Listado de fondos de

RV India

Renta Variable - RV India

Fondos que invierten principalmente en renta variable India. Invierten al menos el 75% del patrimonio en renta variable, y al menos el 75% de ésta en empresas de India.

Patrimonio

14.066 M€

Fondos

35 192 clases

Gestoras

Riesgo

Rentabilidades de los fondos

Rentabilidad anualizada


Listado de todos los fondos

Rentabilidad anualizada

# Fondo Patrimonio Riesgo Rentabilidad Volatilidad DrawDown
1 GS India Equity Portfolio 2.298M€ 6 9,02% 13,77% -3,18% 6,43% 16,96% -21,18% 17,42% 20,25% -25,68%
2 Aberdeen Global Indian Equity Fund 2.278M€ 6 3,44% 13,08% -4,73% 1,50% 15,64% -22,55% 11,83% 17,91% -22,55%
3 HSBC GIF Indian Equity 1.561M€ 6 5,74% 13,20% -5,19% 0,21% 17,80% -34,32% 7,69% 22,78% -35,79%
4 Fidelity India Focus Fund 1.494M€ 6 5,17% 12,32% -4,00% 2,34% 16,14% -23,41% 12,01% 18,59% -23,64%
5 Lyxor MSCI India ETF 1.385M€ 6 4,14% 14,82% -4,94% -0,39% 15,84% -25,42% 7,81% 17,99% -25,42%
6 PineBridge India Equity Fund 1.279M€ 6 -0,12% 15,08% -8,79% 4,11% 15,02% -15,63% 17,36% 18,82% -21,39%
7 JPM India Fund 981M€ 6 1,66% 12,55% -4,13% 0,26% 16,78% -23,50% 8,89% 18,95% -23,50%
8 Amundi Fds SBI FM Equity India 765M€ 6 8,25% 13,44% -4,09% 2,96% 17,32% -23,99% 12,71% 19,40% -23,99%
9 Parvest Equity India 754M€ 6 1,91% 13,37% -6,90% -0,09% 16,63% -25,27% 10,49% 18,54% -25,27%
10 MS INVF Indian Equity Fund 590M€ 6 0,30% 12,93% -3,83% 5,04% 16,52% -21,64% 14,32% 18,52% -24,87%
11 BGF India Fund 543M€ 6 2,44% 14,69% -6,37% 4,42% 16,62% -22,53% 13,38% 19,12% -25,78%
12 Schroder ISF Indian Equity 516M€ 6 6,23% 11,32% -4,10% 3,76% 14,87% -21,10% 13,09% 16,73% -21,10%
13 Nordea 1 - Indian Equity Fund 427M€ 6 2,82% 14,23% -5,28% 5,25% 15,97% -22,63% 13,95% 17,20% -22,63%
14 Invesco India Equity Fund 400M€ 6 3,80% 12,42% -4,15% 6,09% 16,06% -20,94% 14,74% 18,47% -23,88%
15 Jupiter India Select 319M€ 6 -2,81% 17,33% -10,37% 5,98% 21,05% -22,53% 14,29% 21,78% -29,46%
16 AB SICAV I India Growth Portfolio 272M€ 6 8,41% 13,51% -3,36% 3,64% 17,81% -27,15% 13,69% 21,08% -29,70%
17 Pictet-Indian Equities 271M€ 6 4,38% 13,09% -5,35% 3,59% 15,40% -23,70% 13,37% 18,34% -24,56%
18 Nomura Fds India Equity Fund 244M€ 6 12,16% 13,26% -3,24% 10,97% 16,42% -20,28% 16,50% 18,77% -25,81%
19 Comgest Growth India 229M€ 6 0,53% 13,89% -6,44% 3,85% 16,51% -24,28% 14,44% 20,95% -30,86%
20 Schroder ISF Indian Opportunities 194M€ 6 9,87% 11,50% -2,14% 4,92% 15,50% -18,79% - - -
21 DWS India 154M€ 6 3,69% 11,99% -4,40% 1,46% 15,31% -24,17% 9,54% 18,51% -24,74%
22 Mirae Asset India Sector Leader Eq Fd 139M€ 6 4,87% 12,72% -4,71% 4,29% 15,61% -23,37% 13,98% 18,45% -23,37%
23 EdR India 122M€ 6 8,99% 13,48% -3,45% 0,33% 15,61% -25,84% 10,97% 17,36% -25,84%
24 Pictet-India Index 106M€ 6 5,54% 14,78% -4,69% 0,91% 15,82% -24,53% 8,92% 17,98% -24,53%
25 Matthews Asia Funds India 88M€ 6 3,65% 12,16% -4,93% 1,92% 14,20% -23,07% 14,44% 19,05% -27,26%
26 SLI Indian Equity Midcap Opps Fd 70M€ 6 8,73% 16,14% -4,85% 5,78% 19,55% -31,89% 11,92% 21,07% -31,89%
27 IDFC India Equities Fund 66M€ 6 29,98% 13,80% -15,40% 22,53% 18,13% -20,81% - - -
28 Amundi Fds SBI FM Equity India Select 51M€ 6 0,30% 11,64% -7,03% 2,48% 16,52% -21,95% 10,95% 19,11% -25,50%
29 Amundi Fds II Indian Equity 49M€ 6 -1,42% 14,41% -4,54% -1,02% 15,25% -21,66% 8,23% 17,54% -23,23%
30 Robeco Indian Equities 34M€ 6 3,99% 13,88% -6,16% 1,29% 15,75% -24,98% 10,85% 17,83% -24,98%
31 GAM Star India Equity 27M€ 6 1,01% 12,75% -5,38% 3,47% 14,74% -18,87% - - -
32 Baring India Fund 19M€ 6 19,07% 13,87% -5,10% 11,87% 18,45% -22,61% 14,49% 19,20% -24,68%
33 Invesco India All-Cap Equity Fund 18M€ 6 3,62% 12,24% -5,19% - - - - - -
34 Jyske Invest Indian Equities CL 7M€ 6 6,32% 13,63% -4,67% 1,47% 15,79% -24,54% 10,36% 18,00% -24,54%
35 ILI Franklin India EUR 1M€ - 1,36% 12,88% -8,33% 2,12% 16,24% -23,65% 12,66% 20,52% -28,68%

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.