Listado de fondos de

RF Flexible Global

Renta Fija - RF Global

Global Flexible Bond funds have the flexibility to invest across a range of bond types and can exhibit significant risk concentrations. Such concentrations may include, but are not limited to, large exposures to non-investment grade and emerging-markets debt. The funds may take unlimited foreign currency exposure as part of their investment programme.

Patrimonio

14.843 M€

Fondos

56 332 clases

Gestoras

Riesgo

Rentabilidades de los fondos

Rentabilidad anualizada


Listado de todos los fondos

Rentabilidad anualizada

# Fondo Patrimonio Riesgo Rentabilidad Volatilidad DrawDown
1 MS INVF Global Fixed Income Opps Fd 3.508M€ - 4,35% 2,67% - - - - - - -
2 Schroder ISF Glbl Crdt Inc (USD) 1.967M€ - 13,88% 4,84% - - - - - - -
3 T. Rowe Price Dynamic Global Bond Fund 1.099M€ - -1,65% 4,53% - -3,32% 6,43% - - - -
4 Amundi Oblig Internationales 1.061M€ - 18,53% 3,18% - 3,68% 5,04% - 5,21% - -
5 Amundi Fds Optimal Yield Short Term 827M€ - 2,71% 2,78% - - - - - - -
6 Capital Group Global High Inc Opps (LUX) 822M€ - 12,83% 6,37% - 5,36% 7,30% - 6,14% - -
7 Legg Mason WA Multi-Asset Credit Fund 671M€ - -5,50% 3,61% - - - - - - -
8 Legg Mason WA Global Multi Strategy Fund 594M€ - 15,62% 4,01% - 4,99% 5,62% - 6,81% - -
9 Mirabaud Global Strategic Bond Fund 506M€ - 1,00% 2,49% - 0,35% 2,96% - 0,73% - -
10 Nomura Fds Global Dynamic Bond Fund 487M€ - 18,72% 4,19% - 7,96% 7,10% - - - -
11 Fidelity Global Income Fund 446M€ - 13,78% 4,92% - 4,95% 5,97% - 6,28% - -
12 BNY Mellon Global Dynamic Bond Fund 437M€ - 13,64% 3,50% - 4,35% 6,99% - 6,26% - -
13 Schroder ISF Global Multi Credit 403M€ - 5,95% 3,99% - 2,10% 3,49% - - - -
14 Franklin Flexible Alpha Bond Fund 394M€ - 8,00% 5,78% - 2,43% 6,66% - - - -
15 CS (Lux) Multimanager Enh Fxd Inc USD Fd 341M€ - 5,50% 5,24% - 1,48% 4,32% - 1,87% - -
16 Amundi Fds Global Total Return Bond 303M€ - 17,38% 2,94% - 2,62% 6,30% - - - -
17 LO Funds Global BBB-BB Fundamental 276M€ - 15,19% 4,97% - 5,25% 6,32% - - - -
18 Eurizon Global Multi Credit 241M€ - 5,36% 3,47% - - - - - - -
19 Sextant Bond Picking 236M€ - 2,83% 1,54% - - - - - - -
20 Fidelity Global Strategic Bond Fund 235M€ - 3,74% 2,93% - 0,45% 2,31% - 0,44% - -
21 CS (Lux) AgaNola Global Value Bond Fund 227M€ - 2,61% 1,55% - 0,55% 2,42% - 0,74% - -
22 Neuberger Berman Glb Bd Abs Ret 98M€ - 3,98% 6,20% - 1,49% 6,54% - 3,24% - -
23 Waverton Global Strategic Bond Fund 94M€ - 2,85% 7,16% - -0,15% 5,32% - -1,44% - -
24 Legg Mason BW Global Income Optimiser Fd 88M€ - 5,95% 4,86% - 1,92% 4,01% - 1,56% - -
25 Lord Abbett Global Multi Sector Bond Fd 61M€ - 13,77% 4,24% - 4,16% 6,73% - 6,37% - -
26 Caixabank Renta Fija Selección Global FI 54M€ 3 3,53% 2,95% - -0,26% 3,26% - 0,91% - -
27 AXA WF Global Short Duration Bds 51M€ - 1,52% 1,65% - - - - - - -
28 JPM Quantitative Flexible Bond Fund 28M€ - - - - - - - - - -
29 Invesco Strategic Income Fund 25M€ - -2,31% 2,91% - -4,10% 2,16% - - - -
30 Schroder ISF Global Credit Value 21M€ - 7,33% 5,94% - - - - - - -
31 Legg Mason WA Short Dur Hi Inc Bd Fd 19M€ - 9,15% 5,94% - 4,91% 8,49% - 6,34% - -
32 Mirae Asset Global Dynamic Bond Fund 19M€ - 12,39% 3,29% - - - - - - -
33 EdRF Quantitative Bond Opportunities 7M€ - -7,49% 3,11% - - - - - - -
34 Threadneedle (Lux) Global Strategic Bond 2M€ - 7,23% 3,40% - -0,47% 4,93% - 2,15% - -
35 Gestión Boutique III Dolat RF Int. FI 1M€ 5 6,80% 6,87% - - - - - - -
36 Santander Gestión Dinámica 1 FI 0M€ 3 - - - - - - - - -
37 BNY Mellon Targeted Return Bond Fund 0M€ - 0,19% 7,04% - -2,02% 7,64% - - - -
38 HSBC GIF Global Bond Total Return 0M€ - 14,74% 3,86% - 4,17% 6,81% - - - -
39 Janus Henderson Horizon Strategic Bd Fd 0M€ - 16,42% 5,68% - - - - - - -

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.