Listado de fondos de

RF Bonos Alto Rendimiento EUR

Renta Fija - Renta Fija Alto Rendimiento

Fondos que invierten en títulos de alta rentabilidad denominados o cubiertos en euros. Estos fondos invierten al menos el 40% de su patrimonio en títulos con un rating BB, o más bajo.

Patrimonio

103.261 M€

Fondos

70 526 clases

Gestoras

Riesgo

Rentabilidades de los fondos

Rentabilidad anualizada


Listado de todos los fondos

Rentabilidad anualizada

# Fondo Patrimonio Riesgo Rentabilidad Volatilidad DrawDown
1 Nordea 1 - European High Yield Bond Fund 4.102M€ 3 -2,60% 3,17% - 4,01% 2,68% - 4,42% - -
2 Fidelity European High Yield Fund 2.813M€ 3 -8,85% 5,52% - -1,31% 3,72% - -1,87% - -
3 Fidelity European High Yield Fund 2.813M€ 3 -8,91% 5,90% - -1,32% 4,04% - -1,43% - -
4 Fidelity European High Yield Fund 2.813M€ 3 -8,73% 3,21% - -1,21% 3,05% - -1,73% - -
5 Fidelity European High Yield Fund 2.813M€ 3 -8,67% 3,31% - -1,22% 3,05% - -1,73% - -
6 Fidelity European High Yield Fund 2.813M€ 3 -5,16% 3,32% - 2,71% 3,07% - 2,42% - -
7 Fidelity European High Yield Fund 2.813M€ 3 -4,70% 3,30% - 3,24% 3,07% - 2,93% - -
8 Fidelity European High Yield Fund 2.813M€ 3 -5,41% 3,28% - 2,46% 3,06% - 2,16% - -
9 AXAIMFIIS Europe Short Duration HY 2.525M€ 2 -2,23% 2,09% - 1,46% 1,47% - 1,93% - -
10 Candriam Bds Euro High Yield 2.158M€ 3 -1,46% 2,86% - 4,20% 2,57% - - - -
11 Pictet-EUR Short Term High Yield 2.073M€ 2 -1,68% 1,44% - 0,88% 1,12% - 0,76% - -
12 UBS (Lux) BF Euro High Yield (EUR) 2.051M€ 3 -4,14% 3,17% - 2,93% 2,78% - 2,87% - -
13 DWS Invest Euro High Yield Corporates 1.802M€ 4 -2,91% 3,28% - - - - - - -
14 ODDO BHF Euro Credit Short Duration 1.744M€ 2 -4,76% 4,53% - -2,76% 4,24% - -3,23% - -
15 HSBC GIF Euro High Yield Bond 1.630M€ 3 -2,35% 2,70% - 3,43% 2,48% - 3,78% - -
16 Schroder ISF EURO High Yield 1.196M€ 3 -4,75% 4,17% - 3,57% 2,83% - 4,02% - -
17 MS INVF European Currencies HY Bd Fd 1.064M€ 3 -3,76% 3,23% - - - - - - -
18 Aberdeen Global Select Euro HY Bd Fd 882M€ 3 -4,09% 3,53% - 2,89% 2,28% - 3,61% - -
19 Amundi Fds II Optimal Yield 796M€ 3 -3,70% 3,31% - 3,29% 2,71% - 3,38% - -
20 Amundi Fds Bond Euro High Yield 786M€ 3 -3,04% 2,66% - 2,85% 2,82% - 3,17% - -
21 Muzinich Europeyield Fund 781M€ 3 -1,90% 2,79% - 4,38% 2,26% - 4,45% - -
22 JPM Europe High Yield Bond Fund 765M€ 3 -4,20% 3,30% - 2,36% 2,64% - 2,62% - -
23 Threadneedle European High Yield Bond Fd 749M€ 4 0,32% 2,34% - 3,55% 2,42% - - - -
24 DPAM L Bonds EUR High Yield Short Term 624M€ 2 -1,58% 1,09% - 1,84% 1,37% - 2,06% - -
25 Pictet-EUR High Yield 605M€ 3 -3,62% 3,31% - 3,19% 2,77% - 2,86% - -
26 Parvest Bond Euro High Yield 597M€ 3 -2,94% 2,87% - 2,72% 2,00% - 2,93% - -
27 ODDO BHF Euro High Yield Bond 575M€ 3 -5,89% 5,75% - -0,21% 4,55% - -1,16% - -
28 Franklin Euro High Yield Fund 535M€ 3 -7,20% 2,93% - -1,77% 2,39% - -2,04% - -
29 AB Euro High Yield Portfolio 506M€ 3 -7,22% 4,42% - 2,09% 3,33% - 1,86% - -
30 AB Euro High Yield Portfolio 506M€ 3 -6,75% 4,45% - 2,53% 3,33% - 2,31% - -
31 AB Euro High Yield Portfolio 506M€ 3 -6,25% 4,44% - 3,10% 3,33% - 2,87% - -
32 AB Euro High Yield Portfolio 506M€ 3 -7,71% 4,42% - 1,52% 3,32% - 1,29% - -
33 Natixis Euro High Income Fund 436M€ 3 -3,25% 3,22% - 3,27% 2,46% - 3,04% - -
34 Nordea 1 - European High Yield Bd Fd II 325M€ 3 -3,97% 3,26% - 5,25% 3,47% - 4,32% - -
35 T. Rowe Price European High Yield Bd Fd 298M€ 3 -7,27% 4,28% - 1,55% 3,26% - 3,35% - -
36 NN (L) European High Yield 297M€ 3 -3,70% 3,20% - 4,06% 3,57% - 2,43% - -
37 Amundi Fds Bond Euro High Yield S/T 294M€ 3 -2,20% 1,20% - 0,96% 1,37% - 0,58% - -
38 Robeco European High Yield Bonds 267M€ 3 -2,48% 2,96% - 4,39% 3,10% - 4,13% - -
39 Robeco European High Yield Bonds 267M€ 3 -2,97% 2,96% - 3,88% 3,10% - 3,62% - -
40 Robeco European High Yield Bonds 267M€ 3 -2,41% 2,96% - 4,48% 3,11% - 4,21% - -
41 Robeco European High Yield Bonds 267M€ - -3,20% 3,65% - 3,59% 3,28% - - - -
42 Janus Henderson Horizon Euro HY Bd Fd 245M€ 3 -1,19% 2,65% - 4,61% 2,45% - 4,73% - -
43 EdRF Euro High Yield 210M€ 3 -5,34% 3,95% - 2,21% 2,71% - 2,60% - -
44 Allianz Euro High Yield Bond 210M€ 3 -3,19% 2,74% - 2,77% 2,56% - 2,73% - -
45 Sabadell Euro Yield FI 178M€ 3 -3,38% 2,04% - 2,73% 2,62% - - - -
46 JPM Europe High Yield Short Dur Bd Fd 175M€ 3 -7,15% 3,68% - - - - - - -
47 DPAM L Bonds Higher Yield 170M€ 3 -7,45% 4,47% - -0,53% 4,72% - -0,77% - -
48 ESPA Bond Corporate BB 157M€ 3 -4,29% 2,76% - 2,15% 2,59% - 2,12% - -
49 ESPA Bond Corporate BB 157M€ 3 -6,50% 2,99% - -0,67% 3,76% - -1,18% - -
50 ESPA Bond Corporate BB 157M€ 3 -5,13% 2,62% - 1,19% 2,83% - 1,08% - -
51 EDM Intern. Credit Portfolio Fund 143M€ 3 -3,97% 2,62% - - - - - - -
52 Ibercaja High Yield FI 131M€ 3 -3,02% 2,28% - 1,13% 1,61% - 0,71% - -
53 M&G European High Yield Bond Fund 121M€ 3 -3,76% 2,93% - 2,07% 3,08% - 2,62% - -
54 Generali IS Total Return Euro High Yield 102M€ 4 -3,12% 1,53% - 0,45% 1,61% - 1,74% - -
55 GS Europe High Yield Bond Portfolio 87M€ 3 -4,11% 3,62% - 3,14% 2,55% - - - -
56 AXAWF European High Yield Bonds 83M€ 3 -4,30% 3,50% - - - - -2,76% - -
57 EDM Intern. High Yield Short Fund 81M€ 2 -1,59% 1,14% - - - - - - -
58 DPAM L Bonds EUR Corporate High Yield 75M€ 3 -2,65% 2,98% - 4,88% 2,93% - 5,93% - -
59 Oaktree (Lux) Funds-Eur Hi Yld Bd 65M€ 3 -2,55% 2,50% - 3,64% 2,10% - 3,42% - -
60 Gescooperativo Renta Fija High Yield FI 55M€ 4 -5,60% 3,25% - - - - - - -
61 Sabadell Rentas FI 53M€ 3 -3,75% 2,18% - 2,05% 2,15% - 1,03% - -
62 SLI European High Yield Bond Fund 33M€ 3 -3,06% 2,46% - 2,52% 2,26% - - - -
63 Neuberger Berman European HY Bd 25M€ 3 4,27% 6,01% - 4,06% 7,76% - - - -
64 Sabadell Bonos Alto Interés FI 24M€ 3 -6,81% 3,44% - 1,86% 3,11% - 1,23% - -
65 PrivilEdge TRowe Price Eur Hi Yld Bd 17M€ 3 -7,46% 3,95% - - - - - - -
66 Invesco Euro High Yield Bond Fund 13M€ 3 -2,28% 2,80% - - - - - - -
67 Nordea 1 - Low Dur Eurp Hi Yld Bd 11M€ 3 -3,42% - - - - - - - -
68 UBAM Euro High Yield Solution 8M€ 4 -2,74% 3,16% - - - - - - -
69 Amundi SICAV II Euro High Yield 1M€ 3 -6,59% 4,51% - -0,88% 4,88% - - - -
70 AXA IM Europe Short Duration High Yield 0M€ 2 -7,66% 4,82% - -3,28% - - - - -

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.