Listado de fondos de

Mixtos Agresivos EUR - Global

Mixtos - Mixtos Agresivos

Fondos que invierten de manera global en renta variable y renta fija para inversores basados en euros. La renta variable no excede el 65% del patrimonio del fondo.

Patrimonio

14.129 M€

Fondos

74 199 clases

Gestoras

Riesgo

Rentabilidades de los fondos

Rentabilidad anualizada


Listado de todos los fondos

Rentabilidad anualizada

# Fondo Patrimonio Riesgo Rentabilidad Volatilidad DrawDown
1 First Eagle Amundi International Fund 8.209M€ 4 -0,71% 5,71% -5,94% 3,03% 7,79% -6,60% 2,81% 7,11% -10,43%
2 DPAM Global Strategy L High 1.205M€ 5 6,31% 6,34% -4,60% 4,84% 11,61% -13,27% 7,73% 10,43% -16,89%
3 Quality Inversión Decidida FI 975M€ 4 7,38% 6,57% -5,54% 1,81% 9,66% -15,04% 3,93% 8,63% -16,45%
4 Eurizon Dynamic Asset Allocation 569M€ 5 -0,67% 3,40% -9,18% -2,02% - - - - -
5 CM-CIC Dynamique International 566M€ 5 - - - - - - - - -
6 Caixabank Oportunidad FI 539M€ 4 6,04% 5,87% -5,13% 2,27% 8,51% -11,97% 5,70% 8,00% -12,97%
7 BL-Global 75 534M€ 4 4,75% 4,52% -2,48% 2,27% 6,21% -6,64% 6,22% 6,54% -8,04%
8 GAM Star Balanced 491M€ 4 6,10% 9,21% -6,72% 4,53% 10,02% -10,30% 8,12% 10,55% -12,14%
9 FvS - Multi Asset - Growth 475M€ 5 4,64% 5,85% -3,83% 5,19% 9,02% -8,88% 8,36% 8,30% -10,17%
10 Deutsche Bank Best Allocation - Flexible 432M€ 4 1,10% 7,41% -4,53% -0,51% 9,62% -12,58% 2,92% 8,22% -12,60%
11 Allianz Dynamic Multi Asset Strategy 75 392M€ 5 9,39% 8,66% -6,76% 6,26% 10,90% -10,94% 10,25% 9,78% -12,54%
12 NN (L) Patrimonial Aggressive 298M€ 5 9,29% 6,46% -4,70% 4,27% 8,32% -8,38% 8,33% 7,91% -9,40%
13 Allianz Strategy 75 272M€ 5 7,67% 8,28% -7,40% 6,40% 8,87% -9,41% 10,23% 8,46% -10,87%
14 DJE Concept 200M€ 5 2,31% 7,62% -5,10% 3,32% 9,42% -9,86% 5,51% 9,62% -11,68%
15 Eurizon Manager Selection MS 70 191M€ 5 8,35% 5,79% -3,39% 4,22% 9,75% -10,11% 7,97% 8,18% -10,11%
16 Bankia Soy Así Dinámico FI 181M€ 4 0,58% 4,71% -3,69% 1,14% 6,46% -8,43% 3,86% 6,10% -10,52%
17 Euromobiliare IF - Glbl Enhanced Div G 176M€ 4 1,79% 4,66% -2,16% 0,42% 5,36% -5,73% 0,67% 5,50% -11,45%
18 Barclays MultiManager Portfolio 4 174M€ 4 5,18% 10,10% -6,70% -2,25% 13,43% -21,66% 4,99% 11,45% -22,31%
19 BSF Managed Index Portfolios Growth 170M€ 5 6,19% 6,74% -6,06% 5,41% - - - - -
20 UBS (Lux) SF Growth (EUR) 169M€ 4 2,74% 5,34% -4,27% 3,76% 7,63% -10,06% 5,52% 6,95% -10,60%
21 Sabadell Dinámico FI 165M€ 6 4,94% 7,54% -5,44% 3,68% 10,81% -10,83% - - -
22 LO Selection Global Diversified 146M€ 5 -4,58% 7,00% -7,43% 1,85% 12,01% -12,95% 2,48% 10,92% -13,83%
23 Franklin Diversified Dynamic Fund 140M€ 4 1,13% 6,14% -5,73% -0,54% 6,81% -8,95% 4,58% 7,04% -11,67%
24 CS (Lux) Portfolio Fund Growth EUR 130M€ 5 1,70% 6,29% -4,79% 1,82% 8,54% -10,56% 5,36% 7,94% -12,84%
25 Santander Select Dynamic 126M€ 4 1,47% 4,25% -2,42% 0,64% 8,63% -11,84% 4,24% 7,32% -11,84%
26 BL Fund Selection 50-100 124M€ 4 3,05% 5,48% -3,61% 1,32% 8,36% -10,08% 5,12% 7,48% -10,09%
27 BNP Paribas L1 Sustainable Active Growth 122M€ 5 5,08% 6,47% -4,66% 2,55% 8,67% -10,08% 3,99% 8,17% -12,51%
28 JSS Thematic Equity - Glb Real Ret 114M€ 4 6,69% 5,12% -3,89% 4,14% 7,70% -9,61% 4,45% 6,74% -10,83%
29 Carmignac Profil Réactif 75 113M€ 4 0,30% 3,93% -3,04% 1,30% 6,29% -13,19% 3,21% 6,55% -19,11%
30 Mediolanum BB Socially Respon Collct 111M€ 5 4,59% 6,99% -5,46% 2,13% 11,59% -12,53% - - -
31 Bankinter Premium Dinámico FI 105M€ 5 1,82% 5,96% -4,21% - - - - - -
32 Richelieu Fd Strategic Dynamic 84M€ 5 5,43% 6,92% -4,41% 1,80% 9,30% -12,48% - - -
33 GSF Best Selection 71M€ 5 4,24% 7,01% -4,78% 4,51% 10,33% -10,58% 7,90% 9,40% -11,56%
34 Patribond FI 69M€ 4 8,91% 8,38% -5,55% 3,64% 7,53% -7,35% 5,06% 7,06% -8,53%
35 Deutsche Invest I Multi Asset Dynamic 68M€ 5 5,67% 6,71% -5,29% - - - - - -
36 Nordea FoF Multi Manager Aggressive 61M€ 4 3,45% 6,14% -4,19% 2,29% 8,78% -9,80% 6,05% 7,94% -11,39%
37 CPR Invest Dynamic 47M€ 6 8,37% 6,10% -4,11% 3,16% 9,63% -11,09% 8,18% 8,95% -13,31%
38 Patrival FI 45M€ 5 11,46% 10,89% -7,11% 3,68% 9,61% -12,17% 4,83% 8,83% -14,15%
39 March Cartera Decidida FI 43M€ 6 2,50% 5,15% -4,14% 3,16% 7,88% -9,13% 4,27% 7,14% -11,47%
40 BNP Paribas Caap Dinámico FI 40M€ 5 4,45% 5,53% -3,96% 2,17% 8,81% -11,34% 5,48% 8,12% -12,41%
41 Inversabadell 70 FI 40M€ 4 4,96% 5,23% -3,76% 2,54% 8,47% -9,51% 4,99% 8,04% -10,72%
42 LO Selection Growth EUR 34M€ 4 4,06% 5,82% -4,16% 2,53% 7,80% -9,89% 5,26% 7,19% -11,38%
43 Liberbank Cartera Dinámica FI 32M€ 5 7,31% 8,94% -7,55% 2,12% 9,86% -13,04% 5,89% 9,02% -13,99%
44 Arquiuno Renta Variable Mixta FI 31M€ 5 -1,17% 6,73% -4,87% -0,08% 9,94% -14,26% 4,56% 8,82% -15,35%
45 Value Tree Best Equities 29M€ 5 -6,18% 6,38% -6,89% - - - - - -
46 JB Strategy Growth EUR 29M€ 4 1,23% 6,21% -4,97% 1,54% 7,96% -9,50% 4,24% 7,53% -11,80%
47 SIH FCP-Multiperfil Dinámico 28M€ - - - - - - - - - -
48 JSS GlobalSar Growth EUR 28M€ 5 3,63% 4,98% -4,41% 4,44% 8,57% -10,03% 8,06% 7,91% -11,32%
49 Fonbusa Fondos FI 27M€ 5 0,17% 5,69% -4,19% 0,12% 7,63% -9,87% 3,82% 7,13% -10,90%
50 BNPP B Strategy Global Aggressive 26M€ 5 8,09% 7,20% -5,46% 3,66% 9,79% -11,57% 4,02% 9,06% -14,22%
51 EdR Monde Flexible 26M€ 4 - - - - - - - - -
52 SIH FCP-Multiperfil Agresivo 22M€ - - - - - - - - - -
53 Selector Global Flexible FI 16M€ 6 -1,22% 7,04% -3,84% - - - - - -
54 Horizonte Global FI 14M€ 7 4,86% 6,66% -5,45% 3,04% 8,68% -10,75% 5,85% 8,29% -11,66%
55 Fontibrefondo FI 14M€ 7 7,72% 5,46% -3,31% 2,96% 8,65% -14,14% 6,35% 8,64% -15,43%
56 Acacia Globalmix 60-90 FI 13M€ 7 4,62% 6,84% -4,72% - - - - - -
57 Jyske Invest Growth Strategy CL 12M€ 5 -1,34% 8,59% -8,91% 0,83% 9,18% -12,12% 5,86% 8,74% -12,12%
58 Arquiuno Dinámico 100RV FI 12M€ 6 5,62% 6,55% -5,28% - - - - - -
59 Mutuafondo Gestión Óptima Dinámico FI 12M€ 6 -0,76% 6,49% -8,03% 0,14% 6,03% -9,29% 0,92% 6,75% -13,26%
60 Synchrony (LU) Dynamic (EUR) 9M€ 4 4,31% 5,72% -4,18% 2,16% 8,52% -10,39% 4,73% 7,48% -13,22%
61 Crediinvest SICAV Active Allc Dyn 8M€ - - - - - - - - - -
62 AXA/AB Invmt AB Global Strategy 80/20 7M€ 5 4,46% 6,49% -5,31% 2,36% 8,10% -11,91% 5,08% 7,64% -12,81%
63 UBS (Lux) KSS Active Allc Gr 5M€ 5 5,97% 5,76% -4,43% - - - - - -
64 Adriza Int. Opportunities Fund FI 5M€ 7 6,90% 5,93% -4,18% - - - - - -
65 PBP Cartera Activa 70 FI 4M€ 4 1,61% 4,86% -3,96% 1,32% 6,47% -9,20% - - -
66 Embarcadero Private Equity Global FI 3M€ 7 7,41% 8,90% -5,76% - - - - - -
67 Santander Multi Index Ambition 3M€ 5 2,81% - - - - - - - -
68 IMDI Funds Rojo FI 2M€ 6 7,01% 6,13% -4,74% - - - - - -
69 PBP Alpes Dinámico FI 1M€ 4 2,52% 6,49% -4,93% - - - - - -
70 ILI Carmignac Profil Réactif 75 EUR 0M€ - 0,08% 4,29% -3,39% 1,03% 6,74% -13,70% 2,80% 6,84% -19,61%
71 Cartera Naranja 75/25 FI 0M€ 5 - - - - - - - - -
72 Best Choice Dynamic 0M€ 4 -9,43% 7,14% -11,80% -4,70% 9,78% -16,70% -0,74% 8,53% -19,37%
73 Esfera II OI Global FI 0M€ 7 -10,57% 2,55% -9,90% - - - - - -
74 atl Capital Best Managers Dinámico FI 0M€ 7 2,08% 4,56% -2,77% - - - - - -

Para aquellos fondos que tengan más de una clase se está utilizando la rentabilidad y datos asociados de la clase con mayor patrimonio.

Aviso legal sobre productos

Los datos de evolución y rentabilidad se muestran con fines informativos. Rentabilidades pasadas no son garantía de rentabilidades futuras ni indicadores fiables de la evolución futura de un activo.
Fuente: Morningstar.