Listado de fondos de

RF Global

Renta Fija - RF Global

Fondos que invierten en una cartera diversificada de títulos de renta fija principalmente con grado de inversión y denominados en diversas monedas. No cubren sus posiciones en divisas de forma sistemática ni invierten de manera destacada en títulos de una moneda en concreto, lo que les haría estar incluidos en otra Categoría Morningstar de Renta Fija Global.

Patrimonio

38.410 M€

Fondos

80 500 clases

Gestoras

Riesgo

Rentabilidades de los fondos

Rentabilidad anualizada


Listado de todos los fondos

Rentabilidad anualizada

# Fondo Patrimonio Riesgo Rentabilidad Volatilidad DrawDown
1 Templeton Global Total Return Fund 16.187M€ 4 -4,75% 7,59% -12,38% -0,73% 11,07% -14,13% 1,86% 9,88% -14,13%
2 PIMCO GIS Global Bond Fund 8.934M€ 3 -3,61% 6,67% -10,43% 2,12% 7,38% -11,94% 5,24% 8,74% -11,94%
3 Legg Mason BW Global Sovereign Credit Fd 2.581M€ 4 -3,72% 2,44% -4,62% - - - - - -
4 M&G Global Macro Bond Fund 1.808M€ 4 -5,57% 4,07% -8,54% -0,47% 5,97% -10,53% 2,22% 6,51% -10,53%
5 SSGA State Street Glb Aggt Bd Idx Fd 1.534M€ 4 -4,38% 3,99% -7,86% 0,40% 4,88% -9,78% - - -
6 SSGA State Street Glb Trs Bd Idx Fd 1.469M€ 3 -1,66% 1,92% -1,70% 0,40% 2,87% -4,86% - - -
7 Carmignac Pf Unconstrained Global Bond 1.289M€ 4 -0,82% 1,99% -1,74% 2,22% 4,58% -4,69% 3,23% 6,12% -10,34%
8 Legg Mason BW Global Fixed Income Fund 1.077M€ 4 -2,81% 2,82% -5,20% 0,03% 5,81% -7,56% 2,26% 7,13% -10,54%
9 Aberdeen Global II Global Bond Fund 1.007M€ 3 -7,47% 4,35% -9,15% -2,21% 5,81% -10,18% 2,07% 6,27% -10,18%
10 KBC Bonds High Interest 761M€ 4 -6,46% 2,32% -5,58% -2,97% 4,58% -8,96% -1,44% 5,76% -11,45%
11 PIMCO GIS Global Advantage Fund 642M€ 3 -0,62% 1,35% -1,00% 1,23% 3,55% -4,80% 1,50% 4,01% -6,31%
12 GS Global Sovereign Bond Portfolio 623M€ 4 -2,30% 3,85% -5,33% - - - - - -
13 Legg Mason BW Global Oppc Fxd Inc Fd 621M€ 4 -3,21% 2,73% -4,89% -0,00% 5,98% -7,91% 2,08% 7,49% -11,39%
14 MS INVF Global Bond Fund 592M€ 3 -3,10% 3,16% -5,70% 0,94% 4,65% -6,62% 3,25% 5,91% -6,62%
15 PIMCO GIS Global Libor Plus Bond Fund 573M€ 3 -2,29% 6,82% -7,65% - - - - - -
16 T. Rowe Price Dynamic Global Inv Grd Bd 535M€ 1 - - - - - - - - -
17 Amundi Fds II Global Aggregate Bond 497M€ 4 -5,11% 3,53% -8,18% -1,51% 4,62% -11,81% 1,44% 5,90% -11,81%
18 Threadneedle Global Bond Fund 476M€ 4 -5,87% 3,20% -9,30% -1,50% 6,17% -13,09% 1,37% 6,52% -13,09%
19 Allianz Advanced Fixed Income Glbl Aggt 476M€ 4 -4,40% 3,49% -7,10% 0,09% 4,86% -9,45% 2,33% 6,19% -9,45%
20 Euromobiliare IF - Multi Income F4 466M€ 4 -0,73% 1,56% -1,79% 0,29% 3,80% -8,01% 1,40% 3,79% -8,01%
21 DPAM L Bonds Universalis Unconstrained 452M€ 5 0,69% 2,15% -1,82% 1,86% 4,31% -5,39% 2,87% 5,39% -7,44%
22 iShares World ex-Eur Govt Bd Idx Fd (IE) 450M€ 4 -5,75% 5,08% -10,78% 0,36% 6,32% -14,26% 2,22% 7,78% -14,26%
23 Newton International Bond Fund 413M€ 4 -4,80% 3,44% -7,50% -0,03% 5,32% -10,66% 1,71% 6,77% -10,66%
24 Mediolanum Ch Intl Bond 410M€ 4 -7,62% 4,92% -11,34% -1,77% 6,24% -16,04% 0,39% 8,14% -16,04%
25 PIMCO GIS Global Bond ESG Fund 352M€ 3 -1,38% 6,49% -6,33% - - - - - -
26 BNPP L1 Bond World Plus 341M€ 4 -4,77% 3,49% -7,18% -2,69% 5,53% -12,20% -0,73% 6,80% -13,20%
27 Capital Group Global Bond Fund (LUX) 329M€ 3 -5,39% 6,25% -11,40% - - - - - -
28 iShares Global Government Bd Idx Fd (LU) 289M€ 4 -4,02% 3,85% -7,29% 0,45% 5,12% -10,91% 2,34% 6,08% -10,91%
29 Amundi Fds Bond Global 278M€ 4 -2,13% 3,04% -3,69% 1,14% 5,49% -4,87% 3,82% 6,59% -7,41%
30 Invesco Bond Fund 276M€ 3 -5,16% 3,83% -7,40% 0,47% 4,89% -7,82% 3,68% 6,49% -7,82%
31 JSS Short-Term Bond Global Opportunistic 268M€ 2 -2,57% 0,81% -1,98% -0,36% 1,46% -1,98% - - -
32 Aberdeen Global World Government Bond Fd 248M€ 3 -3,66% 4,24% -7,82% -0,39% 5,30% -8,68% - - -
33 LO Funds Global Climate Bond 236M€ 3 -10,67% 4,03% -11,53% - - - - - -
34 SLI Global Bond Fund 214M€ 3 -4,89% 3,87% -8,00% -0,92% 4,95% -12,75% 1,42% 6,08% -12,75%
35 Mediolanum Ch Intl Income 211M€ 2 -3,53% 0,39% -3,57% -2,61% 0,74% -7,50% -1,90% 0,77% -9,11%
36 VP DWS Internationale Renten 208M€ 4 -4,82% 3,44% -7,41% 0,40% 5,33% -11,11% 2,21% 6,45% -11,11%
37 HSBC GIF Global Bond 199M€ 3 -4,74% 3,65% -7,88% -0,19% 4,85% -9,65% 2,55% 6,23% -9,65%
38 NEF Global Bond 193M€ 4 -2,32% 3,01% -3,76% -0,37% 5,31% -6,09% 2,57% 6,49% -7,03%
39 Aberdeen Global II Global Govt Bd Fd 178M€ 4 -6,41% 4,01% -8,88% -2,21% 5,88% -12,20% 1,51% 6,28% -12,20%
40 PrivilEdge H2O Hi Con Bds 176M€ 5 19,57% 10,64% -4,58% - - - - - -
41 Loomis Sayles Global Opportunistic Bd Fd 175M€ 4 -3,70% 3,70% -6,83% 0,86% 4,85% -7,90% 2,36% 6,00% -7,90%
42 JPM Global Aggregate Bond Fund 158M€ 4 -3,68% 4,32% -6,05% - - - - - -
43 Eurizon Bond International LTE 148M€ 4 -4,51% 4,23% -8,23% 0,24% 5,35% -11,86% 2,34% 6,56% -11,86%
44 Allianz Green Bond 147M€ 3 -1,18% 1,47% -1,46% - - - - - -
45 GAM Star Dynamic Global Bond 137M€ 5 0,38% 8,36% -7,43% -0,61% 8,46% -15,44% 0,15% 7,34% -16,51%
46 Pictet-Global Bonds 131M€ 4 -4,54% 3,76% -7,19% 0,72% 5,35% -10,29% 2,59% 6,58% -10,29%
47 NN (L) Global Bond Opportunities 122M€ 3 -7,39% 4,15% -6,13% -2,70% 4,68% -7,91% -0,27% 5,07% -8,44%
48 Neuberger Berman Global Bond Fund 121M€ 4 -4,20% 3,89% -7,16% - - - - - -
49 GS Global Fixed Income Portfolio 105M€ 3 -4,05% 4,12% -7,69% 0,71% 4,78% -8,83% 2,85% 5,63% -8,83%
50 Nordea 1 - Global Bond Fund 104M€ 4 -4,54% 3,74% -7,52% 0,24% 5,44% -11,37% 2,90% 6,63% -11,37%
51 Franklin Global Aggregate Bond Fund 98M€ 3 -5,38% 3,42% -7,90% -1,40% 5,58% -11,57% 1,88% 7,11% -11,77%
52 AXAWF Planet Bonds 93M€ 3 -1,78% 1,89% -1,71% - - - - - -
53 Parvest Bond World 93M€ 4 -4,55% 3,68% -7,53% -1,03% 5,22% -9,57% 1,31% 6,26% -9,60%
54 BNY Mellon Global Opportunistic Bond Fd 92M€ 3 -5,23% 5,76% -9,86% -1,38% 7,86% -11,59% 1,95% 8,49% -13,69%
55 G Fund Global Breakeven Inflation 81M€ 4 - - - - - - - - -
56 M&G Global Government Bond Fund 70M€ 4 -3,57% 2,88% -5,44% 2,19% 5,12% -6,70% 2,81% 7,43% -10,02%
57 Candriam Bds Global Sovereign Quality 66M€ 2 -1,92% 0,79% -1,59% -0,76% 1,37% -3,75% 0,07% 1,72% -3,75%
58 UBS (Lux) BS Currency Diversifier (USD) 61M€ - -3,38% 8,24% -3,72% -2,53% 7,79% -20,39% -1,15% - -
59 Barings International Bond Fund 57M€ 4 -4,93% 3,60% -7,60% -1,38% 5,11% -12,15% 0,61% 6,24% -12,15%
60 Candriam SRI Bond Global 50M€ 3 -4,31% 3,85% -7,35% - - - - - -
61 Deutsche Invest I Global Bonds Dyn Plus 50M€ 3 -0,56% 3,30% -2,95% 0,26% 2,40% -2,95% 2,85% 2,74% -2,96%
62 Uni-Global Total Return Bonds 49M€ 3 -6,05% 6,44% -11,97% - - - - - -
63 Metzler Sovereign Select LCR 36M€ 3 -0,32% 4,56% -4,74% - - - - - -
64 KBC Bonds Capital Fd 36M€ 3 -3,40% 3,35% -6,16% 0,20% 4,44% -9,20% 2,36% 5,36% -9,20%
65 Capital Group Global Interm Bd Fd (LUX) 23M€ 2 -5,37% - - - - - - - -
66 Pictet-Global Bonds Fundamental 19M€ 4 -3,20% 2,26% -5,26% -1,14% 4,45% -8,48% -0,01% 5,39% -9,60%
67 Value Tree Best Bonds 17M€ 3 -1,19% 1,24% -1,57% - - - - - -
68 F&C Macro Global Bond Fund (£) 15M€ 4 -0,70% 10,28% -14,81% - - - - - -
69 Franklin Global Government Bond Fund 14M€ 3 -2,21% 6,18% -1,24% 7,48% 7,49% -6,75% - - -
70 State Street Global Green Bond Index Fd 10M€ 3 3,26% 3,77% -2,09% - - - - - -
71 Franklin Global Agg Invmt Grd Bd Fd 9M€ 3 -5,73% 3,65% -8,55% -1,35% 5,51% -11,06% 2,10% 6,99% -12,05%
72 Sabadell Bonos Internacional FI 9M€ 4 -5,00% 4,07% -7,46% -0,91% 5,01% -8,89% 1,78% 6,31% -9,51%
73 Candriam Sust World Bonds 8M€ 4 -4,13% 3,74% -6,78% -0,68% 4,56% -8,72% 1,75% 5,57% -8,72%
74 Caixabank Multidivisa FI 7M€ 3 -3,27% 3,54% -3,85% -1,73% 2,57% -5,71% 2,31% 4,88% -7,46%
75 Ibercaja Internacional FI 6M€ 4 -1,62% 3,63% -4,91% 1,53% 5,52% -6,33% 0,84% 5,33% -6,33%
76 ILI Templeton Global Bond EUR 1M€ - -5,98% 7,18% -12,89% -1,12% 12,04% -15,32% 1,73% 10,57% -15,32%
77 ILI Templeton Global Income USD 1M€ - -1,71% 8,43% -9,39% 0,10% 12,16% -16,28% 4,82% 10,83% -16,28%
78 Aberdeen Global Global Government Bd Fd 0M€ 4 -4,63% 4,20% -8,25% -0,28% 5,27% -12,20% 1,85% 6,21% -12,20%
79 Aberdeen Global Global Bond Fund 0M€ 3 -4,88% 4,48% -8,50% -0,20% 5,14% -10,18% 2,30% 6,21% -10,18%
80 Weisshorn Funds UCITS Global Bonds 0M€ 4 -0,12% 1,88% -1,75% - - - - - -

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.