Nombre | Gestora | Categoría | | | | Patrimonio del fondo | |
---|
| Tabula Investment Management Limited | RF Deuda Corporativa EUR | 5,48% | — | | 129,6M€ | |
| Tabula Investment Management Limited | RF Bonos Alto Rendimiento Asia | -1,07% | — | | 85,3M€ | |
| Tabula Investment Management Limited | Alt - Otros | 3,45% | — | | 50,7M€ | |
| Tabula Investment Management Limited | RF Global Emergente | -3,91% | — | | 23,2M€ | |
| Tabula Investment Management Limited | RF Bonos Ligados a la Inflación USD | 2,90% | — | | 22,0M€ | |
| Tabula Investment Management Limited | RF Otros | - | — | | 20,1M€ | |
| Tabula Investment Management Limited | RF Ultra Corto Plazo EUR | 4,07% | — | | 17,7M€ | |
| Tabula Investment Management Limited | RF Deuda Pública USD | - | — | | 17,6M€ | |
| Tabula Investment Management Limited | RF Otros | -3,53% | — | | 8,7M€ | |
| Tabula Investment Management Limited | Materias Primas - Metales Preciosos | 9,53% | — | | - | |
| Tabula Investment Management Limited | RF Otros | - | — | | - | |