Nombre | Gestora | Categoría | | | | Patrimonio del fondo | |
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| Aegon Investment Management BV | RF Otros | 7,71% | 1,84% | | 5.671,3M€ | |
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| Aegon Investment Management BV | RF Global - GBP Cubierto | 3,93% | - | | 934,8M€ | |
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| Aegon Investment Management BV | RV Global Alto Dividendo | 16,86% | 8,93% | | 740,4M€ | |
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| Aegon Investment Management BV | RF Deuda Pública EUR | 4,08% | -1,80% | | 674,8M€ | |
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| Aegon Investment Management BV | RF Bonos Alto Rendimiento Global | 10,69% | 2,69% | | 550,3M€ | |
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| Aegon Investment Management BV | RV Global Cap. Flexible | 5,40% | 7,74% | | 353,9M€ | |
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| Aegon Investment Management BV | RF Bonos Alto Rendimiento EUR | 11,54% | 3,33% | | 326,5M€ | |
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| Aegon Investment Management BV | RF Global Emergente | 12,81% | 1,33% | | 292,5M€ | |
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| Aegon Investment Management BV | RF Flexible Global-USD Cubierto | 4,05% | 1,08% | | 238,3M€ | |
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| Aegon Investment Management BV | RF Deuda Corporativa Global - USD Cubierto | 1,60% | -1,04% | | 231,4M€ | |
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| Aegon Investment Management BV | RF Flexible Global-GBP Cubierto | 4,74% | 1,05% | | 190,5M€ | |
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| Aegon Investment Management BV | Mixtos Moderados EUR - Global | 12,80% | 3,54% | | 119,6M€ | |
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