Rendimientos


Código ISIN Familia de Fondos Nombre del Fondo Clase de
Activo
Universo de
Inversión
Hasta la fecha 3 meses 1 año 3 años anualiz. 5 años anualiz. 10 años anualiz. 3 años de Volatilidad Precio Unitario
ABCH LU1808992512 AllianceBernstein AB All China Equity Portfolio Acciones Asia Pacific ex Japan 2.93% 4.01% 33.31% 10.17% -5.17% - 0.00% $16.85 ACM 3 6
ACAI LU0095030564 AllianceBernstein AB American Income Renta Fija United States 0.95% 1.28% 7.93% 5.67% 0.87% 3.32% 4.99% $34.02 ACM 4 1
AEMD LU0246601768 AllianceBernstein AB Emerging Markets Debt Renta Fija Emerging Markets 2.36% 3.47% 13.82% 10.97% 1.78% 4.35% 6.68% $39.11 ACM 4 3
ACEM LU0040709171 AllianceBernstein AB Emerging Markets Growth Acciones Emerging Markets 10.90% 14.22% 39.60% 13.98% 0.96% 8.55% 16.17% $65.64 ACM 3 3
ABEI LU1113143496 AllianceBernstein AB European Income Renta Fija Europe 1.28% 1.24% 5.43% 7.01% 2.38% 4.29% 3.81% $22.13 ACM 4 2
ABHY LU0102830865 AllianceBernstein AB Global High Yield Renta Fija Global 0.96% 1.58% 7.20% 8.09% 3.13% 5.16% 4.49% $19.94 ACM 4 4
ACGV LU0124673897 AllianceBernstein AB Global Value Acciones Global 6.99% 10.15% 34.17% 18.55% 11.03% 10.36% 13.99% $33.22 ACM 3 4
ABIG LU0430678424 AllianceBernstein AB India Growth Acciones Single Country -1.72% -2.75% 7.09% 9.91% 3.94% 7.12% 13.13% $242.24 ACM 3 7
ACIH LU0058720904 AllianceBernstein AB International Health Care Acciones Global 1.40% 2.40% 6.39% 5.45% 4.96% 10.05% 13.79% $601.99 ACM 3 4
ABLV LU0861579265 AllianceBernstein AB Low Vol Equity Portfolio Acciones Global -2.21% -2.53% 4.37% 12.87% 8.95% 9.89% 11.12% $50.90 ACM 3 4
ABYI LU0633139554 AllianceBernstein AB RMB Income Plus Renta Fija Asia Pacific ex Japan 1.37% 2.82% 8.48% 2.48% -0.15% 1.96% 4.36% $22.26 ACM 4 6
ABSA LU0736558973 AllianceBernstein AB Select Absolute Alpha Inversiones Alternativas United States 0.00% 0.06% 4.65% 9.64% 5.96% 6.78% 6.10% $31.97 ACM 1 1
AEHY LU0496384693 AllianceBernstein AB Sustainable Euro High Yield Renta Fija Europe 1.83% 3.67% 19.64% 10.11% 1.20% 4.13% 7.51% $35.58 ACM 4 2
ACAT LU0069063385 AllianceBernstein AB Sustainable Global Thematic Acciones Global -2.69% -5.24% 0.42% 4.76% 0.16% 10.30% 15.21% $42.67 ACM 3 4
ABSU LU0124676726 AllianceBernstein AB Sustainable US Thematic Acciones United States -2.61% -5.27% 2.27% 7.73% 3.47% 13.17% 15.05% $47.77 ACM 3 1
BRAG LU0821914370 BlackRock BR Asian Growth Leaders Acciones Asia Pacific ex Japan 7.42% 10.29% 41.97% 13.18% -0.87% 8.90% 16.61% $29.26 BGF 3 6
BRAT LU0063729296 BlackRock BR Asian Tiger Bond Renta Fija Asia Pacific ex Japan 1.48% 1.48% 10.06% 6.72% -0.62% 2.19% 4.26% $45.29 BGF 4 6
BRCE LU0769137737 BlackRock BR Continental European Flexible Acciones Europe 3.63% 7.86% 22.75% 13.13% 5.84% 11.47% 17.53% $59.99 BGF 3 2
BREB LU0200680600 BlackRock BR Emerging Markets Bond Renta Fija Emerging Markets 2.45% 4.11% 15.13% 12.72% 3.30% 4.90% 6.44% $23.82 BGF 4 3
BRJV LU0212924517 BlackRock BR Japan Flexible Equity Acciones Single Country 13.62% 15.11% 41.77% 22.04% 7.57% 11.54% 17.56% $27.12 BGF 3 7
BRJS LU0006061252 BlackRock BR Japan Small & Mid Cap Opportunities Acciones Single Country 15.40% 19.19% 52.01% 22.07% 6.43% 10.29% 15.22% $112.38 BGF 3 7
BMID LU1298142255 BlackRock BR Managed Index Portfolios - Defensive Mixto / Asignación de Activos Global 1.42% 1.98% 7.89% 6.68% 2.39% 3.35% 3.87% $139.91 BGF 5 4
BMIG LU1298145357 BlackRock BR Managed Index Portfolios - Growth Mixto / Asignación de Activos Global 2.00% 2.76% 12.20% 14.21% 8.39% 10.14% 10.73% $255.33 BGF 5 4
BMIM LU1298143493 BlackRock BR Managed Index Portfolios - Moderate Mixto / Asignación de Activos Global 1.72% 2.21% 9.97% 10.65% 6.00% 7.11% 6.86% $195.49 BGF 5 4
BRNE LU0124384867 BlackRock BR Sustainable Energy Bienes de Consumo / Energía Global 12.24% 14.20% 53.87% 12.82% 6.74% 13.39% 18.15% $23.65 BGF 2 4
BRUS IE00B3L10687 BlackRock BR US Dollar Liquidity Fund Equivalentes a Efectivo United States 0.35% 0.84% 3.73% 4.37% 2.96% 1.94% 0.09% $124.97 BGF 6 1
BRWM LU0075056555 BlackRock BR World Mining Fund Bienes de Consumo / Energía Global 19.83% 34.14% 91.27% 19.92% 15.38% 18.59% 25.30% $115.74 BGF 2 4
TABF LU0229949994 Franklin Templeton FT Asian Bond Renta Fija Asia Pacific ex Japan 2.47% 2.72% 6.41% 0.69% -1.44% 0.13% 7.18% $16.60 FT 4 6
TAGF LU0128522157 Franklin Templeton FT Asian Growth Acciones Asia Pacific ex Japan 8.39% 12.02% 40.28% 14.12% -1.03% 8.25% 16.35% $52.45 FT 3 6
FTAS LU0390135332 Franklin Templeton FT Asian Smaller Companies Acciones Asia Pacific ex Japan 5.28% 5.25% 16.40% 10.17% 4.49% 8.18% 12.31% $72.40 FT 3 6
TBCF LU0229945570 Franklin Templeton FT BIC Acciones Emerging Markets 4.16% 3.10% 31.19% 15.57% 1.12% 11.09% 16.39% $28.31 FT 3 3
FBDF LU0109394709 Franklin Templeton FT Biotechnology Discovery Acciones Global 0.49% 7.93% 50.41% 20.86% 3.68% 9.54% 22.20% $59.23 FT 3 4
TEEF LU0231793349 Franklin Templeton FT Eastern Europe Acciones Emerging Markets 10.38% 18.45% 48.56% 33.56% -3.56% 3.65% 17.71% $25.30 FT 3 3
TEFE LU2525718925 Franklin Templeton FT Eastern Europe (Restricted) Acciones Emerging Markets 0.00% 2.70% 8.57% - - - 315.11% $0.38 FT 3 3
TEMS LU0300738514 Franklin Templeton FT EM Smaller Companies Acciones Emerging Markets 6.46% 8.06% 19.73% 10.61% 4.99% 7.65% 11.70% $17.96 FT 3 3
FTEM LU0029874905 Franklin Templeton FT Emerging Markets Fund Acciones Emerging Markets 10.57% 13.50% 51.74% 19.09% 3.59% 11.10% 16.27% $68.10 FT 3 3
TGBF LU0252652382 Franklin Templeton FT Global Bond Renta Fija Global 4.31% 4.43% 18.64% 2.91% -0.07% 1.15% 8.45% $28.77 FT 4 4
FTGS LU0792756115 Franklin Templeton FT Global Sukuk Renta Fija Global 0.65% 0.79% 7.55% 4.20% 1.05% 2.61% 3.48% $13.96 FT 4 4
TGTR LU0170475312 Franklin Templeton FT Global Total Return Renta Fija Global 4.58% 6.01% 21.80% 6.59% 0.46% 1.18% 8.62% $28.77 FT 4 4
TGCC LU0962741061 Franklin Templeton FT Gulf Wealth Bond Renta Fija Emerging Markets 0.76% 0.38% 9.43% 5.30% 2.44% 5.28% 6.61% $18.68 FT 4 3
FTHY LU0131126228 Franklin Templeton FT High Yield Renta Fija United States 0.79% 1.84% 7.71% 8.62% 3.84% 6.56% 4.45% $25.44 FT 4 1
FINA LU0098864514 Franklin Templeton FT Income Mixto / Asignación de Activos United States 3.41% 5.22% 12.72% 7.40% 5.61% 6.36% 6.90% $32.43 FT 5 1
FINF LU0231203729 Franklin Templeton FT India Acciones Single Country -4.73% -5.44% 0.22% 10.52% 6.56% 9.54% 13.60% $64.71 FT 3 7
TKAS LU1093756168 Franklin Templeton FT K2 Alternative Strategies Inversiones Alternativas Global 1.15% 2.25% 7.82% 6.74% 2.45% 3.65% 3.57% $14.06 FT 1 4
FTIV IE00BD4GTV84 Franklin Templeton FT LM Infrastructure Acciones Global 8.04% 7.04% 16.89% 10.60% 11.42% - 11.08% $20.97 FT 3 4
FTSG LU0792757196 Franklin Templeton FT Shariah Global Equity Acciones Global 7.09% 8.80% 23.84% 12.27% 6.76% 8.32% 14.70% $21.14 FT 3 4
FTCF LU0109392836 Franklin Templeton FT Technology Acciones Global -3.82% -5.13% 10.64% 24.20% 5.90% 20.07% 23.58% $58.84 FT 3 4
FAGF LU0109391861 Franklin Templeton FT US Opportunities Acciones United States -4.16% -5.15% -2.39% 17.10% 3.95% 13.33% 18.51% $35.92 FT 3 1
GACH IE00B1W3WR42 GAM GAM Star China Acciones Single Country -2.80% -6.73% 18.05% 3.68% -10.91% 2.84% 26.23% $23.63 GAM 3 7
GACO IE00B566P016 GAM GAM Star Credit Opportunities Renta Fija Global 0.59% 1.13% 6.33% 6.08% 2.61% 4.86% 4.89% $16.19 GAM 4 4
GAEM IE00B5V4MS78 GAM GAM Star Emerging Markets Rates Inversiones Alternativas Emerging Markets 1.35% 3.58% 14.48% 4.90% 0.93% 2.98% 5.04% $15.03 GAM 1 3
GABA IE00B5NTPS12 GAM GAM Star Global Balanced Mixto / Asignación de Activos Global 2.87% 2.61% 8.97% 9.23% 3.80% 7.04% 6.94% $18.80 GAM 5 4
GACA IE00BJ358333 GAM GAM Star Global Cautious Mixto / Asignación de Activos Global 2.82% 2.80% 6.87% 7.65% 3.11% 5.89% 5.04% $16.99 GAM 5 4
GAGR IE00BJ358663 GAM GAM Star Global Growth Mixto / Asignación de Activos Global 3.10% 2.41% 8.84% 9.37% 3.89% 7.99% 8.86% $20.23 GAM 5 4
GAMB IE00BNQ4LN68 GAM GAM Star MBS Total Return Propiedad United States 0.59% 1.34% 5.64% 5.65% 3.27% 3.14% 1.32% $13.86 GAM 7 1
MXEA Index MSCI EAFE Index Acciones Global 8.71% 10.27% 31.32% 14.49% 7.14% 7.74% 13.81% $3,145.20 IDX 3 4
SPX US78378X1072 Index S&P 500 Index Acciones United States -0.37% -0.27% 12.90% 18.20% 11.67% 13.87% 14.26% $6,832.76 IDX 3 1
IVTG LU3105174372 Investec Investec Global Select Equity Mixto / Asignación de Activos Global 2.32% 4.05% - - - - 0.00% $114.49 INV 5 4
GHBA LU0778115914 Investec Investec Multi Asset Balanced Mixto / Asignación de Activos Global 3.37% 4.89% 17.89% 10.69% 4.18% 6.85% 7.33% $192.79 INV 5 4
GHCA LU0778115674 Investec Investec Multi Asset Cautious Mixto / Asignación de Activos Global 3.61% 4.49% 14.98% 8.36% 2.64% 4.39% 4.60% $153.71 INV 5 4
GHDY LU0778116219 Investec Investec Multi Asset Dynamic Mixto / Asignación de Activos Global 2.05% 3.82% 18.58% 11.92% 5.02% 8.89% 9.81% $228.65 INV 5 4
IBIT US46438F1012 iShares iShares Bitcoin Trust Inversiones Alternativas Global -27.27% -35.67% -32.83% - - - 0.00% $37.05 ISH 1 4
ETHA US46438R1059 iShares iShares Ethereum Trust Inversiones Alternativas Global -38.68% -43.93% -28.73% - - - 0.00% $14.46 ISH 1 4
ISBR IE00B1W57M07 iShares iShares FTSE BRIC 50 Acciones Emerging Markets -2.12% -6.49% 13.79% 5.55% -10.92% 3.89% 25.89% $25.87 ISH 3 3
ISGE US4642873412 iShares iShares Global Energy Bienes de Consumo / Energía Global 16.01% 15.69% 24.56% 6.96% 16.84% 6.60% 20.69% $49.70 ISH 2 4
ISGH US4642873255 iShares iShares Global Healthcare Acciones Global 2.47% 3.98% 10.01% 5.83% 4.97% 8.13% 13.91% $100.14 ISH 3 4
ISHT US4642872919 iShares iShares Global Tech Acciones Global -0.25% -1.95% 22.74% 26.92% 14.41% 21.94% 21.93% $105.63 ISH 3 4
ISBZ IE00B0M63516 iShares iShares MSCI Brazil Acciones Single Country 21.11% 22.85% 51.47% 10.93% 2.11% 7.44% 20.75% $31.70 ISH 3 7
ISLA IE00B27YCK28 iShares iShares MSCI EM Latin America Acciones Latin America 19.25% 20.28% 60.11% 14.30% 7.76% 7.43% 18.77% $22.48 ISH 3 8
IMEM US4642872349 iShares iShares MSCI Emerging Markets Acciones Emerging Markets 8.21% 9.50% 38.98% 14.52% 1.04% 7.58% 15.91% $60.86 ISH 3 3
IMEZ US4642866085 iShares iShares MSCI Eurozone Acciones Europe 4.03% 6.07% 29.44% 15.07% 8.13% 8.07% 17.03% $67.63 ISH 3 2
IMGE US4642868065 iShares iShares MSCI Germany Acciones Single Country 3.29% 5.47% 22.97% 16.18% 5.94% 6.64% 17.59% $43.96 ISH 3 7
IMIN US46429B5984 iShares iShares MSCI India Acciones Single Country -2.66% -2.66% 6.65% 9.85% 4.31% 8.25% 13.04% $53.11 ISH 3 7
IMJA2 US46434G8226 iShares iShares MSCI Japan Acciones Single Country 14.80% 10.71% 37.27% 17.14% 5.47% 8.41% 18.42% $93.37 ISH 3 7
IMMX US4642868222 iShares iShares MSCI Mexico Acciones Single Country 14.73% 17.25% 53.96% 11.87% 13.46% 5.87% 22.13% $79.92 ISH 3 7
ISPA IE00B4WXJD03 iShares iShares MSCI Pacific ex Japan Acciones Asia Pacific ex Japan 8.32% 8.37% 21.84% 6.78% 2.37% 5.51% 15.95% $55.87 ISH 3 6
IMSK US4642867729 iShares iShares MSCI South Korea Acciones Single Country 27.96% 36.36% 137.13% 27.84% 6.81% 10.90% 24.12% $130.80 ISH 3 7
ISTA IE00B0M63623 iShares iShares MSCI Taiwan Acciones Single Country 14.77% 19.44% 50.84% 26.95% 11.87% 16.58% 20.86% $139.17 ISH 3 7
IMTH US4642866242 iShares iShares MSCI Thailand Acciones Single Country 16.84% 17.57% 23.78% -2.93% -2.73% 1.61% 20.02% $70.00 ISH 3 7
ISWO IE00B0M62Q58 iShares iShares MSCI World Acciones Global 1.94% 2.43% 17.99% 17.29% 9.97% 11.82% 12.99% $96.36 ISH 3 4
ISPG IE00B4ND3602 iShares iShares Physical Gold Bienes de Consumo / Energía Global 14.37% 17.69% 70.26% 38.49% 21.83% 14.66% 15.52% $95.83 ISH 2 4
ISSP IE0031442068 iShares iShares S&P 500 Acciones United States 0.41% 0.38% 13.95% 18.54% 11.86% 13.96% 13.21% $68.46 ISH 3 1
ISTB IE00BK95B138 iShares iShares Treasury Bond Renta Fija United States 0.84% 0.71% 2.61% -0.36% -3.19% - 6.11% $4.37 ISH 4 1
IMUE US4642877967 iShares iShares US Energy Bienes de Consumo / Energía United States 17.36% 18.78% 21.08% 6.30% 19.05% 6.21% 22.46% $56.98 ISH 2 1
ISUU2 US4642876977 iShares iShares US Utilities Bienes de Consumo / Energía United States 4.79% 1.76% 13.32% 11.03% 8.15% 7.29% 14.51% $114.77 ISH 2 1
ISDW IE00B27YCN58 iShares iShares World Islamic Acciones Global 4.63% 4.74% 22.18% 13.12% 8.96% 9.52% 13.53% $60.16 ISH 3 4
HEUA LU0953998514 Janus Henderson JH Absolute Return Inversiones Alternativas Global 0.58% 1.40% 6.26% 6.87% 4.95% 3.85% 1.80% $8.01 JH 1 4
JHBF IE0004445015 Janus Henderson JH Balanced Fund Mixto / Asignación de Activos Global -1.23% -1.71% 9.62% 11.31% 6.22% 9.05% 9.69% $50.73 JH 5 4
JHLS IE0009355771 Janus Henderson JH Global Life Sciences Acciones Global 0.57% 4.58% 17.71% 9.97% 5.12% 10.36% 15.29% $63.46 JH 3 4
JHGE LU0200076999 Janus Henderson JH Global Select Acciones Global 2.99% 3.50% 17.09% 15.60% 6.91% 12.34% 13.78% $27.40 JH 3 4
JHHY LU0978624194 Janus Henderson JH Horizon Global High Yield Renta Fija Global 1.03% 1.81% 7.93% 8.66% 2.39% 6.07% 4.33% $184.19 JH 4 4
HEGP LU0209137388 Janus Henderson JH Horizon Global Property Propiedad Global 10.43% 9.04% 16.63% 4.74% 2.00% 6.03% 15.18% $29.32 JH 7 4
HEGT LU0070992663 Janus Henderson JH Horizon Global Technology Leaders Acciones Global 0.04% -0.21% 20.55% 28.71% 11.68% 20.06% 20.16% $280.69 JH 3 4
HEEA LU0506197614 Janus Henderson JH Horizon Pan European Alpha Inversiones Alternativas Europe 2.33% 1.92% 10.64% 9.51% 6.94% 5.87% 7.31% $22.88 JH 1 2
JHMS IE00BJVNGS06 Janus Henderson JH Multi-Sector Income Renta Fija United States 0.86% 1.74% 8.52% 6.95% 2.07% - 3.85% $11.72 JH 4 1
JHUS IE0001256803 Janus Henderson JH US Small-Mid Cap Value Acciones United States 8.82% 12.00% 14.85% 10.40% 8.51% 10.02% 18.89% $48.34 JH 3 1
JPAS LU0441851309 JPMorgan JPM ASEAN Equity Acciones Asia Pacific 6.22% 8.08% 21.06% 8.85% 4.81% 6.78% 13.01% $31.44 JPM 3 5
JPCO LU1255011170 JPMorgan JPM China A-Share Opportunities Acciones Single Country 5.15% 9.67% 43.09% 2.25% -7.02% 7.95% 0.00% $31.88 JPM 3 7
JPGB LU0957039414 JPMorgan JPM Global Balanced Mixto / Asignación de Activos Global 1.43% 1.49% 9.35% 9.11% 3.78% 6.64% 7.67% $265.85 JPM 5 4
JPBO LU0867954264 JPMorgan JPM Global Bond Opportunities Renta Fija Global 1.61% 2.05% 8.88% 5.63% 2.21% 4.22% 3.86% $158.35 JPM 4 4
JPGI LU0762807625 JPMorgan JPM Global Income Mixto / Asignación de Activos Global 2.95% 3.76% 12.53% 9.04% 4.86% 6.10% 6.73% $266.06 JPM 5 4
JPMI LU1041599405 JPMorgan JPM Income Renta Fija Global 0.55% 1.38% 6.06% 5.45% 1.98% 4.13% 3.06% $145.70 JPM 4 4
JPLA LU0210535034 JPMorgan JPM Latin America Equity Acciones Latin America 18.51% 21.47% 59.21% 20.02% 10.50% 10.78% 19.91% $45.71 JPM 3 8
JPUG LU0210536198 JPMorgan JPM US Growth Acciones United States -3.57% -4.89% 7.63% 22.26% 9.41% 18.80% 17.29% $94.76 JPM 3 1
JPUS LU0070214290 JPMorgan JPM US Select Equity Acciones United States -0.61% -0.96% 10.34% 17.02% 10.41% 14.55% 13.48% $902.31 JPM 3 1
JPSP LU0292454872 JPMorgan JPM US Select Equity Plus Inversiones Alternativas United States 0.05% 0.63% 11.72% 20.75% 13.18% 15.85% 13.38% $60.64 JPM 1 1
JPUT LU0210536867 JPMorgan JPM US Technology Acciones United States -7.51% -9.34% 1.22% 25.12% 5.03% 23.09% 25.51% $126.56 JPM 3 1
JPUV LU0210536511 JPMorgan JPM US Value Acciones United States 6.56% 7.80% 14.21% 11.61% 10.51% 11.20% 12.50% $46.30 JPM 3 1
AHLG GG00B29ZZ042 Man Investments Man AHL Diversified Guernsey Inversiones Alternativas Global 5.62% 20.94% 20.40% 4.43% 5.10% 3.30% 17.09% $2.18 MAN 1 4
MPEE IE00BYVQ5L09 Man Investments MAN GLG Pan European Equity Growth Acciones Europe 1.93% -0.73% 2.52% 6.43% -0.73% - 19.12% $195.95 MAN 3 2
MHYO IE00BL6VJ735 Man Investments Man Global High Yield Opportunities Renta Fija Global 1.42% 1.26% 7.53% 10.25% 6.15% - 2.95% $189.11 MAN 4 4
MIGO IE000GDY7UP9 Man Investments Man Global Investment Grade Opportunities Renta Fija Global 1.10% 1.38% 8.87% - - - 0.00% $127.27 MAN 4 4
MANT IE00BKY59P81 Man Investments Man TargetRisk Mixto / Asignación de Activos Global 7.27% 6.98% 10.96% 9.93% 4.94% - 10.17% $141.32 MAN 5 4
MFCV LU1985811782 MFS MFS Contrarian Value Acciones Global 10.13% 10.71% 40.84% 20.35% 15.19% - 15.04% $27.28 MFS 3 4
MFDI LU1099986488 MFS MFS Diversified Income Mixto / Asignación de Activos Global 3.42% 4.05% 11.24% 6.97% 3.09% 5.02% 6.39% $15.14 MFS 5 4
MFES LU0219440681 MFS MFS European Smaller Companies Acciones Europe 4.94% 6.41% 16.43% 8.38% 2.23% 6.47% 13.87% $46.49 MFS 3 2
MFEV LU0219440764 MFS MFS European Value Acciones Europe 4.53% 6.60% 20.74% 9.13% 5.03% 8.54% 14.46% $41.97 MFS 3 2
MFTR LU0219441499 MFS MFS Global Total Return Mixto / Asignación de Activos Global 4.62% 6.39% 17.43% 9.07% 4.67% 6.23% 8.36% $49.58 MFS 5 4
MFIA LU0219444592 MFS MFS Inflation-Adjusted Bond Renta Fija United States 1.14% 0.42% 5.79% 2.90% 0.17% 1.88% 5.01% $16.80 MFS 4 1
MFPW LU0337786437 MFS MFS Prudent Wealth Mixto / Asignación de Activos Global -3.52% -4.35% 5.68% 7.29% 1.94% 5.36% 8.40% $24.38 MFS 5 4
MFUK LU0219441655 MFS MFS UK Equity Acciones Single Country 3.00% 4.44% 16.12% 9.86% 5.51% 5.12% 13.51% $22.33 MFS 3 7
MFVF LU0125979160 MFS MFS US Value Acciones United States 4.02% 6.74% 13.03% 9.96% 8.47% 9.44% 12.06% $49.71 MFS 3 1
MSEC LU0603408039 Morgan Stanley MS EM Corp Debt Renta Fija Emerging Markets 1.37% 1.81% 7.18% 7.59% 1.78% 4.05% 3.85% $44.48 MS 4 3
MSME LU0118140002 Morgan Stanley MS Em Eur, Mid E & N Africa Acciones Emerging Markets 13.45% 19.09% 40.05% 16.76% 3.84% 6.95% 11.60% $127.07 MS 3 3
MSEL LU0815263628 Morgan Stanley MS Emerging Leaders Equity Acciones Emerging Markets 6.49% 6.89% 20.55% 8.00% -5.35% 7.58% 14.88% $47.45 MS 3 3
MSLI LU2607188435 Morgan Stanley MS Emerging Markets Local Income Renta Fija Emerging Markets 5.07% 8.46% 25.94% 12.12% 3.41% - 7.45% $12.43 MS 4 3
MSEB LU0073254285 Morgan Stanley MS Euro Bond Renta Fija Europe 2.70% 3.15% 17.35% 6.58% -2.53% 0.43% 7.98% $18.67 MS 4 2
MSBO LU0073230426 Morgan Stanley MS Global Bond Renta Fija Global 1.96% 2.41% 9.73% 3.97% -1.81% 1.44% 5.83% $44.20 MS 4 4
MSGB LU0119620416 Morgan Stanley MS Global Brands Acciones Global -8.15% -9.03% -13.53% 2.49% 2.06% 8.09% 11.16% $201.00 MS 3 4
MSGF LU0694238766 Morgan Stanley MS Global Fixed Income Opportunities Renta Fija Global 1.18% 1.97% 7.87% 6.31% 2.32% 3.95% 2.88% $43.05 MS 4 4
MSGO LU0552385295 Morgan Stanley MS Global Opportunity Acciones Global -3.90% -4.45% -1.71% 19.92% 1.25% 14.65% 19.16% $154.94 MS 3 4
MSGQ LU0955010870 Morgan Stanley MS Global Quality Acciones Global -4.00% -3.79% -7.02% 5.48% 2.88% 8.33% 11.55% $59.98 MS 3 4
MSGP LU0266114312 Morgan Stanley MS QuantActive Global Property Propiedad Global 12.51% 11.22% 22.52% 8.68% 3.85% 3.51% 14.60% $34.98 MS 7 4
MSEG LU0073232471 Morgan Stanley MS US Growth Acciones United States -10.44% -15.21% -6.04% 23.14% -5.50% 15.15% 31.11% $228.70 MS 3 1
INAF LU0345774391 Ninety One NO American Franchise Acciones United States -7.71% -8.13% -2.27% 8.02% 5.15% 12.83% 14.66% $62.11 NO 3 1
INAE LU0345775950 Ninety One NO Asian Equity Acciones Asia Pacific ex Japan 9.96% 11.68% 43.64% 19.15% 3.77% 10.77% 15.90% $48.58 NO 3 6
INEE LU0345777147 Ninety One NO European Equity Acciones Europe 6.18% 9.05% 35.66% 18.33% 9.86% 9.40% 15.66% $46.53 NO 3 2
NOGE LU1939255532 Ninety One NO Global Environment Acciones Global 6.35% 4.21% 23.12% 5.49% 0.99% - 14.71% $39.36 NO 3 4
INGF LU0426412945 Ninety One NO Global Franchise Acciones Global -5.82% -3.50% 6.43% 9.12% 5.30% 9.27% 12.50% $95.55 NO 3 4
INGG LU0345780281 Ninety One NO Global Gold Bienes de Consumo / Energía Global 13.96% 28.05% 160.44% 53.29% 25.47% 19.35% 35.04% $65.37 NO 2 4
NOGM LU1821325948 Ninety One NO Global Macro Allocation Mixto / Asignación de Activos Global 0.27% 0.17% 12.27% 2.63% 2.44% - 9.46% $29.18 NO 5 4
INGM LU0972617095 Ninety One NO Global Managed Income Mixto / Asignación de Activos Global 1.28% 1.01% 7.32% 5.05% 2.25% 3.67% 3.03% $30.07 NO 5 4
INGD LU0345780950 Ninety One NO Global Natural Resources Bienes de Consumo / Energía Global 15.36% 23.44% 55.51% 17.14% 19.98% 15.93% 19.40% $25.38 NO 2 4
INGQ LU1228905037 Ninety One NO Global Quality Dividend Growth Acciones Global 2.11% 3.30% 11.42% 9.60% 6.14% 8.33% 11.75% $42.55 NO 3 4
INLC LU0492942718 Ninety One NO Latin America Corporate Debt Renta Fija Latin America 0.80% 1.43% 8.18% 7.18% 3.00% 5.02% 3.53% $37.71 NO 4 8
INLA LU0492943104 Ninety One NO Latin American Equity Acciones Latin America 16.65% 17.85% 63.28% 11.11% 5.55% 8.81% 18.73% $24.10 NO 3 8
CGBD IE00B3BRDM36 Other CGWM Balanced Mixto / Asignación de Activos Global 2.52% 3.27% 11.35% 9.07% 2.67% 5.71% 7.93% $2.10 OTH 5 4
CSGO IE00B3BRDK12 Other CGWM Opportunity Mixto / Asignación de Activos Global 5.17% 7.11% 18.33% 13.86% 5.23% 8.36% 9.38% $3.53 OTH 5 4
FSEF LU2404859667 Other Fundsmith Equity Acciones Global -0.45% 0.07% 1.62% 8.01% - - 12.76% $11.39 OTH 3 4
IFRE IE00BJ8RGK74 Other India Frontline Equity Acciones Single Country -2.13% -1.49% 10.82% 9.73% 5.73% - 14.59% $171.08 OTH 3 7
IVCB LU1218206255 Other Invesco Global IG Corporate Bond Renta Fija Global 0.75% 0.96% 6.78% 5.78% 0.40% 3.32% 4.92% $13.58 OTH 4 4
IVGC LU0048816135 Other Invesco Greater China Acciones Asia Pacific ex Japan 8.69% 8.49% 41.89% 13.24% -3.43% 8.99% 20.91% $88.65 OTH 3 6
JDYB LU2269171877 Other Jupiter Dynamic Bond Renta Fija Global 3.33% 4.28% 21.43% 6.02% -1.83% - 10.25% $9.01 OTH 4 4
SARB IE000FBV19S5 Other Jupiter Strategic Absolute Return Bond Inversiones Alternativas Global 1.26% 1.09% 7.31% 3.27% - - 2.83% $11.54 OTH 1 4
IESG LU0487139049 Other Kotak India Growth Acciones Single Country -1.51% -2.32% 6.37% 9.37% 5.02% 8.94% 11.95% $25.93 OTH 3 7
IMID LU0511423146 Other Kotak India Midcap Acciones Single Country -0.18% -0.99% 9.48% 13.03% 9.20% 11.71% 14.44% $39.76 OTH 3 7
MIMI LU1689658349 Other Mirae India Mid Cap Equity Acciones Single Country -3.46% -4.97% 9.48% 4.45% - - 14.22% $12.82 OTH 3 7
NTHS LU1923622291 Other Natixis Thematics Safety Acciones Global -0.55% -2.77% -0.96% 10.15% -0.65% - 17.89% $203.59 OTH 3 4
RAIE IE00BN6Q7G76 Other RAMS India Equities Acciones Single Country -1.58% -3.54% 4.17% 12.40% 9.79% - 13.70% $274.35 OTH 3 7
IBAL IE00BDRTD123 Other UTI India Balanced Mixto / Asignación de Activos Single Country -12.01% -9.13% -10.45% 0.87% -2.11% - 8.30% $8.99 OTH 5 7
IDYN IE00BYPC7Q38 Other UTI India Dynamic Equity Acciones Single Country -4.03% -7.23% -1.07% 6.42% 1.51% 9.76% 13.27% $20.47 OTH 3 7
PIDI LU0101692670 Pictet Pictet Digital Acciones Global -10.30% -11.91% -1.32% 20.69% 2.17% 12.50% 20.68% $651.99 PIC 3 4
PIEM LU2272219846 Pictet Pictet Emerging Markets Multi Asset Mixto / Asignación de Activos Emerging Markets 8.23% 10.54% 33.20% 14.97% 4.23% - 11.15% $123.65 PIC 5 3
PGEO LU0503632282 Pictet Pictet Global Environmental Opportunities Acciones Global 9.34% 7.54% 15.69% 9.21% 2.90% 10.84% 15.15% $427.44 PIC 3 4
PGMS LU0386859887 Pictet Pictet Global Megatrend Selection Acciones Global 1.08% 0.77% 7.30% 9.82% 1.76% 9.31% 14.71% $448.10 PIC 3 4
PICA LU0428745748 Pictet Pictet Nutrition Bienes de Consumo / Energía Global 4.99% 2.77% -2.42% -0.55% -4.33% 3.83% 12.89% $258.23 PIC 2 4
PICP LU0280433847 Pictet Pictet Premium Brands Acciones Global 1.21% 2.35% 3.16% 6.81% 5.10% 10.03% 17.40% $344.60 PIC 3 4
PIRO LU1279333675 Pictet Pictet Robotics Acciones Global -2.94% -2.26% 17.55% 22.40% 8.10% 18.26% 23.53% $464.30 PIC 3 4
PISC LU0503635202 Pictet Pictet SmartCity Acciones Global 7.07% 6.49% 7.53% 8.42% -0.20% - 14.61% $262.99 PIC 3 4
PICT LU0340557775 Pictet Pictet Timber Bienes de Consumo / Energía Global 14.47% 16.91% 5.67% 2.59% 0.58% 8.04% 17.17% $249.16 PIC 2 4
PICW LU0255980327 Pictet Pictet Water Bienes de Consumo / Energía Global 7.63% 4.97% 13.18% 9.07% 5.61% 9.59% 13.66% $637.85 PIC 2 4
PMGB IE00B11XZ210 PIMCO PIMCO Global Bond Renta Fija Global 1.04% 1.01% 6.26% 4.93% 0.30% 2.38% 4.12% $32.08 PIM 4 4
PMIF IE00B7KFL990 PIMCO PIMCO Income Renta Fija Global 1.24% 1.87% 9.61% 6.93% 2.83% 4.34% 4.20% $18.02 PIM 4 4
PMMO IE00BYZNBB98 PIMCO PIMCO Mortgage Opportunities Propiedad Global 1.07% 1.82% 7.61% 6.09% 1.95% - 2.98% $12.30 PIM 7 4
PMSP IE00B1D7YP71 PIMCO PIMCO StockPlus Acciones Global -0.38% -0.14% 13.25% 18.56% 11.01% 14.32% 14.48% $73.01 PIM 3 4
PMUH IE00B11XZ871 PIMCO PIMCO US High Yield Renta Fija United States 0.48% 1.63% 7.09% 7.90% 2.95% 5.38% 4.52% $40.02 PIM 4 1
SCAC LU0232504117 Schroders SCH AS Commodity Bienes de Consumo / Energía Global 9.88% 12.04% 23.70% 8.33% 9.98% 6.83% 11.85% $109.65 SCH 2 4
SCAO LU0106259558 Schroders SCH Asian Opportunities Acciones Asia Pacific ex Japan 9.83% 12.27% 48.06% 14.08% 1.56% 11.28% 16.50% $33.15 SCH 3 6
SCBR LU0228659784 Schroders SCH BRIC Acciones Emerging Markets 1.29% -0.93% 25.79% 7.09% -4.74% 8.07% 15.93% $285.09 SCH 3 3
SCCO LU0244354667 Schroders SCH China Opportunities Acciones Single Country 3.29% 2.42% 29.79% 2.64% -7.22% 7.93% 24.54% $462.22 SCH 3 7
SCFM LU0562313402 Schroders SCH Frontier Markets Acciones Emerging Markets 9.02% 15.04% 39.32% 25.58% 17.31% 12.20% 10.01% $344.47 SCH 3 3
SCCB LU0351442180 Schroders SCH Global Convertible Bond Renta Fija Global 4.17% 3.12% 15.47% 8.76% 0.06% 5.22% 8.11% $205.69 SCH 4 4
SCSC LU0240877869 Schroders SCH Global Smaller Companies Acciones Global 8.21% 9.33% 13.62% 7.32% 2.44% 7.84% 15.32% $322.23 SCH 3 4
SCJE LU0903425923 Schroders SCH Japanese Equity Acciones Single Country 11.91% 18.63% 45.40% 25.76% 16.07% 14.37% 17.58% $422.82 SCH 3 7
SCMA LU1195516338 Schroders SCH Multi-Asset Growth and Income Mixto / Asignación de Activos Global 6.40% 7.33% 25.73% 14.64% 6.00% 6.67% 9.62% $296.03 SCH 5 4
SCSM LU0205193047 Schroders SCH US Small & Mid Cap Equity Acciones United States 10.49% 14.44% 14.13% 8.90% 5.82% 9.77% 16.34% $550.01 SCH 3 1
SCTR LU1516354237 Schroders Schroder ISF Global Target Return Mixto / Asignación de Activos Global 3.53% 4.84% 16.23% 11.24% 5.91% - 5.11% $168.68 SCH 5 4
Código ISIN Familia de Fondos Nombre del Fondo Clase de
Activo
Universo de
Inversión
Hasta la fecha 3 meses 1 año 3 años anualiz. 5 años anualiz. 10 años anualiz. 3 años de Volatilidad Precio Unitario
ACAIE LU0232525203 AllianceBernstein AB American Income Renta Fija United States -0.35% -1.07% -5.51% 2.16% 1.29% 2.78% 7.43% €28.66 ACM 4 1
ACEME LU0232528306 AllianceBernstein AB Emerging Markets Growth Acciones Emerging Markets 9.49% 11.54% 22.21% 10.19% 1.38% 7.97% 15.39% €55.29 ACM 3 3
ABHYE LU0232560531 AllianceBernstein AB Global High Yield Renta Fija Global -0.36% -0.77% -6.15% 4.50% 3.57% 4.60% 7.34% €16.80 ACM 4 4
ACGVE LU0232465467 AllianceBernstein AB Global Value Acciones Global 5.62% 7.57% 17.42% 14.60% 11.48% 9.77% 13.89% €27.98 ACM 3 4
ACILE LU0252216485 AllianceBernstein AB India Growth Acciones Single Country -2.96% -4.98% -6.08% 6.46% 4.55% 6.77% 13.60% €184.95 ACM 3 7
ACIHE LU0251853072 AllianceBernstein AB International Health Care Acciones Global 0.10% -0.01% -6.88% 1.94% 5.40% 9.46% 13.32% €507.07 ACM 3 4
ABYIE LU0633139125 AllianceBernstein AB RMB Income Plus Renta Fija Asia Pacific ex Japan -0.27% 0.16% -5.24% -1.08% 0.30% 1.41% 6.13% €18.80 ACM 4 6
ABSAE LU0787776219 AllianceBernstein AB Select Absolute Alpha Portfolio Inversiones Alternativas United States -1.28% -2.29% -8.24% 6.12% 6.42% 6.22% 8.36% €26.94 ACM 1 1
ACGBE LU0232535426 AllianceBernstein AB Short Duration Bond Renta Fija Global -0.76% -1.46% -8.69% 0.64% 2.07% 0.71% 6.55% €16.91 ACM 4 4
ACATE LU0252218267 AllianceBernstein AB Sustainable Global Thematic Acciones Global -3.93% -7.47% -12.11% 1.27% 0.57% 9.72% 14.92% €35.94 ACM 3 4
ACGGE LU0232552355 AllianceBernstein AB Sustainable Global Thematic AX Acciones Global -3.95% -7.47% -12.10% 1.28% 0.57% 9.76% 14.91% €105.36 ACM 3 4
ACAVE LU0232464734 AllianceBernstein AB Sustainable US Thematic Acciones United States -3.87% -7.49% -10.50% 4.14% 3.90% 12.57% 15.18% €40.24 ACM 3 1
BRAGE LU1279613951 BlackRock BR Asian Growth Leaders Acciones Asia Pacific ex Japan 7.10% 9.64% 38.10% 10.63% -3.33% 6.24% 16.53% €16.60 BGF 3 6
BRATE LU0277197249 BlackRock BR Asian Tiger Bond Renta Fija Asia Pacific ex Japan 0.09% -1.28% -4.64% 2.55% -0.77% 1.14% 7.08% €33.89 BGF 4 6
BRCEE LU0224105477 BlackRock BR Continental European Flexible Acciones Europe 2.27% 5.06% 6.90% 9.26% 6.22% 10.88% 15.38% €50.48 BGF 3 2
BRMCE LU0843229971 BlackRock BR EM Corporate Bond Renta Fija Emerging Markets 0.25% 0.58% 4.96% 4.66% -1.01% 2.02% 3.63% €12.06 BGF 4 3
BREBE LU0200683885 BlackRock BR Emerging Markets Bond Renta Fija Emerging Markets 1.16% 1.47% 0.30% 8.86% 3.67% 4.34% 7.88% €20.05 BGF 4 3
BRELE IE00B3L10463 BlackRock BR Euro Liquidity Fund Equivalentes a Efectivo Europe 0.15% 0.35% 1.55% 2.47% 1.14% 0.02% 0.11% €100.18 BGF 6 2
BRGAE LU0171283459 BlackRock BR Global Allocation Mixto / Asignación de Activos Global 1.71% 1.72% 3.21% 8.63% 5.35% 7.29% 8.69% €80.97 BGF 5 4
BRLAE LU0171289498 BlackRock BR Latin American Fund Acciones Latin America 17.40% 13.05% 34.99% 11.01% 7.95% 7.81% 20.58% €77.00 BGF 3 8
BMIDE LU1241524617 BlackRock BR Managed Index Portfolios - Defensive Mixto / Asignación de Activos Global 1.21% 1.46% 5.64% 4.67% 0.54% 1.46% 3.86% €114.55 BGF 5 4
BMIGE LU1241524880 BlackRock BR Managed Index Portfolios - Growth Mixto / Asignación de Activos Global 1.77% 2.21% 9.78% 12.03% 6.31% 8.15% 10.69% €192.84 BGF 5 4
BMIME LU1241524708 BlackRock BR Managed Index Portfolios - Moderate Mixto / Asignación de Activos Global 1.50% 1.68% 7.63% 8.55% 4.03% 5.13% 6.83% €152.27 BGF 5 4
BRNEE LU0171289902 BlackRock BR Sustainable Energy Bienes de Consumo / Energía Global 10.74% 11.24% 34.01% 8.97% 7.10% 12.79% 16.81% €19.90 BGF 2 4
BRWME LU0172157280 BlackRock BR World Mining Fund Bienes de Consumo / Energía Global 18.26% 30.67% 66.58% 15.82% 15.79% 17.96% 23.06% €97.40 BGF 2 4
TABFE LU0229951891 Franklin Templeton FT Asian Bond Renta Fija Asia Pacific ex Japan 1.14% 0.30% -6.88% -2.67% -1.03% -0.40% 6.17% €16.91 FT 4 6
FTASE LU0390135415 Franklin Templeton FT Asian Smaller Companies Acciones Asia Pacific ex Japan 3.93% 2.77% 1.87% 6.50% 4.92% 7.61% 11.90% €83.22 FT 3 6
FBDFE LU1803069274 Franklin Templeton FT Biotechnology Discovery Acciones Global 0.18% 7.24% 47.27% 18.40% 1.50% - 22.28% €16.73 FT 3 4
TEEFE LU0078277505 Franklin Templeton FT Eastern Europe Acciones Emerging Markets 8.94% 15.67% 29.98% 29.11% -3.15% 3.11% 15.62% €21.33 FT 3 3
TEMSE LU0300743431 Franklin Templeton FT EM Smaller Companies Acciones Emerging Markets 5.15% 5.51% 4.80% 6.93% 5.42% 7.08% 11.11% €21.63 FT 3 3
FTEME LU0626262082 Franklin Templeton FT Emerging Markets Fund Acciones Emerging Markets 10.33% 12.83% 49.90% 18.25% 1.94% 8.90% 16.23% €14.42 FT 3 3
TFMFE LU0390137031 Franklin Templeton FT Frontier Markets Acciones Emerging Markets 6.86% 11.40% 12.74% 17.08% 12.83% 7.80% 10.08% €37.52 FT 3 3
TGBFE LU0152980495 Franklin Templeton FT Global Bond Renta Fija Global 2.97% 1.98% 3.86% -0.52% 0.34% 0.61% 7.14% €24.24 FT 4 4
FTGSE LU0923115892 Franklin Templeton FT Global Sukuk Renta Fija Global -0.56% -1.52% -5.87% 0.73% 1.51% 2.09% 6.85% €14.28 FT 4 4
TGTRE LU0260870661 Franklin Templeton FT Global Total Return Renta Fija Global 3.24% 3.50% 6.65% 3.05% 0.88% 0.65% 7.15% €24.23 FT 4 4
FTHYE LU1691812256 Franklin Templeton FT High Yield Renta Fija United States -0.50% -0.50% -5.74% 5.00% 4.26% - 7.12% €13.96 FT 4 1
FINAE LU1129995152 Franklin Templeton FT Income Mixto / Asignación de Activos United States 3.24% 4.67% 10.40% 5.31% 3.48% 4.16% 6.87% €12.10 FT 5 1
FINFE LU0231205187 Franklin Templeton FT India Acciones Single Country -5.95% -7.66% -12.27% 6.84% 7.01% 8.96% 14.18% €65.94 FT 3 7
TKASE LU1093756242 Franklin Templeton FT K2 Alternative Strategies Inversiones Alternativas Global 0.88% 1.68% 5.49% 4.76% 0.69% 1.60% 3.58% €11.52 FT 1 4
FTIVE IE00BD4GTQ32 Franklin Templeton FT LM Infrastructure - Euro Acciones Global 7.88% 6.60% 14.83% 8.79% 9.66% - 11.12% €18.89 FT 3 4
FMBFE LU0140362707 Franklin Templeton FT Mutual US Value Acciones Global 2.55% 5.12% -2.65% 5.17% 8.09% 7.16% 14.42% €107.81 FT 3 4
FNRFE LU0300741732 Franklin Templeton FT Natural Resources Bienes de Consumo / Energía Global 12.42% 18.32% 25.19% 9.56% 19.22% 8.66% 19.64% €10.14 FT 2 4
FTCFE LU0260870158 Franklin Templeton FT Technology Acciones Global -5.05% -7.37% -3.16% 20.06% 6.34% 19.44% 23.57% €49.68 FT 3 4
FAGFE LU0260869739 Franklin Templeton FT US Opportunities Acciones United States -5.40% -7.37% -14.58% 13.20% 4.38% 12.73% 18.69% €30.30 FT 3 1
GACOE IE00B53VBZ63 GAM GAM Star Credit Opportunities Renta Fija Global 0.76% 0.68% 3.06% 5.36% 0.65% 2.98% 5.00% €15.71 GAM 4 4
GAEME IE00B5TN9J68 GAM GAM Star Emerging Markets Rates Inversiones Alternativas Emerging Markets 1.22% 3.28% 12.05% 2.91% -0.89% 0.96% 5.13% €12.42 GAM 1 3
GABAE IE00B5VGTN75 GAM GAM Star Global Balanced Mixto / Asignación de Activos Global 2.65% 2.05% 6.70% 7.23% 1.96% 4.97% 6.92% €15.63 GAM 5 4
GACAE IE00BJ358440 GAM GAM Star Global Cautious Mixto / Asignación de Activos Global 2.60% 2.24% 4.69% 5.67% 1.29% 3.83% 5.03% €13.37 GAM 5 4
GAGRE IE00BJ358770 GAM GAM Star Global Growth Mixto / Asignación de Activos Global 2.86% 1.82% 6.59% 7.35% 2.02% - 8.84% €14.78 GAM 5 4
ISBRE IE00B1W57M07 iShares iShares FTSE BRIC 50 - Euro Acciones Emerging Markets -3.28% -8.48% -0.89% 2.03% -10.54% 3.32% 25.20% €21.80 ISH 3 3
ISBZE IE00B0M63516 iShares iShares MSCI Brazil Acciones Single Country 19.98% 19.66% 32.24% 7.18% 2.51% 6.82% 20.27% €26.73 ISH 3 7
ISLAE IE00B27YCK28 iShares iShares MSCI EM Latin America - Euro Acciones Latin America 17.93% 17.49% 39.40% 10.50% 8.22% 6.83% 17.94% €18.94 ISH 3 8
ISEME IE00B0M63177 iShares iShares MSCI Emerging Markets UCITS Acciones Emerging Markets 7.35% 8.33% 23.10% 11.57% 2.08% 7.61% 14.45% €51.32 ISH 3 3
IMJAE IE00B02KXH56 iShares iShares MSCI Japan Acciones Single Country 12.73% 11.17% 24.18% 15.01% 6.81% 8.43% 16.73% €20.61 ISH 3 7
ISPAE IE00B4WXJD03 iShares iShares MSCI Pacific ex Japan Acciones Asia Pacific ex Japan 7.01% 5.82% 6.32% 3.22% 2.81% 4.94% 14.32% €47.08 ISH 3 6
ISTAE IE00B0M63623 iShares iShares MSCI Taiwan - Euro Acciones Single Country 12.01% 15.23% 30.11% 22.21% 12.07% 15.80% 20.14% €115.85 ISH 3 7
ISWOE IE00B0M62Q58 iShares iShares MSCI World Acciones Global 0.87% 0.02% 2.98% 13.36% 10.45% 11.18% 12.98% €81.18 ISH 3 4
ISPGE IE00B4ND3602 iShares iShares Physical Gold Bienes de Consumo / Energía Global 13.08% 14.88% 48.66% 33.80% 22.33% - 14.81% €80.68 ISH 2 4
ISSPE IE0031442068 iShares iShares S&P 500 Acciones United States -0.80% -2.13% -0.64% 14.53% 12.28% 13.30% 13.76% €57.60 ISH 3 1
HEUAE LU0490786174 Janus Henderson JH Absolute Return Inversiones Alternativas Global 0.37% 0.92% 4.05% 5.13% 3.28% 2.08% 1.90% €8.30 JH 1 4
JHLSE IE00BMXMV145 Janus Henderson JH Global Life Sciences Acciones Global -0.72% 2.07% 2.98% 6.29% - - 15.04% €13.81 JH 3 4
JHGEE LU0200076213 Janus Henderson JH Global Select Acciones Global 1.83% 0.98% 2.20% 11.69% 7.33% 11.54% 13.77% €32.69 JH 3 4
JHCHE LU0572944774 Janus Henderson JH Horizon China Opportunities Acciones Single Country 5.88% 4.30% 20.80% 2.93% -7.48% 5.51% 22.41% €18.18 JH 3 7
JHEHE LU0828815570 Janus Henderson JH Horizon Euro High Yield Renta Fija Europe 0.90% 1.14% 4.48% 6.77% 1.79% 4.04% 3.24% €178.48 JH 4 2
JHELE LU0011889846 Janus Henderson JH Horizon Euroland Acciones Europe 4.85% 7.50% 19.00% 15.75% 11.81% 9.45% 13.80% €92.44 JH 3 2
JHHYE LU0978624277 Janus Henderson JH Horizon Global High Yield Renta Fija Global 0.83% 1.30% 5.64% 6.62% 0.57% 4.01% 4.33% €150.32 JH 4 4
HEGPE LU0264738294 Janus Henderson JH Horizon Global Property Propiedad Global 8.99% 6.20% 1.59% 1.15% 2.36% 5.53% 14.62% €24.85 JH 7 4
HEGTE LU0572952280 Janus Henderson JH Horizon Global Technology Leaders Acciones Global -1.27% -2.80% 4.98% 24.31% 12.07% 19.41% 19.93% €236.07 JH 3 4
HEEAE LU0264597450 Janus Henderson JH Horizon Pan European Alpha Acciones Europe 2.13% 1.42% 8.35% 7.59% 5.15% 4.08% 7.36% €22.07 JH 3 2
HESCE LU0046217351 Janus Henderson JH Horizon Pan European Smaller Companies Acciones Europe 2.39% 5.15% 12.86% 6.45% 4.77% 9.65% 15.08% €84.08 JH 3 2
JHMSE IE00BLK24558 Janus Henderson JH Multi-Sector Income Renta Fija United States 0.59% 1.18% 6.18% 4.81% 0.22% - 3.81% €12.03 JH 4 1
JHUSE IE0001257090 Janus Henderson JH US Small-Mid Cap Value Acciones United States 8.64% 11.43% 12.72% 8.23% 6.21% 7.51% 18.87% €33.84 JH 3 1
JPGBE LU0070212591 JPMorgan JPM Global Balanced - Euro Mixto / Asignación de Activos Global 1.20% 0.97% 7.21% 6.99% 1.76% 4.57% 7.66% €2,431.88 JPM 5 4
JPBOE LU0890597635 JPMorgan JPM Global Bond Opportunities - Euro Renta Fija Global 1.42% 1.54% 6.48% 3.55% 0.28% 2.16% 3.86% €97.23 JPM 4 4
JPGIE LU0740858229 JPMorgan JPM Global Income - Euro Mixto / Asignación de Activos Global 2.72% 3.22% 10.07% 6.85% 2.82% 4.00% 6.71% €171.39 JPM 5 4
JPMIE LU1041599587 JPMorgan JPM Income - Euro Renta Fija Global 0.34% 0.86% 3.75% 3.42% 0.10% 2.11% 3.07% €87.64 JPM 4 4
JPLAE LU0831102792 JPMorgan JPM Latin America Equity Acciones Latin America 16.96% 18.33% 38.66% 15.91% 10.88% 10.18% 18.90% €128.23 JPM 3 8
JPUGE LU0284208625 JPMorgan JPM US Growth - Euro Acciones United States -3.83% -5.42% 5.39% 19.88% 7.10% 16.35% 17.26% €44.16 JPM 3 1
JPUSE LU0218171717 JPMorgan JPM US Select Equity - Euro Acciones United States -1.91% -3.53% -3.90% 13.02% 10.79% 13.92% 13.55% €473.40 JPM 3 1
JPUTE LU0159052710 JPMorgan JPM US Technology - Euro Acciones United States -8.72% -11.69% -11.83% 20.87% 5.42% 22.43% 25.29% €1,007.21 JPM 3 1
JPUVE LU1211166183 JPMorgan JPM US Value - Euro Acciones United States 5.19% 5.01% -0.55% 7.78% 10.88% 10.54% 12.77% €201.34 JPM 3 1
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MHYOE IE00BDTYYP61 Man Investments Man Global High Yield Opportunities - Euro Renta Fija Global 1.23% 0.76% 5.27% 8.31% 4.39% - 2.96% €158.63 MAN 4 4
MIGOE IE000MI53C66 Man Investments Man Global Investment Grade Opportunities Renta Fija Global 0.92% 0.90% 6.68% - - - 0.00% €136.06 MAN 4 4
MATRE IE00BRJT7613 Man Investments Man TargetRisk Mixto / Asignación de Activos Global 7.07% 6.45% 8.64% 7.94% 3.16% - 10.17% €159.52 MAN 5 4
MFCVE LU2459474701 MFS MFS Contrarian Value Acciones Global 8.70% 8.13% 23.25% 16.37% - - 13.02% €22.74 MFS 3 4
MFESE LU0125944966 MFS MFS European Smaller Companies Acciones Europe 3.61% 3.91% 1.92% 4.80% 2.67% 5.86% 11.33% €81.61 MFS 3 2
MFEVE LU0125951151 MFS MFS European Value Acciones Europe 3.21% 4.12% 5.69% 5.53% 5.49% 7.92% 12.15% €69.51 MFS 3 2
MFTRE LU0219418836 MFS MFS Global Total Return Mixto / Asignación de Activos Global 3.27% 3.90% 2.79% 5.46% 5.12% 5.62% 8.00% €28.78 MFS 5 4
MFPWE LU0583242994 MFS MFS Prudent Wealth Mixto / Asignación de Activos Global -4.80% -6.64% -7.52% 3.74% 2.37% 4.75% 7.94% €25.59 MFS 5 4
MSMEE LU0118140002 Morgan Stanley MS Em Eur, Mid E & N Africa Acciones Emerging Markets 11.97% 16.00% 21.98% 12.77% 4.20% 6.38% 10.99% €106.93 MS 3 3
MSLIE LU2607188518 Morgan Stanley MS Emerging Markets Local Income Renta Fija Emerging Markets 3.65% 5.53% 9.60% 8.30% 3.78% - 6.16% €12.22 MS 4 3
MSEBE LU0073254285 Morgan Stanley MS Euro Bond Renta Fija Europe 1.35% 0.51% 2.21% 2.94% -2.19% -0.11% 4.36% €15.71 MS 4 2
MSCBE LU0132601682 Morgan Stanley MS Euro Corporate Bond Renta Fija Europe 1.21% 0.80% 3.58% 4.99% 0.12% 1.94% 3.15% €55.29 MS 4 2
MSGBE LU0335216932 Morgan Stanley MS Global Brands Acciones Global -8.37% -9.56% -15.56% 0.30% -0.14% 5.66% 11.16% €99.66 MS 3 4
MSGOE LU0552385618 Morgan Stanley MS Global Opportunity Acciones Global -4.08% -4.98% -3.90% 17.36% -1.15% 11.97% 19.14% €118.96 MS 3 4
MSGPE LU0552900242 Morgan Stanley MS QuantActive Global Property Propiedad Global 12.22% 10.60% 19.54% 6.24% 1.52% - 14.56% €30.77 MS 7 4
MSEGE LU0073232471 Morgan Stanley MS US Growth Acciones United States -11.61% -17.41% -18.17% 18.93% -5.17% 14.53% 30.85% €192.45 MS 3 1
INAEE LU1784132018 Ninety One NO Asian Equity Acciones Asia Pacific ex Japan 9.68% 10.97% 39.50% 16.29% 1.19% - 15.92% €24.58 NO 3 6
INEEE LU0440694585 Ninety One NO European Equity Acciones Europe 4.88% 6.53% 18.76% 14.42% 10.33% 8.82% 13.53% €89.76 NO 3 2
NOGEE LU1939256001 Ninety One NO Global Environment Acciones Global 5.05% 1.78% 7.81% 2.01% 1.42% - 13.51% €37.67 NO 3 4
INGFE LU0846948197 Ninety One NO Global Franchise Acciones Global -6.97% -5.74% -6.80% 5.51% 5.75% 8.69% 12.41% €66.36 NO 3 4
INGGE LU1578889864 Ninety One NO Global Gold Bienes de Consumo / Energía Global 13.71% 27.18% 151.76% 48.68% 21.65% - 35.02% €75.00 NO 2 4
NOGME LU2527592120 Ninety One NO Global Macro Allocation Mixto / Asignación de Activos Global -0.96% -2.15% -1.66% -0.74% - - 10.25% €19.55 NO 5 4
INGME LU1570387610 Ninety One NO Global Managed Income Mixto / Asignación de Activos Global 1.07% 0.46% 4.84% 2.90% 0.26% - 3.03% €21.66 NO 5 4
INLCE LU1578889609 Ninety One NO Latin America Corporate Debt Renta Fija Latin America 0.54% 0.87% 5.53% 4.97% 0.88% - 3.52% €22.14 NO 4 8
CGBDE IE00BSJCDW50 Other CGWM Balanced - Euro Mixto / Asignación de Activos Global 2.30% 2.69% 8.78% 6.88% 0.58% 3.41% 7.92% €1.35 OTH 5 4
CSGOE IE00BSJCJD81 Other CGWM Opportunity Mixto / Asignación de Activos Global 4.92% 6.50% 15.64% 11.59% 3.10% 6.00% 9.48% €1.59 OTH 5 4
FSEFE LU0690374615 Other Fundsmith Equity Acciones Global -1.82% -2.52% -11.28% 4.22% 3.74% 9.92% 12.09% €56.32 OTH 3 4
IVCBE LU0432616570 Other Invesco Global IG Corporate Bond Renta Fija Global 0.53% 0.43% 4.45% 3.62% -1.58% 1.18% 4.91% €10.70 OTH 4 4
IVGCE LU0482497798 Other Invesco Greater China Acciones Asia Pacific ex Japan 8.34% 7.80% 38.08% 10.50% -5.97% 6.36% 20.87% €50.04 OTH 3 6
PIDIE LU0340554913 Pictet Pictet Digital Acciones Global -11.47% -14.19% -14.06% 16.57% 2.53% 11.88% 20.58% €548.42 PIC 3 4
PIEME LU2272220935 Pictet Pictet Emerging Markets Multi Asset Mixto / Asignación de Activos Emerging Markets 7.26% 8.08% 16.15% 11.17% 4.70% - 10.45% €126.14 PIC 5 3
PGEOE LU0503631714 Pictet Pictet Global Environmental Opportunities Acciones Global 7.92% 4.76% 0.76% 5.48% 3.26% 10.22% 14.18% €359.65 PIC 3 4
PGMSE LU0386882277 Pictet Pictet Global Megatrend Selection Acciones Global -0.24% -1.84% -6.55% 6.07% 2.11% 8.70% 14.05% €377.10 PIC 3 4
PICAE LU0366534344 Pictet Pictet Nutrition Bienes de Consumo / Energía Global 3.62% 0.11% -15.02% -3.96% -4.00% 3.26% 11.73% €217.28 PIC 2 4
PICPE LU0217139020 Pictet Pictet Premium Brands Acciones Global -0.11% -0.31% -10.15% 3.16% 5.46% 9.42% 16.38% €289.91 PIC 3 4
PIROE LU1279334210 Pictet Pictet Robotics Acciones Global -4.21% -4.79% 2.38% 18.22% 8.48% 17.61% 23.11% €390.71 PIC 3 4
PISCE LU0503634221 Pictet Pictet SmartCity Acciones Global 5.68% 3.73% -6.34% 4.72% 0.16% - 13.81% €221.32 PIC 3 4
PICTE LU0340559557 Pictet Pictet Timber Bienes de Consumo / Energía Global 12.98% 13.88% -7.97% -0.92% 0.93% 7.43% 16.11% €209.53 PIC 2 4
PICWE LU0104884860 Pictet Pictet Water Bienes de Consumo / Energía Global 6.23% 2.25% -1.43% 5.34% 5.98% 8.99% 12.98% €536.74 PIC 2 4
PMGBE IE00B11XZ103 PIMCO PIMCO Global Bond Renta Fija Global 0.84% 0.50% 4.03% 2.92% -1.48% 0.40% 4.12% €24.02 PIM 4 4
PMIFE IE00B84J9L26 PIMCO PIMCO Income Renta Fija Global 1.04% 1.39% 7.29% 4.85% 0.95% 2.24% 4.18% €14.57 PIM 4 4
PMUHE IE00B11XZ764 PIMCO PIMCO US High Yield Renta Fija United States 0.25% 1.10% 4.87% 5.82% 1.08% 3.24% 4.52% €28.62 PIM 4 1
SCACE LU0233036713 Schroders SCH AS Commodity - Euro Bienes de Consumo / Energía Global 9.51% 11.28% 20.62% 6.00% 7.80% 4.52% 11.85% €78.50 SCH 2 4
SCAOE LU0248184466 Schroders SCH Asian Opportunities Acciones Asia Pacific ex Japan 8.32% 9.31% 28.70% 10.08% 1.94% 10.67% 15.59% €27.83 SCH 3 6
SCBRE LU0232931963 Schroders SCH BRIC Acciones Emerging Markets -0.10% -3.54% 9.35% 3.34% -4.42% 7.47% 15.00% €239.78 SCH 3 3
SCFME LU2407913743 Schroders SCH Frontier Markets Acciones Emerging Markets 7.52% 12.00% 21.10% 21.18% - - 10.17% €173.12 SCH 3 3
SCCBE LU0352097439 Schroders SCH Global Convertible Bond Renta Fija Global 3.91% 2.53% 12.80% 6.56% -1.92% 3.04% 8.11% €163.38 SCH 4 4
SCSCE LU0279460892 Schroders SCH Global Smaller Companies Acciones Global 6.66% 6.31% -1.72% 3.05% 2.28% 6.70% 14.87% €249.49 SCH 3 4
SCGCE LU0365775922 Schroders SCH Greater China Acciones Single Country 6.27% 4.86% 22.41% 4.51% -3.01% 10.60% 20.87% €86.52 SCH 3 7
SCJEE LU0236737465 Schroders SCH Japanese Equity Acciones Single Country 11.75% 18.14% 42.38% 23.51% 13.94% 12.17% 17.56% €247.33 SCH 3 7
SCMAE LU1062721409 Schroders SCH Multi-Asset Growth and Income Mixto / Asignación de Activos Global 6.15% 6.58% 22.54% 12.18% 3.72% 4.36% 9.61% €176.10 SCH 5 4
SCSME LU0248178732 Schroders SCH US Small & Mid Cap Equity Acciones United States 8.97% 11.43% -0.79% 5.09% 6.18% 9.17% 16.47% €459.99 SCH 3 1
SCTRE LU1900986727 Schroders Schroder ISF Global Target Return Mixto / Asignación de Activos Global 3.30% 4.27% 13.65% 9.09% 3.95% - 5.11% €118.58 SCH 5 4
Código ISIN Familia de Fondos Nombre del Fondo Clase de
Activo
Universo de
Inversión
Hasta la fecha 3 meses 1 año 3 años anualiz. 5 años anualiz. 10 años anualiz. 3 años de Volatilidad Precio Unitario
ACAIG LU0689625878 AllianceBernstein AB American Income Renta Fija United States 0.39% -0.29% 1.17% -0.98% -5.32% -2.64% 4.81% £10.36 ACM 4 1
AEMAG LU0633142269 AllianceBernstein AB Emerging Markets Multi-Asset Portfolio Mixto / Asignación de Activos Emerging Markets 8.15% 10.57% 30.87% 17.86% 3.57% 6.57% 11.83% £22.17 ACM 5 3
ABHYG LU0689626256 AllianceBernstein AB Global High Yield Renta Fija Global 0.39% -0.19% -0.57% 0.16% -4.50% -2.41% 4.62% £10.40 ACM 4 4
ABYIG LU0654558112 AllianceBernstein AB RMB Income Plus Renta Fija Asia Pacific ex Japan 0.06% -1.09% -1.09% -1.67% 0.30% 2.63% 5.68% £16.36 ACM 4 6
ABSAG LU0736559351 AllianceBernstein AB Select Absolute Alpha Portfolio Inversiones Alternativas United States -0.03% 0.03% 4.46% 9.16% 5.42% 5.80% 6.08% £29.51 ACM 1 1
ACGBG LU0689626090 AllianceBernstein AB Short Duration Bond Renta Fija Global 0.26% 0.09% 0.79% 0.86% -1.32% -1.56% 1.29% £11.48 ACM 4 4
ACAVG LU0733933450 AllianceBernstein AB Sustainable US Thematic Acciones United States -2.59% -5.29% 1.84% 7.06% 2.56% 11.71% 15.01% £59.78 ACM 3 1
BRADG LU0171270639 BlackRock BR Asian Dragon Acciones Asia Pacific ex Japan 5.95% 5.73% 26.99% 8.10% 1.63% 10.30% 14.04% £48.93 BGF 3 6
BRECG LU1445718197 BlackRock BR Euro Corporate Bond Renta Fija Europe 1.45% 1.27% 5.39% 6.20% 1.00% - 3.62% £11.93 BGF 4 2
BREUG LU0986743572 BlackRock BR Euro-Markets Acciones Europe 3.10% 4.82% 10.55% 13.06% 10.34% 9.88% 15.25% £26.30 BGF 3 2
BRESG LU1023063255 BlackRock BR European Special Situations Acciones Europe 3.46% 3.71% -6.15% 4.62% 3.31% 7.49% 15.62% £22.11 BGF 3 2
BRGOG LU1181257202 BlackRock BR Fixed Income Global Opportunities Renta Fija Global 1.08% 1.58% 7.87% 5.77% 1.96% 2.32% 3.19% £12.20 BGF 4 4
BRGAG LU0236177068 BlackRock BR Global Allocation Mixto / Asignación de Activos Global 3.00% 4.33% 17.85% 11.76% 4.07% 6.57% 9.04% £46.28 BGF 5 4
BRHYG LU0567554463 BlackRock BR Global High Yield Bond Renta Fija Global 0.67% 1.70% 7.13% 8.00% 2.42% 4.58% 3.80% £22.69 BGF 4 4
BRLAG LU0171289738 BlackRock BR Latin America Acciones Latin America 17.20% 11.26% 40.69% 10.42% 7.82% 9.01% 20.66% £66.97 BGF 3 8
BMIDG LU1817852335 BlackRock BR Managed Index Portfolios - Defensive Mixto / Asignación de Activos Global 1.39% 1.93% 7.71% 6.26% 1.87% - 3.87% £120.02 BGF 5 4
BMIGG LU1817852418 BlackRock BR Managed Index Portfolios - Growth Mixto / Asignación de Activos Global 1.94% 2.64% 11.76% 13.59% 7.58% - 10.68% £180.81 BGF 5 4
BMIMG LU1817852509 BlackRock BR Managed Index Portfolios - Moderate Mixto / Asignación de Activos Global 1.68% 2.12% 9.66% 10.13% 5.34% - 6.83% £149.21 BGF 5 4
BRSLG IE00B3L10240 BlackRock BR Sterling Liquidity Fund Equivalentes a Efectivo Global 0.35% 0.84% 3.65% 4.19% 2.77% 1.44% 0.08% £123.00 BGF 6 4
BRUKG LU0011847091 BlackRock BR United Kingdom Acciones Single Country -0.27% -2.06% 0.92% 8.45% 3.14% 7.18% 10.94% £151.42 BGF 3 7
BRBVG LU0171296279 BlackRock BR US Basic Value Acciones United States 3.19% 2.83% 9.58% 8.24% 10.14% 11.09% 11.82% £118.80 BGF 3 1
BRWBG LU0808759830 BlackRock BR World Bond Renta Fija Global 0.92% 0.66% 5.12% 3.85% -0.77% 0.83% 4.60% £12.12 BGF 4 4
BRWTG LU0171311680 BlackRock BR World Technology Acciones Global -1.60% -5.22% 5.33% 22.12% 5.54% 23.25% 21.61% £83.21 BGF 3 4
GACOG IE00B56BC491 GAM GAM Star Credit Opportunities Renta Fija Global 0.71% 1.30% 5.36% 6.05% 2.00% 4.70% 4.57% £23.73 GAM 4 4
GABAG IE00B55YB208 GAM GAM Star Global Balanced - GBP Mixto / Asignación de Activos Global 2.85% 2.58% 8.93% 9.07% 3.54% 6.34% 6.94% £17.41 GAM 5 4
GACAG IE00BJ358556 GAM GAM Star Global Cautious Mixto / Asignación de Activos Global 2.80% 2.77% 6.88% 7.49% 2.85% 5.19% 5.04% £15.97 GAM 5 4
GASG2 IE00BJ358887 GAM GAM Star Global Growth Mixto / Asignación de Activos Global 3.06% 2.35% 8.73% 9.18% 3.58% 7.26% 8.87% £19.23 GAM 5 4
ISBR2G IE00B1W57M07 iShares iShares FTSE BRIC 50 Acciones Emerging Markets -2.74% -9.35% 4.08% 1.70% -10.53% 4.55% 24.08% £19.06 ISH 3 3
ISBZ2G IE00B0M63516 iShares iShares MSCI Brazil Acciones Single Country 20.78% 18.43% 38.49% 6.89% 2.50% 8.12% 20.50% £23.36 ISH 3 7
ISLA2G IE00B27YCK28 iShares iShares MSCI EM Latin America Acciones Latin America 17.95% 15.96% 46.01% 9.96% 8.10% 8.06% 17.63% £16.50 ISH 3 8
ISEMG IE00B0M63177 iShares iShares MSCI Emerging Markets UCITS Acciones Emerging Markets 7.65% 7.10% 28.63% 11.12% 2.01% 8.87% 13.41% £44.77 ISH 3 3
IMJAG IE00B02KXH56 iShares iShares MSCI Japan Acciones Single Country 13.32% 9.94% 29.86% 14.56% 6.75% 9.72% 15.98% £18.00 ISH 3 7
ISPA2G IE00B4WXJD03 iShares iShares MSCI Pacific ex Japan Acciones Asia Pacific ex Japan 7.14% 4.32% 10.82% 2.70% 2.67% 6.13% 13.22% £40.97 ISH 3 6
ISTA2G IE00B0M63623 iShares iShares MSCI Taiwan Acciones Single Country 12.12% 13.75% 35.62% 21.65% 11.96% 17.13% 19.01% £100.94 ISH 3 7
ISWO2G IE00B0M62Q58 iShares iShares MSCI World Acciones Global 0.97% -1.24% 7.49% 12.83% 10.34% 12.48% 12.16% £70.72 ISH 3 4
ISPG2G IE00B4ND3602 iShares iShares Physical Gold Bienes de Consumo / Energía Global 13.19% 13.37% 55.17% 33.19% 22.22% 15.33% 14.85% £70.29 ISH 2 4
ISSPG IE0031442068 iShares iShares S&P 500 Acciones United States -0.66% -3.34% 3.78% 13.98% 12.19% 14.63% 13.04% £50.20 ISH 3 1
ISTBG IE00BKTN1T54 iShares iShares Treasury Bond Renta Fija United States 0.92% 0.82% 2.49% -0.62% -3.63% - 5.98% £4.30 ISH 4 1
HEUAG LU0200083342 Janus Henderson JH Absolute Return Inversiones Alternativas Global 0.57% 1.40% 6.16% 6.70% 4.65% 3.20% 1.81% £3.95 JH 1 4
JHGEG LU0200077294 Janus Henderson JH Global Select Acciones Global 1.83% -0.46% 6.61% 11.14% 7.21% 12.99% 12.77% £16.33 JH 3 4
HEGPG LU0264739185 Janus Henderson JH Horizon Global Property Propiedad Global 8.82% 4.53% 5.92% 0.63% 2.24% 6.64% 13.94% £21.47 JH 7 4
HEGTG LU0572952017 Janus Henderson JH Horizon Global Technology Leaders Acciones Global -1.43% -4.33% 9.42% 23.65% 11.94% 20.74% 19.28% £205.44 JH 3 4
HEEAG LU1120398216 Janus Henderson JH Horizon Pan European Alpha Inversiones Alternativas Europe 2.32% 1.94% 10.41% 9.23% 6.57% 5.12% 7.35% £16.33 JH 1 2
JPBOG LU1066262434 JPMorgan JPM Global Bond Opportunities - GBP Mixto / Asignación de Activos Global 1.62% 2.04% 8.60% 5.22% 1.67% - 3.86% £122.98 JPM 5 4
JPMIG LU2031211134 JPMorgan JPM Income - GBP Renta Fija Global 0.55% 1.37% 5.85% 5.09% 1.46% - 3.07% £112.02 JPM 4 4
AHLGG LU0428380553 Man Investments Man AHL Trend Inversiones Alternativas Global 10.50% 16.92% 18.77% 2.21% 2.63% 2.88% 15.53% £168.42 MAN 1 4
MAEEG IE00B08F1W51 Man Investments Man GLG European Equity Leaders Acciones Europe -9.41% -5.04% 1.18% 5.55% 3.99% 6.64% 18.40% £179.84 MAN 3 2
MGCBG IE00B7510G27 Man Investments Man GLG Global Convertibles Renta Fija Global 1.10% 0.04% 11.45% 8.26% 1.85% 3.88% 6.62% £149.08 MAN 4 4
MGJAG IE00B665M716 Man Investments Man GLG Japan Core Alpha Acciones Single Country 15.25% 26.97% 59.42% 37.14% 29.41% 17.11% 18.38% £569.56 MAN 3 7
MATRG IE00BRJT7944 Man Investments Man TargetRisk Mixto / Asignación de Activos Global 7.24% 6.93% 10.62% 9.58% 4.49% - 10.18% £132.23 MAN 5 4
MFDIG LU1130815035 MFS MFS Diversified Income Mixto / Asignación de Activos Global 3.49% 4.22% 11.67% 7.37% 3.30% 4.66% 6.33% £14.83 MFS 5 4
MEMDG LU0583240949 MFS MFS Emerging Markets Debt Renta Fija Emerging Markets 1.80% 3.13% 13.12% 9.25% 1.76% 3.65% 5.87% £18.11 MFS 4 3
MFEEG LU0583244420 MFS MFS Emerging Markets Equity Acciones Emerging Markets 6.14% 7.14% 37.31% 17.43% 3.25% 8.58% 13.88% £15.90 MFS 3 3
MFEVH LU1320600379 MFS MFS European Value Acciones Europe 3.36% 2.96% 11.10% 5.84% 6.19% 10.05% 11.92% £24.32 MFS 3 2
MFSGG LU1320599852 MFS MFS Global Equity Acciones Global -1.41% -2.67% -1.65% 3.90% 5.21% 10.08% 12.06% £24.45 MFS 3 4
MFTRH LU0925731761 MFS MFS Global Total Return Mixto / Asignación de Activos Global 4.58% 6.46% 17.56% 9.06% 4.55% 5.70% 8.33% £17.81 MFS 5 4
MFWG LU0583244008 MFS MFS Prudent Wealth H Mixto / Asignación de Activos Global -3.55% -4.38% 5.67% 7.48% 1.93% 5.00% 8.37% £23.12 MFS 5 4
MFUKH LU0583245583 MFS MFS UK Equity Acciones Single Country 1.86% 0.92% 7.16% 6.74% 6.90% 6.88% 11.19% £24.09 MFS 3 7
MSAOG LU1378878943 Morgan Stanley MS Asia Opportunity Acciones Asia Pacific ex Japan 0.88% -1.51% 7.47% 4.64% -9.76% - 19.37% £53.98 MS 3 6
MSGBG LU0715348123 Morgan Stanley MS Global Brands Acciones Global -8.03% -8.78% -13.05% 2.85% 2.14% 7.59% 11.15% £75.51 MS 3 4
MSUAG LU1341423751 Morgan Stanley MS US Advantage Acciones United States -10.65% -14.02% -5.47% 18.72% -5.78% 10.43% 26.08% £62.19 MS 3 1
NOGCG LU2639069009 Ninety One NO Global Credit Income Renta Fija Global 0.68% 1.29% 5.68% - - - 0.00% £23.64 NO 4 4
INUKG LU0345775018 Ninety One NO UK Alpha Acciones Single Country -0.60% -2.85% 3.62% 5.39% 4.62% 5.35% 11.43% £23.18 NO 3 7
CGBDG IE00BFXG4N04 Other CGWM Balanced - GBP Mixto / Asignación de Activos Global 2.46% 3.19% 10.81% 8.49% 1.87% - 7.91% £1.28 OTH 5 4
CSGOG IE00BSJCJC74 Other CGWM Opportunity Mixto / Asignación de Activos Global 5.15% 7.05% 17.74% 13.23% 4.36% 6.96% 9.36% £1.66 OTH 5 4
FSEFG GB00B4LPDJ14 Other Fundsmith Equity Fund Acciones Global -2.54% -4.51% -7.62% 3.91% 3.74% 11.53% 11.57% £6.44 OTH 3 4
IVSB2G LU1775980979 Other Invesco Sterling Bond Renta Fija Single Country 0.39% 0.95% 5.15% 4.79% 0.94% 3.15% 5.94% £5.71 OTH 4 7
PIEMG LU2273156955 Pictet Pictet Emerging Markets Acciones Emerging Markets 8.72% 8.83% 22.97% 9.41% -1.92% - 13.56% £605.25 PIC 3 3
PICJG LU0700312720 Pictet Pictet Japanese Equity Opportunities Acciones Single Country 9.52% 9.95% 22.67% 12.80% 6.73% 11.53% 14.53% £124.39 PIC 3 7
SCACG LU0256322222 Schroders SCH AS Commodity - GBP Bienes de Consumo / Energía Global 9.72% 11.84% 23.01% 7.71% 9.21% 5.63% 11.85% £83.39 SCH 2 4
SCEBG LU0973189300 Schroders SCH Emerging Market Bond Renta Fija Emerging Markets 1.01% -0.36% 5.18% 6.44% 2.86% 5.11% 6.48% £166.30 SCH 4 3
SCECG LU0973189649 Schroders SCH Emerging Market Hard Currency Renta Fija Emerging Markets 0.42% -1.20% 4.67% 6.83% 2.11% 4.47% 7.81% £175.75 SCH 4 3
SCCBG LU0489880327 Schroders SCH Global Convertible Bond Renta Fija Global 4.11% 3.04% 14.99% 8.28% -0.53% 4.20% 8.11% £198.90 SCH 4 4
SCUKG LU0106244527 Schroders SCH UK Equity Acciones Single Country 3.51% 4.62% 5.25% 2.56% 2.60% 2.90% 12.39% £5.27 SCH 3 7