LYXOR IBEX 35 DOBLE APALANCADO DIARIO UCITS ETF ACC | RV ESPAÑA | 41,839700 | 11/06/2025 | 50,32% | 195,95% | ***** |
CAIXABANK BOLSA ESPAÑA 150, FI SIN RETRO | RV ESPAÑA | 13,640100 | 11/06/2025 | 35,68% | 139,14% | ***** |
CAIXABANK BOLSA ESPAÑA 150, FI EXTRA | RV ESPAÑA | 13,225100 | 11/06/2025 | 35,30% | 134,56% | ***** |
CAIXABANK BOLSA ESPAÑA 150, FI ESTANDAR | RV ESPAÑA | 12,126400 | 11/06/2025 | 35,18% | 133,17% | ***** |
COBAS IBERIA, FI A | RV ESPAÑA | 150,696118 | 11/06/2025 | 30,37% | · | ND |
COBAS IBERIA, FI B | RV ESPAÑA | 183,057998 | 11/06/2025 | 30,23% | 66,17% | *** |
COBAS IBERIA, FI C | RV ESPAÑA | 177,867646 | 11/06/2025 | 30,08% | 64,93% | ** |
COBAS IBERIA, FI D | RV ESPAÑA | 210,236743 | 11/06/2025 | 29,94% | 63,69% | ** |
MUTUAFONDO ESPAÑA, FI F | RV ESPAÑA | 375,814345 | 12/06/2025 | 27,07% | 68,67% | *** |
ABANTE GLOBAL FUNDS - SPANISH OPPORTUNITIES B EUR CAP | RV ESPAÑA | 19,831000 | 12/06/2025 | 27,01% | 81,59% | *** |
ABANTE GLOBAL FUNDS - SPANISH OPPORTUNITIES C EUR CAP | RV ESPAÑA | 12,955000 | 12/06/2025 | 26,67% | 84,15% | *** |
ABANTE GLOBAL FUNDS - SPANISH OPPORTUNITIES A EUR CAP | RV ESPAÑA | 21,189000 | 12/06/2025 | 26,61% | 84,08% | **** |
CAIXABANK BOLSA GESTION ESPAÑA, FI SIN RETRO | RV ESPAÑA | 13,585200 | 11/06/2025 | 26,07% | 97,59% | ***** |
SANTANDER ACCIONES ESPAÑOLAS, FI CARTERA | RV ESPAÑA | 42,527559 | 11/06/2025 | 25,97% | 70,21% | *** |
BESTINVER TORDESILLAS SICAV - IBERIA X EUR CAP | RV ESPAÑA | 18,763000 | 12/06/2025 | 25,96% | 64,06% | *** |
CAIXABANK MASTER RENTA VARIABLE ESPAÑA, FI | RV ESPAÑA | 11,927700 | 11/06/2025 | 25,85% | 89,03% | **** |
BESTINVER TORDESILLAS SICAV - IBERIA Z EUR CAP | RV ESPAÑA | 18,396000 | 12/06/2025 | 25,82% | 62,74% | ** |
CAIXABANK BOLSA GESTION ESPAÑA, FI EXTRA | RV ESPAÑA | 19,531600 | 11/06/2025 | 25,70% | 93,61% | ***** |
BESTINVER TORDESILLAS SICAV - IBERIA I EUR CAP | RV ESPAÑA | 31,234000 | 12/06/2025 | 25,65% | 61,36% | ** |
MAGALLANES IBERIAN EQUITY, FI E | RV ESPAÑA | 276,796067 | 12/06/2025 | 25,64% | 67,69% | *** |