Nombre | Gestora | Categoría | | | | |
---|
| Aegon Investment Management BV | RV Global Alto Dividendo | 16,13% | 8,81% | | |
---|
| Aegon Investment Management BV | RF Global Emergente | 12,93% | 1,27% | | |
---|
| Aegon Investment Management BV | Mixtos Moderados EUR - Global | 12,76% | 3,51% | | |
---|
| Aegon Investment Management BV | RF Bonos Alto Rendimiento EUR | 11,62% | 3,35% | | |
---|
| Aegon Investment Management BV | RF Bonos Alto Rendimiento Global | 11,16% | 2,76% | | |
---|
| Aegon Investment Management BV | RF Otros | 8,14% | 1,85% | | |
---|
| Aegon Investment Management BV | RF Flexible Global-GBP Cubierto | 4,86% | 1,08% | | |
---|
| Aegon Investment Management BV | RF Flexible Global-USD Cubierto | 4,63% | 1,16% | | |
---|
| Aegon Investment Management BV | RF Deuda Pública EUR | 4,30% | -1,82% | | |
---|
| Aegon Investment Management BV | RF Global - GBP Cubierto | 4,06% | - | | |
---|
| Aegon Investment Management BV | RV Global Cap. Flexible | 3,90% | 7,76% | | |
---|
| Aegon Investment Management BV | RF Deuda Corporativa Global - USD Cubierto | 2,12% | -1,00% | | |
---|