Nombre | Gestora | Categoría | | | | Patrimonio del fondo | |
---|
| Tikehau Investment Management | RF Deuda Corporativa Corto Plazo EUR | 4,11% | 1,88% | | 2.748,6M€ | |
| Tikehau Investment Management | RF Deuda A Plazo Fijo | 6,08% | 3,61% | | 1.134,0M€ | |
| Tikehau Investment Management | RF Bonos Alto Rendimiento EUR | 7,66% | 4,45% | | 381,9M€ | |
| Tikehau Investment Management | EUR Subordinated Bond | 8,63% | 3,73% | | 374,0M€ | |
| Tikehau Investment Management | Mixtos Flexibles EUR - Global | 5,43% | 2,63% | | 352,2M€ | |
| Tikehau Investment Management | RF Deuda A Plazo Fijo | 7,38% | — | | 186,1M€ | |
| Tikehau Investment Management | RF Deuda A Plazo Fijo | 3,85% | — | | 159,9M€ | |
| Tikehau Investment Management | RV Global Cap. Grande Blend | -0,64% | 8,12% | | 29,7M€ | |
| Tikehau Investment Management | RF Bonos Alto Rendimiento Global - EUR Cubierto | 5,86% | — | | 22,2M€ | |
| Tikehau Investment Management | RV Europa Cap. Grande Blend | 12,70% | — | | 17,4M€ | |
| Tikehau Investment Management | RF Deuda A Plazo Fijo | - | — | | 11,8M€ | |