -0,45% | -0,34% | - |
BBVA BONOS CASH, FI | ES0113276002 | 9.259 | 226.116€ | -0,65% | -0,45% | -0,40% | -0,30% |
BBVA BONOS CORTO PLAZO GOBIERNOS, FI | ES0113752002 | 490 | 26.137€ | -0,68% | -0,45% | -0,37% | -0,09% |
PBP MERCADOS GLOBALES, FI | ES0106097035 | 55 | 3.006€ | -1,57% | -0,45% | -1,31% | 0,21% |
DWS AHORRO, FI | ES0125783037 | 4.231 | 40.625€ | -0,57% | -0,45% | -0,32% | -0,16% |
CS DIRECTOR BOND FOCUS, FI | ES0165121031 | 227 | 8.062€ | -1,85% | -0,45% | -0,63% | 1,30% |
IBERCAJA PATRIMONIO DINAMICO, FI | ES0147038030 | 11.739 | 298.047€ | 0,36% | -0,45% | -0,20% | - |
INTERMONEY RENTA FIJA CORTO PLAZO, FI | ES0155171038 | 113 | 3.937€ | -0,53% | -0,45% | -0,34% | 0,15% |
BBVA BONOS RENTAS IV, FI | ES0138889037 | 1.420 | 30.327€ | -0,69% | -0,45% | - | - |
IBERCAJA GESTION EUROPA, FI | ES0146826005 | 196 | 3.767€ | -0,64% | -0,45% | - | - |
RURAL 2018 GARANTIA FI | ES0174185001 | 796 | 17.634€ | -0,69% | -0,45% | - | - |
RURAL INTERES GARANTIZADO 2017, FI | ES0174383036 | 1.772 | 35.168€ | -0,75% | -0,45% | - | - |
BANKINTER RENTA DINAMICA, FI | ES0114860036 | 5.620 | 14.986€ | -1,47% | -0,46% | -1,15% | 0,01% |
BBVA FUSION CORTO PLAZO III, FI | ES0159155003 | 5.880 | 120.522€ | -0,72% | -0,46% | -0,39% | - |
BBVA FUSION CORTO PLAZO V, FI | ES0159157009 | 5.883 | 131.754€ | -0,72% | -0,46% | - | - |
BBVA FUSION CORTO PLAZO, FI | ES0113467007 | 7.318 | 150.578€ | -0,73% | -0,46% | -0,37% | - |
FONDO 3 DEPOSITO, FI | ES0114996038 | 1.694 | 10.669€ | -0,61% | -0,46% | -0,22% | 0,42% |
GESIURIS EQUITY STRATEGIES, FI | ES0141987000 | 1.001 | 7.424€ | -4,50% | -0,46% | -3,84% | 1,20% |
CAIXABANK RENTAS ENERO 2018, FI | ES0137906055 | 453 | 28.320€ | -0,61% | -0,46% | - | - |
SANTANDER TESORERO, FI | ES0112744034 | 370 | 183.969€ | -0,62% | -0,47% | -0,30% | 0,18% |
CAIXABANK HORIZONTE ENERO 2018 II, FI | ES0115719017 | 11 | 2.616€ | -0,67% | -0,47% | -0,32% | - |
FONDO 3 RENTA FIJA, FI | ES0114844030 | 1.468 | 9.693€ | -0,77% | -0,47% | -1,27% | 2,46% |
FONDO DE PERMANENCIA, FI | ES0147609038 | 106 | 5.792€ | -0,58% | -0,47% | -0,50% | 0,94% |
ABANCA GESTION, FI | ES0133400012 | 10.915 | 257.321€ | -1,36% | -0,48% | -0,69% | - |
AVIVA CORTO PLAZO, FI | ES0170156030 | 308 | 4.039€ | -0,75% | -0,48% | -0,34% | 0,20% |
BANKIA BONOS CORTO PLAZO (II), FI | ES0116974033 | 2.125 | 47.908€ | -0,51% | -0,48% | -0,36% | 0,19% |
BANKINTER AHORRO ACTIVOS EURO, FI | ES0114821038 | 14.016 | 260.967€ | -0,55% | -0,48% | -0,37% | 0,15% |
IBERCAJA PLUS, FI | ES0147102000 | 335 | 67.976€ | -1,20% | -0,48% | -0,11% | 0,44% |
NB RENDIMIENTO 2018, FI | ES0168669036 | 202 | 2.475€ | -1,43% | -0,48% | - | - |
SANTANDER CUMBRE 2018 PLUS, FI | ES0176936013 | 49 | 17.363€ | -0,77% | -0,48% | - | - |
CAIXABANK ESPAÑA RENTA FIJA 2019, FI | ES0184928036 | 2.067 | 51.695€ | -0,72% | -0,49% | 0,81% | 2,59% |
PBP BONOS FLOTANTES, FI | ES0168844035 | 119 | 1.313€ | -1,17% | -0,49% | -2,34% | 6,23% |
SANTANDER CUMBRE 2018 PLUS 2, FI | ES0174926024 | 34 | 11.688€ | -0,72% | -0,49% | - | - |
BBVA BONOS CORPORATIVOS LARGO PLAZO, FI | ES0114205034 | 2.192 | 64.810€ | -1,22% | -0,50% | 0,28% | 1,26% |
BBVA OPORTUNIDAD ACCIONES III, FI | ES0113827002 | 855 | 21.054€ | -0,82% | -0,50% | - | - |
LABORAL KUTXA DINERO, FI | ES0115489033 | 1.387 | 21.618€ | -0,54% | -0,51% | -0,33% | -0,15% |
IMANTIA FONDEPOSITO, FI | ES0106933031 | 4.815 | 62.908€ | -0,67% | -0,51% | -0,33% | 0,28% |
MAPFRE PUENTE GARANTIA 12, FI | ES0138708039 | 790 | 12.949€ | -3,71% | -0,51% | - | - |
BBVA RENDIMIENTO EUROPA V, FI | ES0133771008 | 2.699 | 62.920€ | -2,02% | -0,51% | - | - |
CAIXABANK HORIZONTE ENERO 2018, FI | ES0137791002 | 2.638 | 31.112€ | -0,66% | -0,51% | - | - |
SANTANDER RENTA FIJA, FI | ES0146133030 | 4.907 | 292.091€ | -0,19% | -0,52% | 1,22% | 2,75% |
CX EVOLUCIO FEBRER 2017, FI | ES0160105005 | 237 | 8.365€ | -0,38% | -0,52% | - | - |
KUTXABANK MONETARIO, FI | ES0114262035 | 2.475 | 56.803€ | -0,60% | -0,52% | -0,42% | -0,13% |
FON FINECO RENTA FIJA INTERNACIONAL, FI | ES0114592035 | 920 | 443.359€ | -0,69% | -0,52% | 0,10% | 1,34% |
FONDIBAS MIXTO, FI | ES0170270039 | 106 | 14.788€ | -3,45% | -0,52% | -0,29% | 2,10% |
FONDMAPFRE RENDIMIENTO I, FI | ES0138352036 | 514 | 5.894€ | -0,75% | -0,52% | - | - |
SANTANDER CUMBRE 2018 PLUS 3, FI | ES0174927014 | 258 | 20.932€ | -0,89% | -0,52% | - | - |
SANTANDER CUMBRE 2018 PLUS 3, FI | ES0174927030 | 63 | 4.215€ | -0,89% | -0,52% | - | - |
ATTITUDE OPPORTUNITIES FI | ES0111192003 | 132 | 68.336€ | -0,48% | -0,53% | 0,05% | 2,09% |
BBVA DINERO FONDTESORO CORTO PLAZO, FI | ES0113200036 | 2.516 | 61.669€ | -0,67% | -0,53% | -0,41% | -0,24% |
CAIXABANK ESTRATEGIA FLEXIBLE, FI | ES0137656007 | 38 | 8.330€ | -1,49% | -0,53% | -0,24% | - |
SABADELL RENTA FIJA MIXTA ESPAÑA, FI | ES0111145035 | 885 | 12.045€ | -2,08% | -0,53% | -1,38% | 0,48% |
FONDITEL SMART BETA, FI | ES0164466015 | 35 | 7.455€ | 0,16% | -0,53% | -1,24% | - |
CAIXABANK VALOR BOLSA EURO, FI | ES0138020005 | 500 | 10.837€ | -3,64% | -0,53% | - | - |
SANTANDER RENTA FIJA ACUMULACION 2018, FI | ES0107941009 | 21 | 1.786€ | -0,63% | -0,53% | - | - |
BANKINTER RENTA FIJA ATLAS 2018 GARANTIZADO, FI | ES0113063004 | 769 | 28.307€ | -0,85% | -0,53% | - | - |
SABADELL GARANTIA FIJA 11, FI | ES0111094001 | 9.121 | 302.291€ | -0,78% | -0,53% | - | - |
SABADELL BONOS EURO, FI | ES0173828031 | 1.471 | 25.083€ | 0,48% | -0,54% | 1,20% | 2,70% |
FON FINECO TOP RENTA FIJA, FI | ES0137639003 | 499 | 30.469€ | -0,72% | -0,54% | -0,36% | 0,11% |
BBVA BONOS PATRIMONIO VII, FI | ES0159148008 | 112 | 5.557€ | -0,80% | -0,54% | - | - |
SANTANDER 100 POR 100 14, FI | ES0174866014 | 228 | 28.772€ | -0,73% | -0,54% | - | - |
CAIXABANK RENTAS ENERO 2018, FI | ES0137906014 | 2.045 | 32.235€ | -0,68% | -0,54% | - | - |
CAIXABANK RENTAS ENERO 2018, FI | ES0137906022 | 43 | 7.808€ | -0,67% | -0,54% | - | - |
SANTANDER FONDEPOSITOS, FI | ES0107762017 | 954 | 53.166€ | -0,65% | -0,55% | -0,46% | 0,27% |
RENTA 4 MULTIGESTION, FI | ES0173311095 | 55 | 4.853€ | -2,57% | -0,55% | -0,97% | - |
UNIFOND FONDTESORO LARGO PLAZO, FI | ES0138588035 | 1.934 | 49.751€ | -0,32% | -0,55% | 0,42% | 1,87% |
CAIXABANK RENTA FIJA SELECCION GLOBAL, FI | ES0113802039 | 1.110 | 40.330€ | -3,22% | -0,55% | - | - |
SABADELL FONDTESORO LARGO PLAZO, FI | ES0173830037 | 4.776 | 50.272€ | -0,74% | -0,55% | -0,07% | 0,65% |
MUTUAFONDO DINERO, FI | ES0165143019 | 16 | 185€ | -0,62% | -0,55% | -0,52% | -0,31% |
FONDINAMICO, FI | ES0164526008 | 596 | 15.351€ | -2,43% | -0,55% | -0,67% | 3,08% |
FONDMAPFRE RENDIMIENTO II, FI | ES0115721005 | 1.891 | 29.507€ | -0,92% | -0,55% | - | - |
UNIFOND CARTERA DEFENSIVA, FI | ES0180864003 | 7.002 | 224.815€ | -1,51% | -0,56% | - | - |
BANKIA GARANTIZADO RENTAS 6, FI | ES0159128034 | 2.375 | 33.341€ | -0,88% | -0,56% | - | - |
CAIXABANK RENTAS 2018, FI | ES0138018009 | 1.566 | 21.971€ | -0,68% | -0,56% | - | - |
SABADELL SELECCIÓN ALTERNATIVA, FI | ES0182282022 | 2 | 1.018€ | 0,43% | -0,56% | - | - |
SABADELL SELECCIÓN ALTERNATIVA, FI | ES0182282030 | 69 | 11.415€ | 0,43% | -0,56% | - | - |
BANKINTER DINERO 2, FI | ES0114801030 | 3.057 | 108.845€ | -0,74% | -0,57% | -0,45% | 0,05% |
EUROVALOR PARTICULARES VOLUMEN, FI | ES0133877037 | 3.792 | 272.293€ | -0,83% | -0,57% | -0,41% | 0,14% |
INTERMONEY ATTITUDE, FI | ES0154765004 | 130 | 8.838€ | -0,33% | -0,57% | -0,26% | - |
SABADELL INTERES GARANTIZADO 1, FI | ES0117015034 | 197 | 6.953€ | -0,91% | -0,57% | - | - |
SANTANDER RENDIMIENTO, FI | ES0138534039 | 3.602 | 324.667€ | -1,02% | -0,58% | -0,32% | 0,17% |
CAIXABANK RENTA FIJA FLEXIBLE, FI | ES0138219003 | 10.486 | 168.120€ | -0,15% | -0,58% | 0,06% | 1,98% |
MERCHBANC FONDTESORO CORTO PLAZO, FI | ES0162331039 | 184 | 5.911€ | -0,64% | -0,58% | -0,46% | -0,26% |
MUTUAFONDO INVERSION & COOPERACION, FI | ES0165269004 | 73 | 3.280€ | -0,96% | -0,58% | -0,43% | 1,07% |
LIBERBANK INVERSION MUNDIAL GARANTIZADO, FI | ES0119734004 | 587 | 10.936€ | -0,43% | -0,58% | - | - |
SANTANDER GRANDES COMPAÑIAS 2018, FI | ES0176939009 | 1.467 | 64.283€ | -3,09% | -0,58% | - | - |
UNIFOND RENTA FIJA EURO, FI | ES0181074032 | 3.826 | 94.283€ | -0,73% | -0,59% | -0,36% | 0,02% |
UNIFOND TESORERIA, FI | ES0181036031 | 6.345 | 161.179€ | -0,75% | -0,59% | -0,42% | 0,12% |
DUX MULTIGESTIÓN MODERADO, FI | ES0127094003 | 143 | 6.239€ | -5,25% | -0,59% | - | - |
LIBERBANK DINERO, FI | ES0111046035 | 3.292 | 45.681€ | -0,75% | -0,59% | -0,44% | 0,15% |
KUTXABANK TRANSITO, FI | ES0114235031 | 2.099 | 45.338€ | -0,67% | -0,60% | -0,49% | -0,33% |
PBP ESTRATEGIAS, FI | ES0147033031 | 99 | 1.358€ | -2,25% | -0,61% | -1,32% | -0,60% |
IBERCAJA SANIDAD, FI | ES0147195004 | 23.949 | 153.069€ | -3,22% | -0,61% | -1,87% | 8,20% |
UNIFOND 2017-XI, FI | ES0178235000 | 393 | 6.242€ | -0,89% | -0,61% | - | - |
SABADELL SELECCIÓN ALTERNATIVA, FI | ES0182282014 | 15.177 | 96.726€ | 0,45% | -0,61% | - | - |
BBVA FON-PLAZO 2017, FI | ES0114589007 | 1.685 | 77.404€ | -1,12% | -0,62% | - | - |
SANTANDER CUMBRE 2018 PLUS, FI | ES0176936005 | 880 | 68.587€ | -0,91% | -0,62% | - | - |
SABADELL GARANTÍA EXTRA 15, FI | ES0175091000 | 6.082 | 160.786€ | -3,88% | -0,62% | - | - |
BANKINTER INDICE ESPAÑOL 2019 GARANTIZADO, FI | ES0113983003 | 1.193 | 46.607€ | -1,06% | -0,62% | - | - |
AMUNDI ESTRATEGIA BONOS, FI | ES0164371033 | 378 | 35.215€ | -1,05% | -0,63% | 0,18% | 0,63% |
BANKINTER FONDO MONETARIO, FI | ES0114868039 | 888 | 27.039€ | -0,76% | -0,63% | -0,55% | -0,43% |
BANKIA BONOS INTERNACIONAL, FI | ES0159178005 | 59.100 | 401.106€ | -2,35% | -0,63% | -0,28% | 1,55% |
BBVA BONOS PLAZO I, FI | ES0114027008 | 238 | 5.159€ | -0,88% | -0,63% | - | - |
FONDESPAÑA-DUERO HORIZONTE 2018, FI | ES0138562030 | 712 | 12.771€ | -0,90% | -0,63% | - | - |
SANTANDER CUMBRE 2018 PLUS 2, FI | ES0174926016 | 602 | 46.853€ | -0,85% | -0,63% | - | - |
SANTANDER RENTA FIJA FLEXIBLE, FI | ES0107942007 | 738 | 52.583€ | -1,03% | -0,64% | - | - |
BBVA FUSION CORTO PLAZO VI, FI | ES0169992007 | 5.138 | 97.208€ | -0,66% | -0,64% | -0,76% | 0,93% |
EUROVALOR EMPRESAS VOLUMEN, FI | ES0169533033 | 656 | 110.460€ | -0,92% | -0,64% | -0,45% | 0,11% |
LABORAL KUTXA AHORRO,FI | ES0115466031 | 1.976 | 28.781€ | -0,60% | -0,64% | -0,65% | -0,45% |
BANKIA BANCA PRIVADA FINANCIERO 2018, FI | ES0113227005 | 10 | 600€ | -0,74% | -0,64% | - | - |
BBVA OPORTUNIDAD ACCIONES II, FI | ES0113826004 | 864 | 18.466€ | -1,05% | -0,64% | - | - |
MEDIOLANUM ACTIVO, FI | ES0165127053 | 50 | 1.221€ | -1,34% | -0,65% | - | - |
FON FINECO RENTA FIJA INTERNACIONAL, FI | ES0114592001 | 617 | 43.807€ | -0,81% | -0,65% | -0,04% | 1,19% |
ING DIRECT FONDO NARANJA CONSERVADOR, FI | ES0152747004 | 11.560 | 169.855€ | -1,46% | -0,65% | -0,30% | 0,43% |
UNIFOND 2018-X, FI | ES0178233039 | 1.904 | 36.378€ | -0,99% | -0,65% | - | - |
CX EVOLUCIÓ ÍNDEX BORSA, FI | ES0117064008 | 64 | 1.865€ | -0,50% | -0,65% | - | - |
BANKINTER RENTA FIJA ONIX 2018 GARANTIZADO, FI | ES0179392008 | 866 | 33.708€ | -0,99% | -0,65% | - | - |
CAJA INGENIEROS FONDTESORO CORTO PLAZO, FI | ES0114887039 | 475 | 10.084€ | -0,85% | -0,66% | -0,52% | -0,03% |
MEDIOLANUM FONDCUENTA, FI | ES0138816030 | 4.814 | 49.835€ | -0,96% | -0,66% | - | - |
CAIXABANK DP JULIO 2018, FI | ES0137507002 | 637 | 9.319€ | -0,95% | -0,66% | - | - |
CAIXABANK RENTA FIJA 2018, FI | ES0118845009 | 506 | 15.494€ | -0,90% | -0,66% | - | - |
SABADELL SELECCIÓN ALTERNATIVA, FI | ES0182282055 | 9 | 401€ | 0,33% | -0,66% | - | - |
BBVA BONOS PATRIMONIO VIII, FI | ES0145927036 | 2.776 | 77.212€ | -0,99% | -0,67% | - | - |
SANTANDER CUMBRE 2018 PLUS 3, FI | ES0174927006 | 1.134 | 22.968€ | -1,03% | -0,67% | - | - |
CAIXABANK RENTAS ENERO 2018, FI | ES0137906048 | 207 | 11.366€ | -0,77% | -0,67% | - | - |
MEDIOLANUM RENTA, FI | ES0165126055 | 226 | 5.099€ | -1,36% | -0,68% | - | - |
IBERCAJA FONDTESORO CORTO PLAZO, FI | ES0147177036 | 3.396 | 60.029€ | -0,98% | -0,68% | -0,69% | -0,26% |
EUROVALOR GARANTIZADO TELECOMUNICACIONES, FI | ES0170262002 | 457 | 10.601€ | -0,70% | -0,68% | - | - |
BBVA AHORRO GARANTIA, FI | ES0159145004 | 723 | 25.438€ | -0,95% | -0,68% | - | - |
BBVA BONOS DURACION FLEXIBLE, FI | ES0113203030 | 1.370 | 30.758€ | -1,96% | -0,69% | -0,93% | -0,81% |
CAIXABANK HORIZONTE ENERO 2018 II, FI | ES0115719009 | 2.306 | 31.849€ | -0,86% | -0,69% | -0,55% | 2,01% |
BANKIA MONETARIO EURO DEUDA (I), FI | ES0130353032 | 4.749 | 67.353€ | -0,74% | -0,69% | -0,57% | -0,07% |
CX EVOLUCIO MARÇ 2017, FI | ES0159506007 | 356 | 9.678€ | -0,66% | -0,69% | - | - |
MEDIOLANUM ACTIVO, FI | ES0165127020 | 88 | 4.588€ | -1,39% | -0,70% | -0,36% | -0,28% |
GESCOOPERATIVO DEUDA SOBERANA EURO, FI | ES0174344038 | 7.943 | 47.545€ | -0,82% | -0,70% | -0,66% | -0,28% |
UNIFOND BOLSA GARANTIZADO 2018-IV, FI | ES0181401003 | 986 | 16.824€ | -1,40% | -0,70% | - | - |
SANTANDER TESORERO, FI | ES0112744026 | 127 | 19.236€ | -0,87% | -0,71% | -0,55% | -0,07% |
BNP PARIBAS RENTA FIJA, FI | ES0150037036 | 353 | 14.357€ | -1,31% | -0,71% | -0,33% | -0,13% |
SANTANDER INVERSION CORTO PLAZO, FI | ES0145822005 | 57.836 | 1.869.325€ | -0,94% | -0,72% | -0,51% | -0,11% |
BANKIA BONOS CORTO PLAZO (I), FI | ES0116973035 | 14.028 | 110.477€ | -0,75% | -0,72% | -0,63% | -0,04% |
BANKINTER DINERO 1, FI | ES0113921037 | 3.421 | 82.502€ | -0,89% | -0,72% | -0,61% | -0,12% |
IBERCAJA PLUS, FI | ES0147102018 | 720 | 52.873€ | -1,44% | -0,72% | -0,36% | 0,19% |
LIBERBANK AHORRO, FI | ES0111037034 | 3.696 | 92.437€ | -1,04% | -0,72% | -0,05% | 1,12% |
FIDEFONDO, FI | ES0137631000 | 4 | 886€ | -0,86% | -0,72% | -0,28% | - |
SANTANDER 100 POR 100 14, FI | ES0174866006 | 240 | 13.797€ | -0,90% | -0,72% | - | - |
EUROVALOR GARANTIZADO REVALORIZACION MAXIMA, FI | ES0133742033 | 3.093 | 54.294€ | 0,05% | -0,72% | - | - |
LIBERBANK CARTERA CONSERVADORA, FI | ES0113701033 | 13.833 | 358.282€ | -1,80% | -0,72% | - | - |
CAIXABANK ESTRATEGIA FLEXIBLE, FI | ES0137656023 | 185 | 9.803€ | -1,68% | -0,73% | -0,44% | - |
MEDIOLANUM ACTIVO, FI | ES0165127012 | 357 | 7.522€ | -1,46% | -0,73% | -0,37% | -0,29% |
EUROVALOR FONDEPOSITO PLUS, FI | ES0127026005 | 3.084 | 91.345€ | -0,94% | -0,73% | -0,59% | -0,04% |
UNIFOND 2018-V, FI | ES0181067036 | 1.437 | 37.105€ | -0,99% | -0,73% | - | - |
RURAL BOLSA ESPAÑOLA GARANTIZADO, FI | ES0174433039 | 1.147 | 23.654€ | -0,86% | -0,73% | - | - |
MILLENIUM FUND II, FI | ES0162916037 | 1.442 | 282.479€ | -0,26% | -0,75% | 0,04% | 0,22% |
INTERVALOR RENTA MIXTO, FI | ES0155852033 | 115 | 3.724€ | -1,02% | -0,75% | -0,65% | 1,71% |
CAIXABANK RENTAS ENERO 2018, FI | ES0137906006 | 2.249 | 23.728€ | -0,83% | -0,75% | - | - |
BANKINTER RENTA FIJA NAOS 2018 GARANTIZADO, FI | ES0164541007 | 371 | 13.664€ | -0,97% | -0,75% | - | - |
RENTA 4 FONDTESORO CORTO PLAZO, FI | ES0173372030 | 252 | 4.358€ | -0,78% | -0,76% | -0,23% | 0,31% |
NB FONDTESORO LARGO PLAZO, FI | ES0114911037 | 873 | 2.928€ | -0,48% | -0,76% | 0,49% | 0,82% |
SANTANDER CUMBRE 2018 PLUS 2, FI | ES0174926008 | 2.235 | 45.300€ | -0,98% | -0,76% | - | - |
SABADELL SELECCIÓN ALTERNATIVA, FI | ES0182282006 | 279 | 3.730€ | 0,24% | -0,76% | - | - |
IBERCAJA RENTA FIJA 2021, FI | ES0147045001 | 886 | 25.952€ | -1,00% | -0,77% | 1,49% | 1,95% |
BANKINTER RENTA FIJA CORTO PLAZO, FI | ES0110053032 | 13.419 | 301.617€ | -1,07% | -0,78% | -0,27% | 1,13% |
SANTANDER RENDIMIENTO, FI | ES0138534021 | 1.857 | 95.479€ | -1,21% | -0,78% | -0,51% | -0,03% |
UNIFOND 2018-IX, FI | ES0178237006 | 455 | 9.753€ | -1,13% | -0,78% | - | - |
BBVA BONOS CORE BP, FI | ES0114239033 | 216 | 13.999€ | -0,93% | -0,79% | -0,57% | -0,28% |
CAJA LABORAL RENTA FIJA GARANTIZADO X, FI | ES0164732036 | 1.519 | 39.511€ | -0,99% | -0,79% | 0,36% | 1,69% |
MARAL MACRO, FI | ES0160741007 | 252 | 11.819€ | -0,13% | -0,79% | 0,02% | -0,24% |
BBVA OPORTUNIDAD ACCIONES, FI | ES0142447004 | 433 | 7.427€ | -1,07% | -0,79% | - | - |
SABADELL GARANTÍA EXTRA 16, FI | ES0175092008 | 6.968 | 166.847€ | -2,08% | -0,79% | - | - |
SANTANDER FONDEPOSITOS, FI | ES0107762009 | 3.242 | 46.835€ | -0,90% | -0,80% | -0,70% | -0,23% |
BBVA BONOS DURACION, FI | ES0114487038 | 3.014 | 113.718€ | -1,41% | -0,80% | 0,19% | 1,16% |
BANKIA 2018 EUROSTOXX, FI | ES0158964033 | 2.144 | 41.120€ | -0,40% | -0,80% | - | - |
CATALANA OCCIDENTE RENTA FIJA CP, FI | ES0116889033 | 1.465 | 9.962€ | -1,11% | -0,81% | -0,55% | -0,04% |
BBVA FON-PLAZO 2017 B, FI | ES0180662001 | 1.847 | 75.641€ | -1,15% | -0,81% | - | - |
SANTANDER RENTA FIJA, FI | ES0146133006 | 13.987 | 351.732€ | -0,49% | -0,82% | 0,91% | 2,45% |
PBP DINERO FONDTESORO, CORTO PLAZO, FI | ES0147167037 | 343 | 4.240€ | -0,92% | -0,83% | -0,70% | -0,52% |
UNNIM GARANTIT 13, FI | ES0182138000 | 384 | 6.533€ | -1,37% | -0,83% | - | - |
SANTANDER OBJETIVO RENDIMIENTO EUROPA III, FI | ES0176103002 | 293 | 21.333€ | -4,88% | -0,84% | - | - |
BBVA BONOS CORPORATIVOS DURACION CUBIERTA, FI | ES0113278008 | 6.696 | 243.797€ | -1,66% | -0,85% | -0,82% | -0,08% |
IBERCAJA SANIDAD, FI | ES0147195038 | 3.831 | 139.334€ | -3,69% | -0,85% | -2,03% | 7,33% |
SANTANDER CUMBRE 2018, FI | ES0175005000 | 3.077 | 102.482€ | -1,11% | -0,85% | - | - |
BANKINTER MERCADO ESPAÑOL, FI | ES0164951008 | 157 | 3.270€ | -8,09% | -0,86% | - | - |
KUTXABANK BONO, FI | ES0114276035 | 59.525 | 1.075.473€ | -1,06% | -0,87% | -0,62% | 1,01% |
EUROVALOR AHORRO EURO, FI | ES0133867038 | 31.801 | 252.303€ | -1,45% | -0,89% | -0,56% | - |
BBVA PLAN RENTAS 2017 B, FI | ES0125465031 | 2.114 | 50.388€ | -1,28% | -0,89% | - | - |
BANKINTER RENTA FIJA LARGO PLAZO, FI | ES0114837034 | 1.234 | 51.332€ | -1,58% | -0,90% | 0,09% | 2,66% |
CAIXABANK CARTERA RENTA ACTIVA, FI | ES0137607000 | 90.250 | 625.575€ | 2,83% | -0,91% | 1,08% | - |
EUROVALOR RENTA FIJA, FI | ES0133864035 | 4.021 | 48.815€ | -1,54% | -0,92% | 0,12% | 1,22% |
BANKIA GARANTIZADO BOLSA 4, FI | ES0113567004 | 2.922 | 48.449€ | -1,31% | -0,92% | - | - |
BMN CARTERA FLEXIBLE 30 RENTAS, FI | ES0114768007 | 8.161 | 313.767€ | -4,21% | -0,93% | -2,15% | - |
BBVA PLAN RENTAS 2017, FI | ES0133768004 | 225 | 10.544€ | -1,17% | -0,93% | - | - |
SABADELL GARANTIA EXTRA 18, FI | ES0115231039 | 16.202 | 369.862€ | -1,20% | -0,93% | - | - |
LIBERBANK RENTA FIJA FLEXIBLE, FI | ES0111013035 | 1.778 | 34.853€ | -0,88% | -0,94% | -0,46% | -0,31% |
CAIXABANK VALOR BOLSA ESPAÑA 2, FI | ES0164465009 | 241 | 3.818€ | -5,73% | -0,95% | - | - |
SANTANDER TESORERO, FI | ES0112744018 | 1.562 | 26.323€ | -1,12% | -0,96% | -0,80% | -0,32% |
SANTANDER DUO EUROPA 2019, FI | ES0175007006 | 210 | 10.900€ | -1,82% | -0,97% | - | - |
CAJA LABORAL RENTA FIJA A LARGO, FI | ES0115312037 | 230 | 4.327€ | -1,73% | -0,98% | 0,92% | 2,52% |
BBVA BONOS 2018, FI | ES0110001031 | 1.397 | 28.473€ | -1,21% | -1,00% | -0,23% | 2,33% |
BBVA BONOS VALOR RELATIVO, FI | ES0113857033 | 1.742 | 74.031€ | -1,70% | -1,01% | -0,59% | -0,26% |
BBVA BONOS RENTAS II, FI | ES0109998031 | 1.431 | 40.607€ | -1,35% | -1,01% | - | - |
CAIXABANK RENTA FIJA SELECCION GLOBAL, FI | ES0113802005 | 476 | 6.450€ | -3,67% | -1,02% | -3,99% | -2,02% |
FIDEFONDO, FI | ES0137631034 | 2.783 | 9.767€ | -1,16% | -1,02% | -0,58% | 0,16% |
BBVA BONOS RENTAS I, FI | ES0114028006 | 185 | 5.014€ | -1,25% | -1,02% | - | - |
SANTANDER RENDIMIENTO, FI | ES0138534005 | 21.289 | 366.700€ | -1,46% | -1,03% | -0,76% | -0,28% |
BANKIA GARANTIZADO RENTAS 5, FI | ES0112897030 | 3.504 | 53.151€ | -1,23% | -1,04% | - | - |
KUTXABANK HORIZONTE 2017 II, FI | ES0156773006 | 189 | 6.241€ | -1,32% | -1,06% | - | - |
PRIVARY F2 DISCRECIONAL, FI | ES0170862033 | 103 | 16.875€ | -2,89% | -1,07% | -0,85% | -0,03% |
BBVA FON-PLAZO 2018, FI | ES0115161004 | 1.358 | 37.724€ | -1,34% | -1,07% | - | - |
KUTXABANK HORIZONTE 2017 III, FI | ES0164224000 | 17 | 1.235€ | -1,33% | -1,08% | - | - |
BANKINTER INDICE BOLSA ESPAÑOLA GARANTIZADO II, FI | ES0164950000 | 547 | 20.520€ | -4,70% | -1,08% | - | - |
SANTANDER DUO EUROPA 2018, FI | ES0175006008 | 160 | 6.591€ | -1,79% | -1,09% | - | - |
BMN CARTERA FLEXIBLE 30 RENTAS, FI | ES0114768015 | 1.586 | 31.864€ | -4,41% | -1,13% | - | - |
IBERCAJA INTERNACIONAL, FI | ES0147184032 | 408 | 6.147€ | -1,73% | -1,13% | 1,56% | 0,78% |
KUTXABANK HORIZONTE 2017 I, FI | ES0113404000 | 304 | 6.858€ | -1,35% | -1,13% | - | - |
IM 93 RENTA, FI | ES0130588033 | 97 | 3.547€ | -1,73% | -1,14% | -0,77% | 0,76% |
BBVA PLAN RENTAS 2018, FI | ES0114146030 | 2.711 | 50.771€ | -1,41% | -1,14% | - | - |
SANTANDER INVERSION FLEXIBLE, FI | ES0175078007 | 145 | 27.666€ | -2,92% | -1,16% | -1,48% | - |
SABADELL AMERICA LATINA BOLSA, FI | ES0173827017 | 1 | 61€ | -9,73% | -1,16% | -5,09% | - |
BBVA BONOS INTERNACIONAL FLEXIBLE 0-3, FI | ES0179396009 | 16.954 | 507.760€ | -1,62% | -1,18% | -0,62% | - |
FONDITEL SMART BETA, FI | ES0164466023 | 23 | 29.363€ | -0,51% | -1,20% | -1,90% | - |
GESTION BOUTIQUE, FI | ES0116831050 | 24 | 1.478€ | -1,58% | -1,23% | -5,19% | - |
BBVA BONOS CORTO PLAZO PLUS, FI | ES0176232033 | 717 | 17.921€ | -2,36% | -1,24% | -0,60% | -0,31% |
MERCHRENTA, FI | ES0162333035 | 242 | 9.908€ | -1,65% | -1,24% | -0,67% | -0,52% |
KUTXABANK MULTIESTRATEGIA, FI | ES0114202031 | 59.467 | 119.937€ | -1,58% | -1,24% | -1,10% | -0,51% |
FON FINECO RENTA FIJA CORTO PLAZO, FI | ES0137604007 | 2 | 783€ | -0,81% | -1,24% | - | - |
SANTANDER TESORERO, FI | ES0112744000 | 12.874 | 118.145€ | -1,41% | -1,26% | -1,09% | -0,62% |
AMISTRA PATRIMONIAL, FI | ES0109214009 | 125 | 10.728€ | -6,98% | -1,27% | -3,49% | 0,60% |
SANTANDER 95 VALOR CRECIENTE PLUS 2, FI | ES0174775009 | 916 | 36.842€ | -2,17% | -1,31% | - | - |
SABADELL BONOS INTERNACIONAL, FI | ES0144212018 | 0 | 0€ | -1,11% | -1,32% | 0,61% | - |
BBVA BONOS INTERNACIONAL FLEXIBLE, FI | ES0110174036 | 11.898 | 349.407€ | -1,65% | -1,33% | -0,55% | 0,81% |
CAIXABANK VALOR BOLSA ESPAÑA 3, FI | ES0138019007 | 251 | 4.950€ | -4,81% | -1,39% | - | - |
NB PHARMAFUND, FI | ES0169778034 | 123 | 3.700€ | -1,07% | -1,40% | -2,74% | 7,02% |
SANTANDER PB INVERSION GLOBAL, FI | ES0114033006 | 4.895 | 89.661€ | -8,80% | -1,42% | -5,12% | -0,81% |
CAIXABANK RENTA FIJA SELECCION EMERGENTES, FI | ES0137916013 | 3 | 751€ | -7,40% | -1,43% | -0,34% | -0,85% |
CAIXABANK CARTERA BOLSA, FI | ES0137696003 | 90.389 | 842.000€ | 14,42% | -1,44% | 7,22% | 10,19% |
LIBERTY EURO RENTA, FI | ES0179171030 | 100 | 13.608€ | -1,46% | -1,44% | -0,76% | -0,01% |
LIBERBANK ESPAÑA 4 GARANTIZADO, FI | ES0158342008 | 407 | 7.492€ | -3,90% | -1,49% | - | - |
BBVA BONOS INTERNACIONAL FLEXIBLE EURO, FI | ES0108926033 | 2.954 | 65.653€ | -2,37% | -1,50% | -0,69% | -0,29% |
BMN GARANTIZADO SELECCION IX, FI | ES0138358033 | 133 | 2.270€ | 3,61% | -1,50% | - | - |
CAJA INGENIEROS GESTION DINAMICA, FI | ES0119488007 | 2.177 | 22.489€ | -2,98% | -1,54% | -0,56% | 0,42% |
FONDITEL SMART BETA, FI | ES0164466007 | 191 | 2.147€ | -0,86% | -1,55% | -2,25% | - |
BANKIA GARANTIZADO BOLSA 3, FI | ES0159078031 | 3.329 | 57.738€ | -1,89% | -1,59% | - | - |
SABADELL BONOS INTERNACIONAL, FI | ES0144212000 | 15 | 2.777€ | -1,41% | -1,61% | 0,31% | - |
SABADELL BONOS INTERNACIONAL, FI | ES0144212042 | 0 | 0€ | -1,41% | -1,61% | - | - |
SABADELL AMERICA LATINA BOLSA, FI | ES0173827009 | 11.013 | 15.589€ | -9,91% | -1,64% | -5,64% | - |
SANTANDER INVERSION FLEXIBLE, FI | ES0175078031 | 5.224 | 90.079€ | -3,41% | -1,65% | -1,97% | -0,87% |
BANKIA FONDEPOSITOS, FI | ES0114036009 | 23 | 1.883€ | -3,09% | -1,67% | -1,11% | -0,32% |
FONTALENTO, FI | ES0139958039 | 97 | 296€ | -3,12% | -1,68% | -1,97% | 1,47% |
SABADELL BONOS INTERNACIONAL, FI | ES0144212026 | 0 | 0€ | -1,31% | -1,69% | 0,18% | - |
BANKINTER INDICE BOLSA ESPAÑOLA GARANTIZADO, FI | ES0114857032 | 463 | 14.576€ | -5,24% | -1,69% | - | - |
SABADELL AMERICA LATINA BOLSA, FI | ES0173827025 | 10 | 1.393€ | -10,23% | -1,71% | -5,61% | - |
AZVALOR CAPITAL, FI | ES0112601002 | 257 | 21.395€ | -3,17% | -1,73% | - | - |
SABADELL BONOS INTERNACIONAL, FI | ES0144212059 | 5 | 261€ | -1,65% | -1,86% | - | - |
EUROVALOR AHORRO DOLAR, FI | ES0133501033 | 631 | 20.080€ | -1,52% | -1,97% | -1,26% | 2,11% |
RENTA 4 RETORNO DINAMICO, FI | ES0128521004 | 255 | 4.155€ | -12,94% | -2,02% | -2,95% | -0,98% |
SABADELL BONOS EMERGENTES, FI | ES0183338021 | 0 | 0€ | -4,78% | -2,03% | 1,22% | - |
SABADELL BONOS INTERNACIONAL, FI | ES0144212034 | 580 | 7.530€ | -1,90% | -2,10% | -0,19% | 2,52% |
SABADELL AMERICA LATINA BOLSA, FI | ES0173827033 | 934 | 5.811€ | -10,63% | -2,14% | -6,03% | -5,31% |
MUTUAFONDO DOLAR, FI | ES0164986004 | 180 | 3.673€ | -1,31% | -2,15% | -1,27% | - |
BANKIA BANCA PRIVADA RENTA VARIABLE ESPAÑA, FI | ES0108846033 | 55 | 1.861€ | -25,02% | -2,17% | -8,78% | 2,63% |
PRIVARY F1 DISCRECIONAL, FI | ES0170900031 | 109 | 22.691€ | -4,15% | -2,18% | -1,14% | 0,44% |
RV EUROPA, FI (EN LIQUIDACION) | ES0156568000 | 1 | 12€ | -4,93% | -2,28% | 2,66% | 5,70% |
SABADELL BONOS EMERGENTES, FI | ES0183338013 | 22 | 3.343€ | -5,11% | -2,37% | 0,86% | - |
SABADELL BONOS EMERGENTES, FI | ES0183338047 | 0 | 0€ | -5,11% | -2,37% | - | - |
CAIXABANK RENTA FIJA SELECCION EMERGENTES, FI | ES0137916005 | 32 | 2.142€ | -7,83% | -2,42% | -1,19% | -1,57% |
ABANCA GESTION, FI | ES0133400038 | 1 | 0€ | 8,14% | -2,46% | 3,02% | - |
KUTXABANK RENTA GLOBAL, FI | ES0114387030 | 43.309 | 368.110€ | -3,04% | -2,47% | -1,74% | 1,25% |
SABADELL BONOS EMERGENTES, FI | ES0183338005 | 14.873 | 59.452€ | -5,01% | -2,49% | 0,66% | - |
KUTXABANK 0/100 CARTERAS, FI | ES0113053005 | 57.997 | 441.700€ | -1,64% | -2,57% | -3,10% | -3,32% |
BBVA BONOS DOLAR CORTO PLAZO, FI | ES0114341037 | 2.671 | 83.058€ | -1,90% | -2,58% | -1,72% | 1,63% |
EUROVALOR BONOS EMERGENTES, FI | ES0133486003 | 428 | 6.016€ | -6,56% | -2,59% | -0,77% | 0,42% |
SABADELL BONOS EMERGENTES, FI | ES0183338054 | 14 | 493€ | -5,44% | -2,71% | - | - |
BBVA BONOS CORPORATIVOS FLEXIBLE, FI | ES0115285035 | 877 | 9.763€ | -4,64% | -2,75% | -2,02% | -0,61% |
RENTA 4 MULTIGESTION, FI | ES0173311012 | 29 | 5.611€ | -4,04% | -2,78% | -5,48% | - |
BANKIA EVOLUCION DECIDIDO, FI | ES0117184038 | 9 | 288€ | -12,96% | -2,81% | -4,00% | 1,35% |
MEDIOLANUM REAL ESTATE GLOBAL, FI | ES0161997046 | 296 | 3.078€ | -0,83% | -2,82% | 1,22% | - |
GPM ABACUS, FI | ES0139099008 | 142 | 3.573€ | -4,72% | -2,85% | -5,05% | -2,69% |
RURAL RENTA FIJA INTERNACIONAL, FI | ES0174368037 | 193 | 5.346€ | -2,54% | -2,86% | -2,91% | 0,66% |
RENTA 4 MULTIGESTION, FI | ES0173311020 | 1 | 55€ | -3,99% | -2,88% | -4,01% | - |
CAIXABANK RENTA FIJA SELECCION EMERGENTES, FI | ES0137916039 | 1.824 | 3.899€ | -8,26% | -2,89% | -1,66% | -2,05% |
TREA CAJAMAR FLEXIBLE, FI | ES0180678007 | 619 | 13.969€ | -0,65% | -2,96% | - | - |
MEDIOLANUM MERCADOS EMERGENTES, FI | ES0136467059 | 304 | 5.402€ | -5,92% | -3,01% | -1,65% | - |
SABADELL BONOS EMERGENTES, FI | ES0183338039 | 624 | 5.161€ | -5,77% | -3,05% | 0,16% | 3,88% |
SANTANDER CORTO PLAZO DOLAR, FI | ES0121748034 | 1.489 | 59.064€ | -2,65% | -3,11% | -2,43% | 1,12% |
MEDIOLANUM MERCADOS EMERGENTES, FI | ES0136467018 | 81 | 1.477€ | -6,23% | -3,17% | -2,12% | - |
AMISTRA GLOBAL, FI | ES0109213001 | 169 | 24.416€ | -2,55% | -3,23% | -2,06% | -1,19% |
MEDIOLANUM MERCADOS EMERGENTES, FI | ES0136467026 | 159 | 1.911€ | -6,42% | -3,26% | -2,18% | - |
SABADELL DOLAR FIJO, FI | ES0138950029 | 0 | 0€ | -3,52% | -3,42% | -0,40% | - |
ANNAPURNA, FI | ES0109286007 | 1.946 | 45.183€ | -5,87% | -3,51% | -2,91% | 1,15% |
MEDIOLANUM REAL ESTATE GLOBAL, FI | ES0161997004 | 178 | 1.224€ | -1,58% | -3,57% | 0,46% | - |
DIAGONAL TOTAL RETURN, FI | ES0113326005 | 102 | 6.961€ | -5,42% | -3,68% | - | - |
SABADELL DOLAR FIJO, FI | ES0138950011 | 21 | 3.339€ | -3,81% | -3,71% | -0,70% | - |
SABADELL DOLAR FIJO, FI | ES0138950003 | 10.801 | 31.241€ | -3,72% | -3,79% | -0,83% | - |
BANKIA EVOLUCION MODERADO, FI | ES0105578035 | 29 | 1.699€ | -10,44% | -3,83% | -4,48% | -0,62% |
UNIFOND DIVISA, FI | ES0122065032 | 383 | 9.945€ | -4,90% | -3,86% | -3,10% | -0,79% |
IBERCAJA DOLAR, FI | ES0146942000 | 36.358 | 102.666€ | -13,00% | -3,90% | -4,62% | 0,17% |
IBERCAJA DOLAR, FI | ES0146942034 | 1.083 | 78.989€ | -13,11% | -3,97% | -4,67% | 0,14% |
MEDIOLANUM REAL ESTATE GLOBAL, FI | ES0161997020 | 478 | 2.767€ | -2,02% | -4,00% | 0,01% | - |
SABADELL DOLAR FIJO, FI | ES0138950037 | 796 | 7.484€ | -4,29% | -4,19% | -1,19% | 3,08% |
CAIXABANK DIVERSIFICADO DINAMICO, FI | ES0138257003 | 1 | 1€ | -0,28% | -4,26% | -3,03% | -0,28% |
FONDMAPFRE RENTADOLAR, FI | ES0137814002 | 1.420 | 79.636€ | -13,50% | -4,38% | -5,30% | -0,43% |
1 KESSLER GLOBAL, FI | ES0156304000 | 90 | 7.396€ | -6,74% | -4,93% | -3,76% | - |
ATL CAPITAL BEST MANAGERS, FI | ES0111171023 | 14 | 645€ | 1,10% | -5,29% | -6,18% | -0,70% |
BANKIA MONETARIO EURO DEUDA (II), FI | ES0112899002 | 1.885 | 41.877€ | -10,21% | -5,33% | -3,61% | -1,96% |
BANKIA SOY ASI FLEXIBLE, FI | ES0159084039 | 110 | 8.293€ | -15,13% | -5,33% | -4,30% | -0,18% |
TREA ABSOLUTE 6, FI | ES0180677009 | 136 | 1.502€ | -9,41% | -5,48% | -4,72% | - |
MEDIOLANUM REAL ESTATE GLOBAL, FI | ES0161997053 | 355 | 4.861€ | -4,10% | -6,03% | -1,89% | - |
MEDIOLANUM REAL ESTATE GLOBAL, FI | ES0161997012 | 112 | 1.357€ | -4,80% | -6,74% | -2,65% | - |
BANKIA SOY ASÍ DINAMICO, FI | ES0158986036 | 15 | 980€ | -20,15% | -7,01% | -6,50% | -0,20% |
MEDIOLANUM REAL ESTATE GLOBAL, FI | ES0161997038 | 143 | 1.408€ | -5,25% | -7,16% | -3,10% | - |
LEASETEN RENTA FIJA CORTO, FI | ES0158022030 | 94 | 1€ | -18,27% | -7,36% | -4,87% | -0,66% |
GESIURIS GLOBAL STRATEGY, FI | ES0105234001 | 108 | 3.325€ | -15,41% | -8,17% | -7,25% | -2,27% |
CAIXABANK BOLSA ALL CAPS ESPAÑA, FI | ES0114180005 | 204 | 16.109€ | 2,14% | -8,55% | -15,07% | -1,53% |
BANCO MADRID IBERICO ACCIONES, FI | ES0114903000 | 1.322 | 3.444€ | -16,86% | -8,82% | -5,96% | 0,99% |
ATL CAPITAL QUANT 5, FI | ES0111052009 | 94 | 2.684€ | -7,55% | -9,70% | -6,13% | -4,93% |
BANKIA SOY ASI CAUTO, FI | ES0158976037 | 167 | 15.001€ | -23,55% | -11,48% | -8,04% | -3,38% |
BANKIA EVOLUCION PRUDENTE, FI | ES0158965030 | 109 | 7.763€ | -22,61% | -11,70% | -8,16% | -4,16% |
BANKIA BANCA PRIVADA INDICE S&P 500, FI | ES0108851033 | 51 | 2.367€ | -34,14% | -12,56% | -7,73% | 0,37% |
BANKIA INDICE IBEX, FI | ES0158967036 | 9 | 402€ | -43,09% | -13,47% | -16,42% | -2,89% |
BANKINTER EUROSTOXX INVERSO, FI | ES0164585004 | 522 | 27.142€ | -5,86% | -14,58% | -8,61% | -13,00% |
CAIXABANK RENTA FIJA ALTA CALIDAD CREDITICIA, FI | ES0138384005 | 6 | 965€ | 1,46% | -20,77% | -12,88% | -6,82% |
CAIXABANK COMUNICACIONES, FI | ES0113693032 | 27 | 5.142€ | -50,86% | -22,90% | -14,53% | -1,81% |
CAIXABANK DIVERSIFICADO CONSERVADOR, FI | ES0115651012 | 3.541 | 12.087€ | -0,48% | -25,31% | -17,81% | -10,08% |
RENTA FIJA MIXTA ESPAÑA FLEXIBLE, FI | ES0173366008 | 118 | 5€ | -38,10% | -35,47% | -25,00% | - |
ATL CAPITAL QUANT 25, FI | ES0111152007 | 107 | 2.282€ | -32,26% | -38,46% | -26,19% | -19,90% |
BANKIA SMALL & MID CAPS ESPAÑA, FI | ES0138800034 | 109 | 3.335€ | -73,65% | -40,53% | -33,33% | -14,45% |
CAIXABANK MULTIDIVISA, FI | ES0173407000 | 2 | 2€ | -3,42% | -53,21% | -39,45% | -23,19% |
MISTRAL CARTERA EQUILIBRADA, FI | ES0164103006 | 113 | 15.041€ | 2,23% | -60,97% | -47,77% | -30,07% |
BANKIA BOLSA ESPAÑOLA, FI | ES0113002036 | 12 | 362€ | -89,51% | -62,51% | -53,13% | -31,39% |
BANKIA BANCA PRIVADA CORTO PLAZO EURO, FI | ES0108903032 | 425 | 75.571€ | -92,70% | -72,96% | -58,10% | -40,37% |
BANKIA FONDTESORO CORTO PLAZO, FI | ES0126525031 | 1 | 349€ | -93,04% | -73,72% | -59,01% | -41,41% |
BANKIA FONDUXO, FI | ES0138893039 | 18 | 804€ | -95,21% | -76,85% | -63,61% | -41,95% |