FONDITEL RENTA FIJA CORTO PLAZO, FI | MONETARIO EURO | 5,007065 | 29/07/2025 | 1,31% | 7,72% | ** |
FONDITEL RENTA FIJA MIXTA INTERNACIONAL, FI A | MIXTO CONSERVADOR GLOBAL | 8,297224 | 29/07/2025 | 1,91% | 7,80% | ** |
FONDITEL RENTA FIJA MIXTA INTERNACIONAL, FI B | MIXTO CONSERVADOR GLOBAL | 8,539031 | 29/07/2025 | 2,03% | 8,65% | *** |
FONDMAPFRE AHORRO, FI A | RF EURO CORTO PLAZO | 0,000010 | 13/03/2025 | · | · | ND |
FONDMAPFRE AHORRO, FI C | RF EURO CORTO PLAZO | 13,384221 | 28/07/2025 | · | 6,42% | * |
FONDMAPFRE AHORRO, FI R | RF EURO CORTO PLAZO | 13,369456 | 28/07/2025 | 1,06% | 6,51% | * |
FONDMAPFRE BOLSA AMERICA, FI C | RVI USA | 23,340536 | 28/07/2025 | -2,02% | 29,71% | ** |
FONDMAPFRE BOLSA AMERICA, FI R | RVI USA | 21,710082 | 28/07/2025 | -3,02% | 22,89% | * |
FONDMAPFRE BOLSA EUROPA, FI C | RVI EUROPA | 92,100487 | 28/07/2025 | 3,27% | 16,47% | ** |
FONDMAPFRE BOLSA EUROPA, FI R | RVI EUROPA | 85,690593 | 28/07/2025 | 2,21% | 10,38% | * |
FONDMAPFRE BOLSA IBERIA, FI C | RV ESPAÑA | 32,156206 | 28/07/2025 | 25,39% | 59,90% | ** |
FONDMAPFRE BOLSA IBERIA, FI R | RV ESPAÑA | 29,909334 | 28/07/2025 | 24,11% | 51,50% | * |
FONDMAPFRE BOLSA MIXTO, FI C | MIXTO AGRESIVO EURO | 35,306051 | 28/07/2025 | 0,00% | 5,77% | * |
FONDMAPFRE BOLSA MIXTO, FI R | MIXTO AGRESIVO EURO | 34,906328 | 28/07/2025 | 2,28% | 6,30% | * |
FONDMAPFRE ELECCION DECIDIDA, FI C | MIXTO AGRESIVO GLOBAL | 7,267104 | 30/09/2022 | · | · | ND |
FONDMAPFRE ELECCION DECIDIDA, FI R | MIXTO AGRESIVO GLOBAL | 9,366645 | 28/07/2025 | 2,37% | 19,14% | ***** |
FONDMAPFRE ELECCION MODERADA, FI C | MIXTO MODERADO GLOBAL | 8,330201 | 28/07/2025 | 1,94% | 18,83% | ***** |
FONDMAPFRE ELECCION MODERADA, FI R | MIXTO MODERADO GLOBAL | 7,935152 | 28/07/2025 | 1,14% | 13,26% | **** |
FONDMAPFRE ELECCION PRUDENTE, FI C | MIXTO CONSERVADOR GLOBAL | 5,981468 | 30/09/2022 | · | · | ND |
FONDMAPFRE ELECCION PRUDENTE, FI R | MIXTO CONSERVADOR GLOBAL | 6,711640 | 28/07/2025 | 0,74% | 7,51% | *** |
FONDMAPFRE GARANTIA II, FI | RF GARANTIZADO | 6,589739 | 28/07/2025 | 1,38% | 8,89% | **** |
FONDMAPFRE GARANTIA III, FI | RV GARANTIZADO | 6,452647 | 28/07/2025 | 3,78% | 11,41% | **** |
FONDMAPFRE GARANTIA IV, FI | RV GARANTIZADO | 6,870629 | 28/07/2025 | 3,14% | · | ND |
FONDMAPFRE GARANTIA IX, FI | RF GARANTIZADO | 6,099754 | 28/07/2025 | · | · | ND |
FONDMAPFRE GARANTIA V, FI | RF GARANTIZADO | 6,531862 | 28/07/2025 | 1,43% | · | ND |
FONDMAPFRE GARANTIA VI, FI | RV GARANTIZADO | 6,613741 | 28/07/2025 | 3,22% | · | ND |
FONDMAPFRE GARANTIA VII, FI | RV GARANTIZADO | 6,348967 | 28/07/2025 | 3,87% | · | ND |
FONDMAPFRE GARANTIA VIII, FI | RV GARANTIZADO | 6,052611 | 28/07/2025 | 0,88% | · | ND |
FONDMAPFRE GLOBAL, FI A | MIXTO FLEXIBLE | 0,000010 | 08/04/2021 | · | · | ND |
FONDMAPFRE GLOBAL, FI C | MIXTO FLEXIBLE | 17,586572 | 28/07/2025 | 3,62% | 32,81% | ***** |
FONDMAPFRE GLOBAL, FI R | MIXTO FLEXIBLE | 16,641001 | 28/07/2025 | 2,80% | 27,48% | ***** |
FONDMAPFRE RENTADOLAR, FI C | RFI USA | 7,640378 | 28/07/2025 | · | -6,76% | ND |
FONDMAPFRE RENTADOLAR, FI R | RFI USA | 7,620179 | 28/07/2025 | -9,62% | -5,66% | *** |
FONDMAPFRE RENTA FIJA FLEXIBLE, FI C | RF EURO LARGO PLAZO | 12,834942 | 28/07/2025 | 0,77% | 5,18% | *** |
FONDMAPFRE RENTA FIJA FLEXIBLE, FI R | RF EURO LARGO PLAZO | 12,455427 | 28/07/2025 | 0,29% | 2,56% | ** |
FONDMAPFRE RENTA MIXTO, FI C | MIXTO CONSERVADOR EURO | 9,274741 | 29/01/2023 | · | · | ND |
FONDMAPFRE RENTA MIXTO, FI R | MIXTO CONSERVADOR EURO | 10,090397 | 28/07/2025 | 0,85% | 3,05% | * |
FONDO AHORRO, FI | RF EURO CORTO PLAZO | 0,190355 | 29/07/2025 | 1,56% | 8,62% | ** |
FONDO ARTAC, FI | MIXTO MODERADO GLOBAL | 110,078764 | 28/07/2025 | -0,07% | 10,86% | *** |
FONDO ETICO EDUCA 5.0, FI | MIXTO CONSERVADOR GLOBAL | 10,370980 | 30/07/2025 | 2,13% | 14,79% | ***** |
FONDO GARANTIA 2026, FI | RV GARANTIZADO | 6,952360 | 28/07/2025 | 3,87% | 15,87% | ND |
FONDO NARANJA BOLSA GARANTIZADO, FI | RV GARANTIZADO | 0,000010 | 21/03/2024 | · | · | ND |
FONDO NARANJA GARANTIZADO 2026, FI | RF GARANTIZADO | 0,000010 | 29/06/2023 | · | · | ND |
FONDO NARANJA GARANTIZADO 2026 II, FI | RF GARANTIZADO | 6,804173 | 28/07/2025 | 1,34% | 11,01% | ***** |
FONDO NARANJA GARANTIZADO 2027 I, FI | RF GARANTIZADO | 0,000010 | 21/12/2023 | · | · | ND |
FONDO NARANJA GARANTIZADO 2027 II, FI | RF GARANTIZADO | 0,000010 | 04/07/2024 | · | · | ND |
FONDO NARANJA GARANTIZADO 2028 I, FI | RF GARANTIZADO | 8,053503 | 28/07/2025 | 2,31% | 20,77% | ***** |
FONDO NARANJA MONETARIO, FI | MONETARIO EURO PLUS | 105,908841 | 30/07/2025 | 1,06% | · | ND |
FONDO NARANJA NASDAQ 100, FI | RVI USA | 11,595362 | 29/07/2025 | -0,98% | · | ND |
FONDO NARANJA PRUDENTE, FI | MONETARIO EURO PLUS | 100,384639 | 30/07/2025 | · | · | ND |
FONDO NARANJA RENTABILIDAD 2025 I, FI | RFI GLOBAL | 104,290000 | 15/07/2025 | 1,18% | 3,44% | **** |
FONDO NARANJA RENTABILIDAD 2025 II, FI | RFI GLOBAL | 106,947165 | 30/07/2025 | 1,32% | 6,95% | **** |
FONDO NARANJA RENTABILIDAD 2025 III, FI | RFI GLOBAL | 106,624102 | 30/07/2025 | 1,31% | · | ND |
FONDO NARANJA RENTABILIDAD 2025 IV, FI | RF EURO CORTO PLAZO | 106,300000 | 19/06/2025 | · | · | ND |
FONDO NARANJA RENTABILIDAD 2025 V, FI | RF EURO CORTO PLAZO | 107,118710 | 30/07/2025 | 0,94% | · | ND |
FONDO NARANJA RENTABILIDAD 2025 VI, FI | RF EURO CORTO PLAZO | 106,460347 | 30/07/2025 | 1,08% | · | ND |
FONDO NARANJA RENTABILIDAD 2026 I, FI | RF EURO LARGO PLAZO | 108,692231 | 30/07/2025 | 1,21% | · | ND |
FONDO NARANJA RENTABILIDAD 2026 II, FI | RF EURO LARGO PLAZO | 108,634124 | 30/07/2025 | 1,52% | · | ND |
FONDO NARANJA RENTABILIDAD 2027 I, FI | RF EURO CORTO PLAZO | 108,875543 | 30/07/2025 | 2,46% | · | ND |
FONDO NARANJA RENTABILIDAD 2027 II, FI | DEUDA PRIVADA EURO | 101,088834 | 30/07/2025 | · | · | ND |
FONDO NARANJA RENTABILIDAD 2028 I, FI | RF EURO LARGO PLAZO | 102,287451 | 30/07/2025 | · | · | ND |
FONDO NARANJA RENTABILIDAD 2028 II, FI | RF EURO LARGO PLAZO | 100,023016 | 30/07/2025 | · | · | ND |
FONDONORTE, FI | MIXTO CONSERVADOR EURO | 5,099693 | 21/07/2025 | 4,96% | 16,59% | **** |
FONDONORTE GLOBAL DIVIDENDO, FI | MIXTO FLEXIBLE | 114,461362 | 21/07/2025 | 3,98% | 16,44% | ***** |
FONDO SELECCION / CASER AV 20 A | MIXTO CONSERVADOR GLOBAL | 9,978690 | 28/07/2025 | 1,77% | 6,50% | * |
FONDO SELECCION / CASER AV 20 B | MIXTO CONSERVADOR GLOBAL | 10,233630 | 28/07/2025 | 2,03% | 7,95% | ** |
FONDO SELECCION / CASER AV 60 A | MIXTO MODERADO GLOBAL | 10,382770 | 28/07/2025 | 3,43% | 13,03% | *** |
FONDO SELECCION / CASER AV 60 B | MIXTO MODERADO GLOBAL | 10,581430 | 28/07/2025 | 3,83% | 15,31% | *** |
FONDO SELECCION / CASER AV 80 A | RVI GLOBAL | 10,188590 | 28/07/2025 | 3,28% | 13,63% | * |
FONDO SELECCION / CASER AV 80 B | RVI GLOBAL | 10,337170 | 28/07/2025 | 3,74% | 16,28% | * |
FONEMPORIUM, FI | MIXTO CONSERVADOR GLOBAL | 22,162600 | 28/07/2025 | 1,98% | 5,98% | * |
FONENGIN ISR, FI A | MIXTO CONSERVADOR GLOBAL | 13,128610 | 30/07/2025 | 0,98% | 6,39% | ** |
FONENGIN ISR, FI I | MIXTO CONSERVADOR GLOBAL | 14,028670 | 30/07/2025 | 1,56% | 9,44% | **** |
FON FINECO BASE, FI | MONETARIO EURO | 1.005,483873 | 28/07/2025 | 1,24% | 8,12% | ** |
FON FINECO EUROLIDER, FI | MIXTO FLEXIBLE | 18,054203 | 28/07/2025 | 6,88% | 26,58% | ***** |
FON FINECO GESTION, FI | RETORNO ABSOLUTO. VOLAT.ALTA | 23,288534 | 28/07/2025 | 2,64% | 15,20% | * |
FON FINECO GESTION II, FI | MIXTO FLEXIBLE | 9,341643 | 28/07/2025 | 2,45% | 14,29% | **** |
FON FINECO GESTION III, FI | GESTIÓN ALTERNATIVA | 11,781733 | 28/07/2025 | 3,83% | 17,36% | ***** |
FON FINECO INTERES, FI A | RF EURO CORTO PLAZO | 10,728935 | 28/07/2025 | 1,61% | · | ND |
FON FINECO INTERES, FI I | RF EURO CORTO PLAZO | 14,641550 | 28/07/2025 | 1,70% | 8,22% | ** |
FON FINECO INVERSION AMERICA, FI | MIXTO FLEXIBLE | 10,333800 | 28/07/2025 | · | · | ND |
FON FINECO INVERSION, FI | MIXTO FLEXIBLE | 18,267891 | 28/07/2025 | 9,12% | 30,59% | ***** |
FON FINECO PATRIMONIO GLOBAL, FI A | MIXTO MODERADO GLOBAL | 22,893167 | 28/07/2025 | 3,96% | 17,90% | ***** |
FON FINECO PATRIMONIO GLOBAL, FI I | MIXTO MODERADO GLOBAL | 23,316951 | 28/07/2025 | 4,10% | 18,59% | ***** |
FON FINECO PATRIMONIO GLOBAL, FI S | MIXTO MODERADO GLOBAL | 23,494517 | 28/07/2025 | 4,19% | 19,24% | ***** |
FON FINECO PATRIMONIO GLOBAL, FI X | MIXTO MODERADO GLOBAL | 23,743983 | 28/07/2025 | 4,19% | 19,24% | ***** |
FON FINECO RENTA FIJA INTERNACIONAL, FI A | RF EURO LARGO PLAZO | 9,044582 | 28/07/2025 | 1,83% | 8,02% | **** |
FON FINECO RENTA FIJA INTERNACIONAL, FI I | RF EURO LARGO PLAZO | 9,215365 | 28/07/2025 | 1,91% | 8,51% | **** |
FON FINECO RENTA FIJA PLUS, FI | RF EURO LARGO PLAZO | 17,112060 | 28/07/2025 | 2,17% | 7,61% | **** |
FON FINECO TOP RENTA FIJA, FI A | RF EURO LARGO PLAZO | 11,565262 | 28/07/2025 | 1,97% | 6,85% | *** |
FON FINECO TOP RENTA FIJA, FI I | RF EURO LARGO PLAZO | 12,095793 | 28/07/2025 | 2,14% | 7,81% | **** |
FON FINECO VALOR, FI A | RV EURO VALOR | 14,649315 | 28/07/2025 | 12,35% | 39,83% | ** |
FON FINECO VALOR, FI R | RV EURO VALOR | 14,213500 | 28/07/2025 | 9,19% | · | ND |
FONGRUM / RENTA VARIABLE MIXTA | MIXTO AGRESIVO GLOBAL | 15,039699 | 29/07/2025 | 11,77% | 32,36% | ***** |
FONGRUM / VALOR | MIXTO FLEXIBLE | 20,934944 | 29/07/2025 | 8,86% | 27,87% | ***** |
FONMARCH, FI A | RF EURO LARGO PLAZO | 30,364720 | 29/07/2025 | 1,66% | 6,21% | *** |
FONMARCH, FI C | RF EURO LARGO PLAZO | 10,377670 | 29/07/2025 | 1,98% | 7,84% | **** |
FONMARCH, FI S | RF EURO LARGO PLAZO | 10,400770 | 29/07/2025 | 1,98% | 7,84% | **** |
FONMASTER 1, FI | MIXTO FLEXIBLE | 23,152696 | 29/07/2025 | 4,23% | 15,45% | ***** |
FONPROFIT, FI | MIXTO MODERADO GLOBAL | 2.679,401089 | 30/07/2025 | 5,05% | 19,53% | ***** |