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| Buscador de Fondos de Inversión |
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| Puede acceder a la ficha de un fondo de inversión
seleccionándolo en el desplegable de la búsqueda simple, o puede realizar una
búsqueda avanzada de fondos de inversión elegiendo uno o varios de los
siguientes criterios: Gestora, Sector, Riesgo y Divisa.
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Gestora:
AHORRO CORPORACION GESTION, SGIIC, SA
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Fondo
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Sector
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Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
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SELECTIVA ESPAÑA
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Renta Variable Euro |
20,0967 € (20-05) |
+40.86% |
7  |
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AC INVERSION SELECTIVA
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Fondos Globales |
18,6463 € (17-05) |
+37.85% |
7  |
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AC EUROSTOXX 50
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IIC de Gestión Pasiva |
14,0649 € (20-05) |
+35.63% |
7  |
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AC IBEX 35
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IIC de Gestión Pasiva |
18,7114 € (20-05) |
+35.26% |
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SELECTIVA EUROPA FI
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Renta Variable Internacional |
6,7296 € (17-05) |
+34.26% |
7  |
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CAI BOLSA 10 FI
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Renta Variable Euro |
4,5818 € (20-05) |
+32.15% |
7  |
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AC S&P 500 INDICE FI
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IIC de Gestión Pasiva |
7,0859 € (20-05) |
+28.93% |
7  |
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AHORROFONDO FI
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Renta Variable Mixta Euro |
45,4414 € (20-05) |
+23.72% |
5  |
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AC INVERSION SELEC MODERADO
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Renta Variable Mixta Internacional |
11,4791 € (20-05) |
+22.38% |
4  |
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FONDO 3 PATRIMONIO, FI
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Renta Variable Mixta Internacional |
5,8546 € (20-05) |
+19.68% |
4  |
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AC EUROMIX FI
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Renta Variable Mixta Euro |
5,7071 € (20-05) |
+18.24% |
5  |
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AHORROFONDO 20 FI
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Renta Fija Mixta Euro |
7,5795 € (20-05) |
+13.36% |
5  |
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AC FONDTESORO LP
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Renta Fija Euro |
12,5943 € (20-05) |
+12.93% |
4  |
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AC BONOS FINANCIEROS
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Renta Fija Euro |
11,9540 € (20-05) |
+12.08% |
2  |
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CAI RENDIMIENTO 110 FI
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Garantizado de Rendimiento Fijo |
12,0436 € (20-05) |
+11.8% |
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AC IBEROAMERICA
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Renta Variable Internacional |
14,9298 € (20-05) |
+10.59% |
7  |
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FONDO 3 RENTA FIJA F.I.
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Renta Fija Euro |
1.033,0469 € (20-05) |
+9.83% |
4  |
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AC RENTA FIJA FLEXIBLE FI
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Renta Fija Euro |
1.511,0591 € (20-05) |
+9.56% |
4  |
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FDO.3 RF 2015,FI
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IIC de Gestión Pasiva |
10,8012 € (20-05) |
+8.01% |
3  |
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FONDO 3 GTZD.III
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Garantizado de Rendimiento Fijo |
10,6053 € (20-05) |
+7.42% |
1  |
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AC GG MODERADO VAR 7
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Retorno Absoluto |
11,7608 € (16-05) |
+6.65% |
3  |
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FONDO 3 RENTAS TRIMESTRALES
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IIC de Gestión Pasiva |
10,5651 € (20-05) |
+5.65% |
4  |
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AC DOLAR FI
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Renta Fija Internacional |
9,9798 € (20-05) |
+5.65% |
5  |
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AC EURIBOR MÁS 75 GTZDO FI
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Garantizado de Rendimiento Fijo |
6,8116 € (20-05) |
+4.8% |
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AC ALPHA MULTIESTRATEGIA
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Fondos de Fondos de Inversion Libre |
12,8574 € (31-03) |
+4.64% |
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AC GG CONSERVADOR VAR 3
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Retorno Absoluto |
11,6057 € (16-05) |
+4.55% |
2  |
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AC CUENTA FONDTE CP
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Renta Fija Euro |
1.408,1964 € (20-05) |
+3.17% |
2  |
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CAI GARANTIZADO 7 FI
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Garantizado de Rendimiento Fijo |
12,6409 € (17-05) |
+3.04% |
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AC.FONDEP.INSTIT
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Renta Fija Euro |
11,9512 € (20-05) |
+2.89% |
1  |
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FONDO 3 GTZDO.II
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Garantizado de Rendimiento Fijo |
10,6726 € (20-05) |
+2.88% |
1  |
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AC SELECCION ACCIONES GTDO
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Garantizado de Rendimiento Variable |
11,2881 € (17-05) |
+2.82% |
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AC GG RENTA FIJA
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Renta Fija Internacional |
11,3844 € (16-05) |
+2.69% |
3  |
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FONDO 3 GARANTIZADO, FI
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Garantizado de Rendimiento Fijo |
10,7144 € (20-05) |
+2.61% |
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FONDO 3 DEPOSITO FI
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Renta Fija Euro |
11,6592 € (20-05) |
+2.58% |
1  |
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AC FONDEPOSITO
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Renta Fija Euro |
11,8982 € (20-05) |
+2.53% |
1  |
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AC MONETARIO FI
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Fondos monetarios |
10,8927 € (20-05) |
+2.36% |
1  |
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AC RENDIMIENTO 9 GARANTIZADO, FI
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Garantizado de Rendimiento Fijo |
12,0465 € (20-05) |
+1.5% |
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FONDO 3 GARANTIZADO IV
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Garantizado de Rendimiento Fijo |
10,1454 € (20-05) |
+1.45% |
2  |
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FONDO 3 GARANTIZADO V, FI
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Garantizado de Rendimiento Fijo |
11,3845 € (20-05) |
+0.53% |
3  |
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AC 4 POR 3 GARANTIZADO
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Garantizado de Rendimiento Fijo |
8,4543 € (20-05) |
-0.67% |
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AC PATRIMONIO INMOB
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Fondos de Inversion Inmobiliaria |
94,8915 € (30-04) |
-6.68% |
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Gestora:
BNP PARIBAS ASSET MANAGEMENT LUXEMBOURG
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Fondo
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Sector
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Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
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PARV EQUIT JAPAN N
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Renta Variable Internacional |
3.675,0000 ¥ (15-05) |
+71.33% |
7  |
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PARV EQUIT EUROP SMAL CAP N
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Renta Variable Internacional |
119,1100 € (15-05) |
+33.17% |
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PARV EQUIT EUR MID CAP N
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Renta Variable Internacional |
466,6500 € (15-05) |
+22.7% |
6  |
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PARV EQ HIG DIVID EUR N
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Renta Variable Internacional |
73,1800 € (15-05) |
+21.58% |
6  |
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PARV EQUIT EUR CONVER N
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Renta Variable Internacional |
95,3100 € (15-05) |
+15.09% |
7  |
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PARV DIVER DYNAM N
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Renta Variable Mixta Internacional |
193,1500 € (15-05) |
+14.21% |
4  |
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PARV CONV BOND EUROPE N
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Renta Fija Internacional |
130,7200 € (15-05) |
+11.01% |
5  |
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PARV TARG RET PLUS (EURO) N
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Fondos Globales |
105,7800 € (15-05) |
+4.64% |
4  |
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PARV FLEX BOND EUR COR N
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Renta Fija Internacional |
111,1700 € (15-05) |
+4.09% |
4  |
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PARW ETF FLEX AL
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Otros |
100,6200 € (15-05) |
+0.62% |
4  |
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PARV WORLD AGRICULTU CLASS
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Fondos Globales |
91,4300 € (15-05) |
-0.17% |
6  |
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PARV STEP 90 EURO C
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Garantizado de Rendimiento Variable |
1.103,7700 € (15-05) |
-2.87% |
4  |
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Gestora:
JP MORGAN ASSET MANAGEMENT
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Fondo
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Sector
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Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
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EUROPE CONVERGENCE EQUITY D
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Renta Variable Internacional |
33,3500 € (17-05) |
+67.34% |
7  |
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JPM EUROPE DYNAMIC EUR
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Renta Variable Euro |
15,4600 € (17-05) |
+39.66% |
6  |
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JPM EUROPE SMALL CAP
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Renta Variable Internacional |
12,2100 € (17-05) |
+38.28% |
6  |
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JPM EUROPE EQUITY
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Renta Variable Euro |
9,9300 € (17-05) |
+36.97% |
6  |
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EUROPE RECOVERY D
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Renta Variable Internacional |
205,0800 € (17-05) |
+34.49% |
6  |
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EUROPE STRATEGIC VALUE D
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Renta Variable Internacional |
12,7300 € (17-05) |
+34.42% |
7  |
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JPM EUROP STRAT DIVID D
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Renta Variable Internacional |
124,7900 € (17-05) |
+31.59% |
6  |
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GLOBAL CAPITAL APPRECIATION D
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Renta Variable Mixta Internacional |
114,7400 € (17-05) |
+18.08% |
6  |
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GLOBAL CONVERTIBLE BOND D
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Otros |
11,5300 € (17-05) |
+17.65% |
5  |
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EUROPEAN HIGH YIELD BOND D EUR
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Renta Fija Internacional |
10,0100 € (17-05) |
+16.4% |
5  |
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JPM GLOBAL BALANCED FUND
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Renta Variable Mixta Internacional |
151,5000 € (17-05) |
+14.53% |
5  |
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EUROPE BOND D
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Renta Fija Internacional |
131,8500 € (17-05) |
+10.77% |
4  |
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EUROPE AGGREGATE D
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Otros |
10,4500 € (17-05) |
+9.2% |
4  |
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JPM GLOBAL CAPITAL PRESER
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Renta Fija Mixta Euro |
121,5100 € (17-05) |
+7.1% |
4  |
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JPM INCOME OPPORT HEDGED
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Fondos Globales |
132,8600 € (17-05) |
+4.79% |
4  |
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GLOBAL TOTAL RETURN D
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Fondos Globales |
101,0100 € (17-05) |
+3.12% |
5  |
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JPM HIGHBRIDGE STAT MKT
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Fondos Globales |
101,9500 € (17-05) |
+1.24% |
4  |
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GLOBAL AGGREGATE BOND D
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Renta Fija Internacional |
15,1300 $ (17-05) |
+0.73% |
4  |
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US DOLLAR TREASURY LIQUIDITY D USD
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Fondos monetarios |
10.037,2900 $ (17-05) |
+0.0% |
1  |
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JPM EURO GOVERNM LIQUID
|
Fondos monetarios |
10.303,4300 € (17-05) |
+0.0% |
1  |
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JPM GLOBAL NATURAL RESOUR
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Otros |
9,0900 € (17-05) |
-19.56% |
7  |
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Gestora:
PICTET FUNDS
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Fondo
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Sector
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Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
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PF BIOTECH HR EUR
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Renta Variable Internacional |
314,3900 € (17-05) |
+40.98% |
6  |
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Pictet-USA Index-P USD
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Renta Variable Internacional |
136,0300 $ (17-05) |
+29.75% |
6  |
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PF GENERICS HR EUR
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Renta Variable Internacional |
125,0500 € (17-05) |
+26.95% |
6  |
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PF PREMIUM BRANDS P EUR
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Renta Variable Internacional |
111,9300 € (17-05) |
+25.93% |
6  |
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PF SECURITY R EUR
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Renta Variable Internacional |
109,8100 € (17-05) |
+24.66% |
6  |
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PF WATER R EUR
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Renta Variable Internacional |
176,8500 € (17-05) |
+21.35% |
6  |
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PF CLEAN ENERGY R EUR
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Renta Variable Internacional |
52,6100 € (17-05) |
+18.73% |
7  |
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PF SHORT MID-TERM BONDS
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Renta Fija Euro |
128,1500 € (17-05) |
+3.56% |
2  |
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Pictet-CHF Bonds-P
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Renta Fija Internacional |
450,0900 CHF (17-05) |
+2.84% |
3  |
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PF ABSOLT RET GLOB DIVERS
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Fondos Globales |
114,6800 € (17-05) |
+2.61% |
4  |
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Gestora:
FIDELITY INVESTMENT INTERNATIONAL
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Fondo
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Sector
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Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
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FF IBERIA FUND E EUR
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Renta Variable Euro |
31,8100 € (17-05) |
+40.75% |
7  |
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EURO BLUE CHIP E EUR
|
Renta Variable Euro |
18,2900 € (17-05) |
+40.37% |
7  |
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FF EUROP DYNAM GROWTH
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Renta Variable Internacional |
32,3600 € (17-05) |
+32.46% |
6  |
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EUROPEAN AGGRESSIVE E EUR
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Renta Variable Internacional |
14,2600 € (17-05) |
+32.4% |
7  |
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FF GLOBAL PROPERTY
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Renta Variable Internacional |
11,9700 € (17-05) |
+31.94% |
7  |
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EUROPEAN LARGER COMPANIES E
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Renta Variable Internacional |
39,9300 € (17-05) |
+31.74% |
6  |
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FF AMERICA FUND E EUR
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Renta Variable Internacional |
17,1100 € (17-05) |
+31.72% |
6  |
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FF WORLD FUND E EUR
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Renta Variable Internacional |
16,0900 € (17-05) |
+31.35% |
6  |
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EUROPEAN FUND E
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Renta Variable Internacional |
11,3000 € (17-05) |
+30.05% |
7  |
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FF JAPAN FUND E EUR
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Renta Variable Internacional |
9,0470 € (17-05) |
+29.15% |
6  |
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FF EUROPEAN GROWTH
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Renta Variable Internacional |
27,5100 € (17-05) |
+28.43% |
6  |
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FF EURO BALANCED FUND A
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Renta Variable Mixta Internacional |
15,0200 € (17-05) |
+25.59% |
5  |
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FF EUROPEAN SMALLER COMP
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Renta Variable Internacional |
19,2400 € (17-05) |
+23.81% |
6  |
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FF AMERICAN GROWTH E EUR
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Renta Variable Internacional |
11,3700 € (17-05) |
+23.39% |
6  |
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FF GLOBAL TECHNOLOGY
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Renta Variable Internacional |
8,3570 € (17-05) |
+22.79% |
6  |
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FF GREATER CHINA E
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Renta Variable Internacional |
29,7500 € (17-05) |
+22.73% |
7  |
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FF GLOBAL INDUSTRIALS
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Renta Variable Internacional |
34,8800 € (17-05) |
+22.43% |
7  |
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FF GLOBAL TELECOM
|
Renta Variable Internacional |
13,3600 € (17-05) |
+22.12% |
6  |
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FF EUROPEAN HIGH YIELD
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Renta Fija Internacional |
32,9000 € (17-05) |
+19.99% |
5  |
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FF SOUTH EAST ASIA E
|
Renta Variable Internacional |
39,2200 € (17-05) |
+19.76% |
7  |
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TARGET 2020 EURO A
|
Renta Variable Mixta Internacional |
33,9200 € (17-05) |
+18.93% |
5  |
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FF EMERG MARKETS E EUR
|
Renta Variable Internacional |
35,7300 € (17-05) |
+18.7% |
5  |
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PORTFOLIO MODERATE A
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Renta Variable Mixta Internacional |
10,9000 € (17-05) |
+16.54% |
4  |
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FF LATIN AMERICA FUND E
|
Renta Variable Internacional |
55,5200 € (17-05) |
+14.62% |
7  |
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MULTI ASSET STRATEGIC E
|
Renta Fija Internacional |
11,3600 € (17-05) |
+13.37% |
4  |
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EMERGING MARKET DEBT E
|
Renta Fija Internacional |
16,6000 € (17-05) |
+11.86% |
5  |
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FF EURO BOND FUND E EUR
|
Renta Fija Euro |
25,4900 € (17-05) |
+10.44% |
3  |
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FF MULTI ASSET STRAT DEFEN
|
Otros |
11,8900 € (17-05) |
+8.98% |
3  |
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Gestora:
DWS INVESTMENT GMBH
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Fondo
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Sector
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Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
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DWS DEUTSCHLAND EUR
|
Otros |
142,2400 € (17-05) |
+38.27% |
7  |
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Gestora:
ALLIANZ GLOBAL INVESTORS LUXEMBUOURG S.A
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Fondo
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Sector
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Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
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ALLIANZ RCM EUROPE EQUI
|
Renta Variable Internacional |
166,3200 € (17-05) |
+29.23% |
6  |
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Gestora:
CARMIGNAC GESTION (FRANCE)
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Fondo
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Sector
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Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
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CARMIGNAC INVESTISSEMENT
|
Renta Variable Internacional |
148,6100 € (16-05) |
+18.44% |
6  |
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CARMIGNAC PATRIMOINE
|
Renta Variable Mixta Internacional |
149,7800 € (16-05) |
+8.32% |
4  |
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CARMIGNAC SECURITE
|
Renta Fija Euro |
1.654,6900 € (16-05) |
+4.34% |
3  |
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Gestora:
DWS INVESTMENT
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Fondo
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Sector
|
Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
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DWS CONVERTIBLES NC EUR
|
Renta Fija Internacional |
143,1500 € (17-05) |
+16.39% |
4  |
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DWS RUSSIA EUR
|
Renta Variable Internacional |
189,3400 € (17-05) |
+5.77% |
7  |
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DWS INVEST BRAZI
|
Renta Variable Internacional Emergentes |
102,2900 € (17-05) |
+3.65% |
7  |
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|
Gestora:
CPR ASSET MANAGEMENT
|
 |
 |
Fondo
|
Sector
|
Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
|
|
 |
 |
 |
 |
CPR CREDIXX IG S EUR
|
Otros |
118,2100 € (16-05) |
+11.39% |
4  |
 |
 |
 |
|
Gestora:
AMUNDI
|
 |
 |
Fondo
|
Sector
|
Valor Liquidativo |
Rentabilidad último año   |
Riesgo(*)
|
|
 |
 |
 |
 |
AMUNDI CREDIT 1-3 EURO
|
Renta Fija Euro |
128,8900 € (16-05) |
+4.33% |
3  |
 |
 |
 |
(*) Riesgo incluido en DFI. Este es un dato indicativo del riesgo del fondo y está calculado en base a datos históricos.
 |
1
1 sobre 7 |
2
2 sobre 7 |
3
3 sobre 7 |
4
4 sobre 7 |
5
5 sobre 7 |
6
6 sobre 7 |
7
7 sobre 7 |
|
 |
| El anuncio de rentabilidades pasadas no es promesa o garantía de rentabilidades futuras. |
|
|