Listado de fondos de

Mixtos Defensivos EUR - Global

Mixtos - Mixtos Defensivos

Fondos que invierten de manera global n renta variable y renta fija para inversores basados en euros. La renta variable no excede el 35% del patrimonio del fondo.

Patrimonio

83.587 M€

Fondos

180 451 clases

Gestoras

Riesgo

Rentabilidades de los fondos

Rentabilidad anualizada


Listado de todos los fondos

Rentabilidad anualizada

# Fondo Patrimonio Riesgo Rentabilidad Volatilidad DrawDown
1 M&G Optimal Income Fund 24.330M€ 3 6,69% 1,98% -0,51% 3,21% 3,63% -5,10% 4,47% 3,66% -5,10%
2 Quality Inversión Conservadora FI 7.568M€ 3 3,59% 1,17% -0,30% 0,34% 3,00% -6,29% 0,18% 2,43% -6,29%
3 Ethna-AKTIV 6.265M€ 4 6,95% 3,73% -2,05% 0,76% 4,58% -8,89% 3,10% 4,04% -8,89%
4 Caixabank Equilibrio FI 5.604M€ 3 2,16% 1,33% -0,52% 0,57% 2,67% -4,41% 2,69% 2,51% -4,41%
5 Sabadell Prudente FI 4.280M€ 3 2,82% 1,49% -0,50% 2,05% 3,58% -3,87% 2,37% 3,11% -3,87%
6 Santander Select Moderado FI 3.387M€ 4 3,00% 2,69% -1,11% 2,05% 4,66% -6,70% 3,33% 4,27% -6,70%
7 Bankia Soy Así Cauto FI 3.220M€ 3 2,23% 1,25% -0,40% 1,81% 2,50% -3,44% 2,36% 2,04% -3,44%
8 M&G Prudent Allocation Fund 1.892M€ 3 8,17% 2,62% -0,61% - - - - - -
9 Carmignac Pf Capital Plus 1.768M€ 2 2,28% 0,74% -0,14% 0,25% 1,88% -4,70% 1,39% 1,77% -4,70%
10 Cartera Optima Prudente FI 1.736M€ 3 2,00% 1,22% -0,49% 0,59% 2,32% -4,41% 1,52% 1,98% -4,41%
11 FvS - Multi Asset - Defensive 1.489M€ 4 5,03% 3,34% -1,61% 5,16% 5,68% -5,99% 5,14% 4,95% -5,99%
12 Mediolanum Bb Premium Coupon Collection 1.391M€ 4 2,34% 2,04% -0,86% 0,60% 4,79% -7,73% - - -
13 UBS (Lux) SF Yield (EUR) 1.198M€ 3 7,10% 2,45% -0,68% 2,78% 4,48% -5,94% 3,62% 3,93% -5,94%
14 Kutxabank Gestión Activa Patrimonio FI 1.193M€ 3 1,47% 1,49% -0,62% -0,22% 2,59% -5,40% 1,64% 2,42% -5,40%
15 Eurizon Manager Selection MS 20 1.109M€ 3 3,47% 2,42% -0,67% 3,19% 4,41% -5,21% 4,58% 3,90% -5,21%
16 Cartera Optima Moderada FI 1.033M€ 3 5,26% 2,09% -0,62% - - - - - -
17 Ethna-DEFENSIV 1.014M€ 3 2,06% 2,17% -1,87% 1,39% 2,70% -3,59% 2,23% 2,78% -3,59%
18 Santander PB Cartera 40 FI 988M€ 3 2,51% 1,48% -0,69% 0,90% 2,81% -4,95% 1,55% 2,63% -4,95%
19 March Intl Torrenova Lux Fund 972M€ 3 1,63% 1,67% -0,77% 0,87% 3,11% -3,53% 2,32% 2,65% -3,53%
20 Santander PB Cartera 20 FI 858M€ 2 0,83% 0,99% -0,60% 0,11% 1,69% -2,98% 0,70% 1,73% -2,98%
21 DWS Concept DJE Alpha Renten Global 840M€ 3 3,23% 2,67% -0,99% 3,05% 4,64% -5,71% 4,32% 4,40% -5,71%
22 BNPP B Strategy Global Defensive 742M€ 4 4,29% 2,35% -0,92% 0,72% 4,79% -7,28% 1,16% 4,20% -7,28%
23 DPAM Global Strategy L Low 739M€ 3 3,80% 2,24% -0,76% 2,81% 4,23% -5,35% 4,03% 3,68% -5,35%
24 CS (Lux) Portfolio Fund Yield EUR 598M€ 3 3,94% 2,92% -1,25% 2,29% 4,40% -5,84% 3,23% 3,86% -5,84%
25 PIMCO GIS Strategic Income Fund 581M€ 3 8,23% 1,25% -4,60% 4,07% 4,52% -8,23% - - -
26 NN (L) Patrimonial Defensive 530M€ 3 1,84% 2,67% -1,19% 2,76% 4,73% -5,69% 4,85% 4,09% -5,69%
27 PBFI Access Capital Presv Fd (EUR) 499M€ 3 5,70% 1,57% -0,44% 2,20% 3,79% -5,40% 2,96% 3,44% -5,40%
28 Schroder ISF Global Multi-Asset Balanced 479M€ 4 4,62% 2,10% -0,80% 0,52% 4,04% -7,67% 2,97% 3,81% -7,67%
29 Bankinter Cartera Priv. Conservadora FI 455M€ 3 3,21% 1,49% -0,45% - - - - - -
30 Inversabadell 25 FI 452M€ 3 2,18% 2,06% -0,87% 1,94% 4,33% -5,29% 3,11% 3,68% -5,29%
31 Laboral Kutxa Selek Base FI 431M€ 3 2,40% 1,01% -0,31% 1,03% 3,38% -7,08% 2,85% 3,01% -7,08%
32 Pioneer Fds Global Multi-Asset Cnsrv 391M€ 3 4,30% 2,91% -1,06% 3,87% 5,40% -6,52% 5,17% 4,91% -6,52%
33 Kutxabank Renta Global FI 388M€ 3 -2,39% 2,42% -3,81% 0,76% 5,00% -6,95% 1,99% 4,03% -6,95%
34 Mediolanum BB Equilibrium 362M€ 4 1,09% 1,96% -1,11% - - - - - -
35 BMN Cartera Flexible 20 FI 356M€ 3 2,80% 1,32% -0,36% 1,19% 2,54% -3,18% - - -
36 Ibercaja BP Selección Global FI 354M€ 3 1,68% 0,99% -0,32% 0,30% 2,80% -4,82% 1,19% 2,58% -4,82%
37 JPM Global Income Conservative Fund 333M€ 3 5,98% - - - - - - - -
38 LO Selection Balanced EUR 326M€ 4 6,60% 3,04% -0,94% 3,89% 6,28% -8,64% 4,23% 5,39% -8,64%
39 Franklin Diversified Conservative Fund 321M€ 3 1,44% 2,35% -1,11% 0,98% 3,58% -5,52% 2,68% 3,26% -5,52%
40 JB Strategy Income EUR 306M€ 3 3,62% 2,56% -0,86% 1,11% 4,13% -6,53% 2,89% 3,58% -6,53%
41 EdRF QUAM 5 305M€ 3 2,32% 1,81% -0,83% 0,45% 2,23% -4,79% 1,71% 2,44% -4,79%
42 Dachfonds Südtirol 304M€ 3 2,34% 2,37% -1,89% 2,15% 4,81% -6,27% 3,51% 4,32% -6,27%
43 March Cartera Conservadora FI 285M€ 3 4,35% 1,56% -0,44% 1,76% 3,36% -4,84% 2,59% 2,91% -4,84%
44 Richelieu Fd Strategic Defensive 265M€ 4 4,07% 2,61% -0,92% 2,16% - - - - -
45 OYSTER Multi-Asset Absolute Return EUR 263M€ 3 3,94% 2,13% -1,25% 0,99% 3,16% -6,00% 2,80% 2,86% -6,00%
46 Jyske Invest Stable Strategy 257M€ 3 6,00% 2,88% -1,67% 3,20% 3,33% -2,81% 4,32% 3,52% -3,45%
47 JPM Global Macro Balanced Fund 240M€ 3 10,62% 5,47% -4,42% 3,39% 5,25% -9,04% 5,21% 4,84% -9,04%
48 Inversabadell 10 FI 237M€ 3 1,04% 1,43% -0,56% 0,93% 2,82% -4,18% 1,95% 2,37% -4,18%
49 AXAWF Global Income Generation 236M€ 4 3,88% 3,43% -1,74% - - - - - -
50 Bankinter Cartera Privada Defensiva FI 236M€ 3 1,29% 0,75% -0,23% - - - - - -
51 ING Direct FN Conservador FI 227M€ 3 1,29% 1,22% -0,81% 0,19% 1,53% -2,84% 0,93% 1,33% -2,84%
52 Eurizon Opportunità Flessibile 15 223M€ 3 0,14% 0,92% -0,67% - - - - - -
53 CPR Invest Defensive 220M€ 3 0,89% 2,00% -1,37% 1,74% 4,11% -5,69% 3,66% 3,65% -5,69%
54 BL-Global 30 202M€ 3 -1,02% 2,93% -2,97% 1,62% 4,20% -4,03% 1,40% 3,70% -4,91%
55 BNPP Quam Fund Medium Vol 195M€ 4 6,88% 3,04% -1,10% 1,23% 4,29% -10,12% 2,20% 4,15% -10,12%
56 CS Duración 0-2 FI 193M€ 2 2,37% 0,90% -0,28% 0,77% 2,26% -4,26% 1,81% 1,80% -4,26%
57 Pioneer FS Conservative 188M€ 3 3,70% 2,94% -0,96% 3,05% 4,95% -5,96% 4,75% 4,45% -5,96%
58 Allianz Coupon Select Plus II 185M€ 4 3,96% 2,06% -1,22% - - - - - -
59 CX Multiactiu 30 FI 185M€ 4 3,48% 2,08% -3,94% 0,61% 3,74% -6,80% 1,26% 3,44% -6,80%
60 Lyxor Investment Funds ARMA 3 179M€ 3 4,09% 1,67% -0,46% 1,00% 2,10% -3,80% 1,94% 2,12% -3,80%
61 Nordea FoF Multi Manager Conservative 175M€ 3 4,84% 1,91% -0,56% 2,53% 3,83% -4,72% 3,76% 3,37% -4,72%
62 LO Selection Conservative EUR 164M€ 3 3,56% 1,95% -0,58% 2,22% 3,74% -5,13% 2,26% 3,39% -5,13%
63 Eurizon Multimgrs Stars Priv Style Inc 163M€ 4 1,43% 1,35% -0,82% 1,30% 3,20% -5,20% 2,06% 3,14% -5,20%
64 CS (Lux) Portfolio Fund Reddito EUR 162M€ 3 4,54% 3,54% -1,60% 2,72% 4,66% -4,17% 4,52% 4,24% -4,17%
65 Gestión Multiperfil Inversión FI 156M€ 5 5,06% 2,72% -1,79% 2,33% 4,88% -6,68% - - -
66 Swisscanto (LU) PF Yield (EUR) 154M€ 3 4,20% 2,69% -0,93% 2,93% 4,46% -5,99% 4,01% 3,96% -5,99%
67 BMN Cartera Flexible 30 Rentas FI 154M€ 3 4,43% 2,85% -0,62% - - - - - -
68 UBS (Lux) SS Income (EUR) 154M€ 3 4,36% 1,92% -0,72% 1,55% 3,21% -4,44% - - -
69 UBS (Lux) SS Xtra Yield (EUR) 152M€ 3 6,41% 2,17% -0,79% 1,66% 4,18% -6,56% - - -
70 RFMI Multigestión FI 141M€ 4 2,13% 1,12% -0,34% 1,18% 2,87% -4,69% 2,07% 2,45% -4,69%
71 UBS Retorno Activo FI 138M€ 4 6,09% 2,58% -0,83% 1,71% 4,02% -7,90% 2,66% 3,52% -7,90%
72 Allianz Coupon Select Plus 135M€ 4 6,27% 2,60% -0,97% - - - - - -
73 UBS (F) - Flex Patrimoine (EUR) 132M€ 4 8,90% 3,33% -1,62% 3,96% 4,41% -5,54% 5,30% 4,04% -5,54%
74 Fonengin ISR FI 127M€ 3 1,63% 2,00% -1,02% 0,94% 3,78% -5,64% 2,92% 3,30% -5,64%
75 AXA/AB Invmt AB Global Strategy 30/70 125M€ 4 5,27% 2,45% -0,74% 2,30% 3,83% -4,25% 4,19% - -
76 Laboral Kutxa Selek Balance FI 115M€ 4 3,21% 1,45% -0,29% - - - - - -
77 Multicooperation GAM Mlt Asst Strat Allc 114M€ 3 3,42% 1,61% -0,61% 1,97% 3,42% -4,94% 2,81% 3,02% -4,94%
78 Segunda Generación Renta FI 114M€ 3 2,02% 1,30% -0,75% 1,88% 3,46% -4,79% 2,37% 3,00% -4,79%
79 Fondmapfre Elección Prudente FI 104M€ 3 1,84% 2,71% -2,16% - - - - - -
80 Rural Mixto Internacional 25 FI 100M€ 3 1,84% 2,19% -1,59% 1,16% 3,71% -5,23% 2,73% 3,17% -5,23%
81 Allianz Coupon Select Plus III 99M€ 4 - - - - - - - - -
82 Eurizon Manager Selection MS 10 99M€ 3 2,87% 2,46% -0,99% 2,53% 3,69% -4,34% 3,91% 3,42% -4,34%
83 Natixis Conservative Risk Parity 98M€ 3 3,41% 2,63% -1,11% 2,33% 3,96% -4,99% - - -
84 DIP Client Risk 3 Fund 95M€ 3 4,83% 3,27% -1,94% 3,01% 3,16% -2,49% 2,66% 2,76% -2,49%
85 Gestión Multiperfil Equilibrado FI 93M€ 4 2,66% 1,66% -1,18% 1,14% 2,92% -4,89% - - -
86 Auris SICAV Active Diversified Beta 91M€ 3 7,63% 3,22% -0,94% 4,13% 4,61% -5,01% 4,23% 4,04% -5,01%
87 Welzia Ahorro 5 FI 91M€ 3 6,82% 3,05% -0,61% 1,10% 3,80% -7,41% 2,82% 3,28% -7,41%
88 Deutsche Crecimiento Conservador FI 90M€ 3 4,00% 1,91% -0,39% - - - - - -
89 Abante Valor FI 85M€ 3 1,91% 1,43% -1,06% 1,17% 2,85% -4,41% 1,80% 2,40% -4,41%
90 BNPP B Strategy Global Conservative 81M€ 3 0,62% 1,72% -1,24% 0,29% 2,88% -4,07% 0,88% 2,71% -4,07%
91 UBAM Multifunds Allocation 30 78M€ 3 7,37% 1,72% -0,73% 1,54% 4,66% -7,79% - - -
92 NEF Ethical Balanced Conservative 76M€ 3 - - - - - - - - -
93 BNPP L1 Diversified World Stability 74M€ 3 2,67% 2,46% -0,91% 1,47% 4,47% -6,00% 1,54% 3,97% -6,00%
94 DB Platinum IV Sovereign Plus 73M€ 3 -0,91% 4,93% -5,96% -1,73% 4,24% -10,10% -0,50% 3,82% -10,10%
95 DB PWM II GIS Dyn Ctrl Port Cnsv 73M€ 3 3,49% 2,43% -1,12% 0,26% 3,60% -6,92% 1,54% 3,40% -6,92%
96 Ábaco Renta Fija Mixta Global FI 71M€ 4 4,62% 2,52% -0,56% 3,79% 6,39% -8,70% 5,81% 5,20% -8,70%
97 Bankinter Multiselección 25 FI 71M€ 4 2,96% 1,50% -0,68% 0,99% 3,77% -6,01% 2,49% 3,44% -6,01%
98 Gescooperativo Gestión Moderado FI 70M€ 4 5,65% 2,79% -1,14% - - - - - -
99 Mutuafondo Mixto Selección FI 69M€ 3 4,74% 2,09% -0,83% 1,24% 4,08% -6,96% - - -
100 Bankinter IFS Cimaltair International 67M€ 3 3,91% 1,71% -0,65% 3,23% 3,62% -4,15% - - -
101 BCV (LUX) Strategy Yield EUR 66M€ 3 4,15% 3,19% -1,85% 2,55% 5,58% -8,08% 3,68% 4,65% -8,08%
102 Rural Mixto Internacional 15 FI 66M€ 3 0,96% 1,49% -1,09% -0,51% 2,16% -3,57% 1,00% 2,09% -3,75%
103 BSF Managed Index Portfolios Defensive 66M€ 3 3,53% 2,91% -2,11% - - - - - -
104 Gestión Multiperfil Moderado FI 64M€ 3 0,56% 0,67% -0,34% 0,58% 1,08% -1,40% - - -
105 Zest Global Value Fund 60M€ 3 -0,52% 2,25% -3,16% -2,32% 4,22% -11,98% -0,34% 3,49% -11,98%
106 Mirabaud - Sérénité 60M€ 3 5,14% 1,77% -0,49% 1,67% 4,40% -7,90% 3,32% 3,66% -7,90%
107 CA Selección Estrategia 20 FI 59M€ 3 1,15% 2,25% -1,93% - - - - - -
108 AXAWF Defensive Optimal Income 58M€ 3 6,46% 1,17% -0,39% 3,07% 4,87% -7,46% 3,55% 4,28% -7,46%
109 Fondo Artac FI 56M€ 3 1,94% 1,34% -0,48% 2,17% 2,62% -2,00% 4,75% 2,72% -2,00%
110 MainFirst Absolute Return Multi Asset 53M€ 4 19,66% 4,43% -0,82% 7,64% 5,69% -5,14% - - -
111 Arquiuno Prudente 30RV FI 53M€ 3 3,30% 1,73% -0,40% - - - - - -
112 UBS Mixto Gestión Activa FI 50M€ 5 5,03% 1,90% -0,55% 2,32% 4,39% -6,00% 3,27% 3,87% -6,00%
113 GVC Gaesco Renta Valor FI 45M€ 3 2,92% 1,47% -0,38% 0,99% 2,59% -3,96% - - -
114 Value Tree Defensive 45M€ 3 0,67% - - - - - - - -
115 Caixabank Estrategia Flexible FI 45M€ 3 3,83% 2,74% -0,99% - - - - - -
116 PBP Cartera Activa 30 FI 40M€ 3 1,29% 1,06% -0,55% - - - - - -
117 BNP Paribas Mixto Moderado FI 39M€ 4 3,75% 1,87% -1,11% 2,27% 4,87% -6,67% 3,72% 4,25% -6,67%
118 Merch-Fontemar FI 39M€ 3 3,87% 1,65% -0,16% 2,73% 3,82% -4,95% 2,13% 3,45% -4,95%
119 Mutuafondo Gestión Óptima Conservador FI 39M€ 3 3,13% 1,80% -0,77% 0,64% 2,66% -5,35% 1,82% 2,69% -5,35%
120 Fidentiis Tordesillas SICAV Global Strat 38M€ 3 7,84% 4,88% -0,88% 1,20% 4,27% -5,74% - - -
121 Gestión Boutique C2 Equilibrado FI 36M€ 3 3,65% 1,40% -0,58% 1,09% 3,05% -3,84% - - -
122 Mirabaud Multi Assets Cautious 35M€ 4 3,52% 2,47% -0,89% 0,05% 4,96% -9,92% 1,28% 4,32% -9,92%
123 Multiactivo Mixto Renta Fija FI 32M€ 3 2,98% 1,82% -0,50% 1,97% 3,02% -2,95% 2,75% 2,52% -2,95%
124 Gredos Moderado FI 30M€ 3 3,10% 1,32% -0,54% - - - - - -
125 Deutsche Invest I Multi Asset Defensive 28M€ 3 2,22% 2,56% -1,24% 0,70% 4,15% -6,18% - - -
126 CX Mixt Internacional Plus FI 27M€ 3 3,68% 1,82% -3,19% 1,19% 3,48% -5,28% 2,01% 3,28% -5,28%
127 Dalmatian FI 26M€ 5 4,26% 1,80% -0,67% 1,49% 3,37% -4,93% 2,85% 3,13% -4,93%
128 Harmatan Cartera Conservadora FI 26M€ 3 3,14% 1,68% -0,78% 0,12% 3,55% -6,53% 1,60% 3,23% -6,53%
129 Incometric Dunas Patrimonio 26M€ 5 6,84% 3,29% -1,40% 3,04% 9,91% -13,46% 4,67% 8,10% -13,46%
130 Foncess Flexible FI 25M€ 5 3,89% 1,87% -0,71% 1,59% 4,00% -6,01% 3,04% 3,69% -6,01%
131 Noray Moderado FI 25M€ 3 - - - - - - - - -
132 Robeco QI Global Cnsrv Multi-Asset 24M€ 4 - - - - - - - - -
133 Ibercaja Renta Internacional FI 23M€ 4 1,03% 4,37% -3,22% 2,13% 6,62% -8,73% 3,51% 5,78% -8,73%
134 CX Mixt Internacional FI 23M€ 3 2,48% 1,75% -3,32% 0,42% 3,48% -6,09% 1,34% 3,25% -6,09%
135 Mutuafondo Inversión&Cooperación FI 22M€ 3 0,97% 0,93% -0,45% 0,69% 1,39% -2,23% 1,65% 1,40% -2,23%
136 Schroder ISF Global Multi-Asset Cnsrv 22M€ 3 1,58% 1,43% -0,77% -0,16% 2,91% -5,41% 1,45% 2,71% -5,41%
137 Trea Cajamar Valor FI 21M€ 3 - - - - - - - - -
138 DNB SICAV Norway Investment Grade 18M€ 2 -3,89% 5,84% -6,18% - - - - - -
139 R4 Activa Tierra FI 18M€ 3 1,42% 0,53% -0,27% - - - - - -
140 Amundi Estrategia Global FI 16M€ 5 2,87% 2,42% -1,29% 1,50% 4,76% -7,29% 3,29% 4,12% -7,29%
141 BNP Paribas Renta Fija Mixta Global FI 15M€ 3 2,83% 2,22% -1,63% 1,49% 4,15% -5,84% 2,41% 3,44% -5,84%
142 Egeria Ahorro FI 15M€ 3 1,66% 1,14% -0,61% 0,26% 2,73% -4,48% - - -
143 Dinvalor Global FI 15M€ 3 1,16% 1,19% -0,56% 0,57% 2,79% -4,94% 1,61% 2,91% -4,94%
144 Bankinter IFS - Multifunds Conservative 14M€ 3 - - - - - - - - -
145 Legg Mason QS Invs Multi Asst € Cnsrv 13M€ 3 1,85% 3,83% -2,82% 2,82% 5,18% -6,05% 4,75% 4,66% -6,05%
146 EDM Valores Uno FI 12M€ 3 4,78% 1,73% -0,73% 2,70% 3,27% -3,71% 3,50% 2,81% -3,71%
147 Quaero Capital Global Conservative 11M€ 3 4,23% 2,28% -1,23% 2,18% 4,43% -6,34% 3,04% 3,91% -6,34%
148 Caixabank Cartera Renta Activa FI 10M€ 3 1,04% 2,31% -0,76% 0,41% 3,30% -6,15% - - -
149 Gestión Boutique Ginvest Mediter. Ah. FI 10M€ 3 3,27% 1,72% -0,52% 2,00% 4,34% -6,62% - - -
150 CS Director Bond Focus FI 9M€ 3 0,84% 2,49% -1,72% 1,40% 3,43% -4,38% 1,57% 3,01% -4,38%
151 R4 Activa Agua FI 9M€ 5 3,14% 1,61% -0,67% - - - - - -
152 Sabadell Fd SICAV Capital Appreciation 3 8M€ 4 1,28% 3,45% -2,49% 2,78% 6,18% -7,62% 2,24% 5,24% -7,62%
153 BNP Paribas Gestión Moderada FI 8M€ 3 2,68% 1,66% -0,90% 1,82% 3,52% -4,68% 3,14% 3,19% -4,68%
154 Renta 4 Multigestión Atlántida RFM I. FI 6M€ 3 2,10% 1,70% -1,29% - - - - - -
155 UBS (Lux) KSS ActvAllcDefensv 5M€ 3 - - - - - - - - -
156 Fonmaster 1 FI 4M€ 7 3,08% 1,87% -0,94% 2,18% 2,82% -3,34% 3,23% 2,78% -3,34%
157 Gestifonsa Cartera Premier 25 FI 4M€ 4 - - - - - - - - -
158 Millennial Fund FI 4M€ 4 8,23% 3,90% -1,63% - - - - - -
159 Mediolanum Pf Active 10 4M€ 3 -4,60% 2,37% -4,65% -0,15% 4,12% -7,44% -0,24% 3,72% -7,44%
160 Mediolanum Moderate Fund S 3M€ 3 -0,07% 2,36% -2,25% 0,30% 4,01% -5,62% 1,86% 3,46% -5,62%
161 Gestión Boutique II Sassola Base FI 3M€ 3 4,24% 1,71% -0,79% - - - - - -
162 Dolphin Investments Fund FI 3M€ 4 -0,19% 0,84% -0,57% - - - - - -
163 PBP Alpes Conservador FI 3M€ 2 0,60% 0,49% -0,25% - - - - - -
164 Merchbanc SICAV Merch-Fontema 3M€ 3 2,25% 1,79% -0,76% - - - - - -
165 Gestifonsa Cartera Premier 10 FI 2M€ 3 - - - - - - - - -
166 Medcorrent FI 2M€ 3 -1,08% 2,63% -8,50% -2,76% 4,81% -11,07% -0,62% 3,86% -11,07%
167 Incometric Investore Fundamentals 2M€ 5 8,17% 4,92% -2,72% 2,28% 8,21% -14,13% 1,31% 7,68% -14,13%
168 Gestión Boutique Yeste Patrimonial FI 2M€ 4 1,96% 1,74% -0,56% 0,73% 3,47% -6,68% - - -
169 Incometric European Sectors (EUR) 2M€ 5 13,61% 9,25% -5,04% 2,09% 6,99% -11,10% 1,58% 5,86% -11,10%
170 Esfera Renta Fija Mixta Global FI 1M€ 3 0,96% 1,43% -0,91% - - - - - -
171 CA BP Prime Moderado FI 1M€ 3 - - - - - - - - -
172 Irish Life Intl Caut Managed Euro 1M€ - 3,86% 2,90% -1,98% 3,35% 5,96% -6,20% 4,11% 4,88% -6,20%
173 Santander Multi Index Substance 1M€ 3 -1,23% - - - - - - - -
174 Renta 4 Multigestión 2 Sant Ignasi Fd FI 1M€ 4 -3,29% 5,79% -7,30% - - - - - -
175 ILI JPMorgan Global Capital Presv EUR 0M€ - 10,41% 5,75% -4,99% 3,32% 5,28% -9,26% 4,98% 4,89% -9,26%
176 Premium JB Moderado FI CPE 0M€ - 0,01% 0,01% -20,61% - - - - - -
177 Best Choice Conservative 0M€ 4 -27,89% 9,16% -26,23% -13,09% 6,90% -32,67% - - -
178 ILI Carmignac Cash Plus EUR 0M€ - 2,10% 0,81% -0,27% 0,12% 1,95% -4,79% 1,40% 2,33% -4,79%
179 Premium JB Moderado FI 0M€ 3 -20,55% 11,04% -17,92% -7,49% 7,19% -21,78% -2,39% 5,90% -21,78%

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.