Nombre | Gestora | Categoría | | | | Distribuido por | |
|---|
| OFI Invest Asset Management | Materias Primas - Metales Preciosos | 38,93% | 6,55% | | | |
| OFI Invest Asset Management | Materias Primas - Industria y Metales | 14,98% | — | | | |
| OFI Invest Asset Management | RF Convertibles Europa | 9,59% | 2,95% | | | |
| OFI Invest Asset Management | RF Deuda A Plazo Fijo | 5,35% | — | | | |
| OFI Invest Asset Management | RF Bonos Alto Rendimiento EUR | 5,15% | 3,60% | | | |
| OFI Invest Asset Management | RF Deuda Corporativa EUR | 4,21% | 0,30% | | | |
| OFI Invest Asset Management | RF Deuda Corporativa Corto Plazo EUR | 3,22% | 1,59% | | | |
| OFI Invest Asset Management | Mercado Monetario EUR | 2,65% | 1,79% | | | |
| OFI Invest Asset Management | Mercado Monetario Corto Plazo EUR | 2,56% | 1,66% | | | |
| OFI Invest Asset Management | RV Sector Ecología | 1,85% | 4,54% | | | |