Fondos de inversión por categoría, acceso, coste y rentabilidad.
6630 productos
6.630 de 7.604 fondos; 9.186 de 23.900 productos; Universo: 24.075 productos; 16.429 productos sin clase candidata; 42 productos con datos de NAV antiguos; 123 productos no UCITS excluidos; 11 productos con estado UCITS desconocido; 840 productos excluidos por acceso; Fuera del catálogo global: 139 clases sin producto asignado
Puestos y cuartiles de categoría: recálculo en curso, aparecerán cuando termine.
JPMorgan Liquidity Funds - USD Liquidity LVNAV FundLU1873131558
BlackRock Institutional Cash Series US Dollar LiquidityIE00B3KF1806
PIMCO GIS plc - Income FundIE00B87KCF77
Blackrock Institutional Cash Series Euro Liquidity FundIE00B568BM13
BlackRock Institutional Cash Series Sterling LiquidityIE00B52L4369
Morgan Stanley Liquidity Funds US Dollar Liquidity FundLU1959442614
JPMorgan Liquidity Funds - USD Treasury CNAV FundLU1873132796
Amundi Euro Liquidity SelectFR0010251660
Goldman Sachs US$ Treasury Liquid Reserves FundIE00B2QD4X77
Allianz Global Investors Fund - Allianz Income and GrowthLU0685222696
JPMorgan Liquidity Funds - EUR Liquidity LVNAV FundLU1873127952
Goldman Sachs US$ Liquid Reserves FundIE00B65YMY64
DNCA Invest - Alpha BondsLU1728553857
Fidelity Funds - Global Technology FundLU0346389348
Amundi Euro Liquidity-Rated ResponsibleFR0013508942
Vanguard Global Bond Index FundIE00BGCZ0B53
BNP Paribas InstiCash EUR 1D LVNAVLU0094219127
BlackRock Institutional Cash Series US TreasuryIE00B44K4783
JPMorgan Liquidity Funds - GBP Liquidity LVNAV FundLU1873129651
BNP Paribas Mois ISRFR0007009808
State Street USD Liquidity LVNAV FundIE00BBT33N09
DWS Top DividendeDE000DWS18Q3
iShares Developed World Index Fund (IE)IE00B61D1398
Vanguard Emerging Markets Stock Index FundIE00BFPM9J74
Amundi Euro Liquidity Short Term SRIFR0007435920
Goldman Sachs Euro Liquid Reserves FundIE00BHTFW087
Goldman Sachs Sterling Liquid Reserves FundIE00BL0BL512
Vanguard Global Stock Index FundIE00BFPM9N11
Morgan Stanley Liquidity Funds Euro Liquidity FundLU2747065469
Morgan Stanley Liquidity Funds US Dollar Treasury Liquidity FundLU0875336629
abrdn Liquidity Fund (Lux) - Sterling FundLU0779217453
JPMorgan Liquidity Funds - USD Standard Money Market VNAV FundLU1747647276
JPMorgan Investment Funds - Global Income FundLU1814672587
Fidelity Funds - Global Dividend FundLU1731833056
Vanguard U.S. 500 Stock Index FundIE00BFPM9V94
Polar Capital Funds PLC - Polar Capital Global Technology FundIE00BM95B514
BNP Paribas InstiCash EUR 3MLU0957145286
Caixabank Monetario Rendimiento FIES0138045044
DE0008477076
CM-AM Cash ISRFR0000979825
BlackRock Global Funds - World Technology FundLU1733225426
Schroder International Selection Fund EURO Corporate BondLU0134346039
Algebris UCITS Funds plc - Algebris Financial Credit FundIE00BW38VY51
Deuda subordinada y preferentes
Ostrum SRI Money PlusFR0013230257
DWS Concept KaldemorgenLU1028182704
PIMCO GIS plc - Balanced Income and Growth FundIE00B639QY17
DNB Global IndexNO0013699736
Capital Group New Perspective Fund (LUX)LU2921402660
AB FCP I - American Income PortfolioLU0231611681
BlackRock Global Funds - Global Allocation FundLU0984173384
| Categoría | anual. | ||||||
|---|---|---|---|---|---|---|---|
JPMorgan Liquidity Funds - USD Liquidity LVNAV Fund Select (acc) JPMorgan Liquidity Funds - USD Liquidity LVNAV FundLU1873131558 | Monetario | +6,38 % | +7,40 % | +2,29 % | 6,72 % | 0,10 % | 128,8 mil M EUR |
BlackRock Institutional Cash Series US Dollar Liquidity Agency Acc BlackRock Institutional Cash Series US Dollar LiquidityIE00B3KF1806 | Monetario | +6,49 % | +7,55 % | +2,38 % | 6,74 % | 0,03 % | 91,7 mil M EUR |
PIMCO GIS Income Fund Institutional USD Accumulation PIMCO GIS plc - Income FundIE00B87KCF77 | Renta fija flexible | +0,58 % | +2,87 % | +3,81 % | 6,43 % | 0,55 % | 89,6 mil M EUR |
BlackRock Institutional Cash Series Euro Liquidity Fund Agency (Acc T0) EUR Blackrock Institutional Cash Series Euro Liquidity FundIE00B568BM13 | Monetario | +1,65 % | +2,18 % | +2,94 % | —Dato no disponible | 0,03 % | 64,2 mil M EUR |
BlackRock Institutional Cash Series Sterling Liquidity Fund Agency Inc BlackRock Institutional Cash Series Sterling LiquidityIE00B52L4369 | Monetario | +3,94 % | +4,78 % | +3,45 % | 3,02 % | 0,03 % | 63,9 mil M EUR |
Morgan Stanley Liquidity Funds US Dollar Liquidity Fund Capital Morgan Stanley Liquidity Funds US Dollar Liquidity FundLU1959442614 | Monetario | +5,23 % | +5,87 % | +1,30 % | 6,70 % | 0,15 % | 52,8 mil M EUR |
JPMorgan Liquidity Funds - USD Treasury CNAV Fund E (acc.) JPMorgan Liquidity Funds - USD Treasury CNAV FundLU1873132796 | Monetario | +6,30 % | +7,28 % | +2,13 % | 6,74 % | 0,10 % | 49,5 mil M EUR |
Amundi Euro Liquidity Select IC C Amundi Euro Liquidity SelectFR0010251660 | Monetario | +1,66 % | +2,19 % | +2,98 % | 0,25 % | 0,13 % | 47,9 mil M EUR |
Goldman Sachs US$ Treasury Liquid Reserves Fund X Inc Goldman Sachs US$ Treasury Liquid Reserves FundIE00B2QD4X77 | Monetario | +6,03 % | +7,03 % | +2,12 % | 6,71 % | 0,02 % | 47,9 mil M EUR |
Allianz Global Investors Fund - Allianz Income and Growth IT USD Allianz Global Investors Fund - Allianz Income and GrowthLU0685222696 | Mixto moderado | +9,13 % | +11,47 % | +9,50 % | 10,16 % | 0,86 % | 45,1 mil M EUR |
JPMorgan Liquidity Funds - EUR Liquidity LVNAV Fund E (acc.) JPMorgan Liquidity Funds - EUR Liquidity LVNAV FundLU1873127952 | Monetario | +1,59 % | +2,10 % | +2,87 % | 0,24 % | 0,10 % | 40 mil M EUR |
Goldman Sachs US$ Liquid Reserve Fund X Accumulation Goldman Sachs US$ Liquid Reserves FundIE00B65YMY64 | Monetario | +6,46 % | +7,49 % | +2,33 % | 6,74 % | 0,02 % | 38,7 mil M EUR |
DNCA Invest - Alpha Bonds SI EUR DNCA Invest - Alpha BondsLU1728553857 | Renta fija flexible | +1,43 % | +2,14 % | +4,48 % | 2,01 % | 0,57 % | 34 mil M EUR |
Fidelity Funds - Global Technology Fund Y-Acc-EUR Fidelity Funds - Global Technology FundLU0346389348 | Tecnología | +20,03 % | +23,88 % | +23,36 % | 16,71 % | 1,00 % | 33,1 mil M EUR |
Amundi Euro Liquidity-Rated Responsible R2 Amundi Euro Liquidity-Rated ResponsibleFR0013508942 | Monetario | +1,71 % | +2,26 % | +3,05 % | 0,25 % | 0,06 % | 32 mil M EUR |
Vanguard Global Bond Index Fund Institutional Plus EUR Hedged Acc Vanguard Global Bond Index FundIE00BGCZ0B53 | Renta fija agregada | −3,34 % | −3,16 % | +2,05 % | 4,50 % | 0,10 % | 31,4 mil M EUR |
BNP Paribas InstiCash EUR 1D LVNAV I Capitalisation BNP Paribas InstiCash EUR 1D LVNAVLU0094219127 | Monetario | +1,59 % | +2,10 % | +2,90 % | 0,25 % | 0,12 % | 30 mil M EUR |
BlackRock Institutional Cash Series US Treasury Fund Agency Acc BlackRock Institutional Cash Series US TreasuryIE00B44K4783 | Monetario | +6,35 % | +7,35 % | +2,21 % | 6,74 % | 0,03 % | 29,7 mil M EUR |
JPMorgan Liquidity Funds - GBP Liquidity LVNAV Fund Select (acc.) JPMorgan Liquidity Funds - GBP Liquidity LVNAV FundLU1873129651 | Monetario | +5,05 % | +6,23 % | +5,01 % | 3,02 % | 0,10 % | 29,5 mil M EUR |
BNP Paribas Mois ISR IC BNP Paribas Mois ISRFR0007009808 | Monetario | +1,68 % | +2,20 % | +3,01 % | 0,26 % | 0,12 % | 28,6 mil M EUR |
State Street USD Liquidity LVNAV Fund Premier Stable NAV shares State Street USD Liquidity LVNAV FundIE00BBT33N09 | Monetario | +6,12 % | +6,40 % | +1,96 % | 6,68 % | 0,10 % | 26,6 mil M EUR |
DWS Top Dividende TFC DWS Top DividendeDE000DWS18Q3 | Global dividendos | +14,49 % | +20,23 % | +13,65 % | 8,72 % | 0,80 % | 24,5 mil M EUR |
iShares Developed World Index Fund (IE) Flexible Acc EUR iShares Developed World Index Fund (IE)IE00B61D1398 | Global grandes | +15,06 % | +19,32 % | +18,66 % | 11,42 % | 0,01 % | 23,1 mil M EUR |
Vanguard Emerging Markets Stock Index Fund Institutional Plus EUR Acc Vanguard Emerging Markets Stock Index FundIE00BFPM9J74 | Emergentes | +27,67 % | +33,54 % | +21,13 % | 15,55 % | 0,16 % | 22,8 mil M EUR |
Amundi Euro Liquidity Short Term SRI I C Amundi Euro Liquidity Short Term SRIFR0007435920 | Monetario | +1,61 % | +2,12 % | +2,89 % | 0,25 % | 0,09 % | 22,4 mil M EUR |
Goldman Sachs Euro Liquid Reserves Fund X Acc (T) Goldman Sachs Euro Liquid Reserves FundIE00BHTFW087 | Monetario | +1,63 % | +2,16 % | +2,92 % | 0,24 % | 0,03 % | 22,2 mil M EUR |
Goldman Sachs Sterling Liquid Reserves Fund X Acc (T) Goldman Sachs Sterling Liquid Reserves FundIE00BL0BL512 | Monetario | +5,08 % | +6,26 % | +5,06 % | 3,04 % | 0,03 % | 21,6 mil M EUR |
Vanguard Global Stock Index Fund Institutional Plus EUR Acc Vanguard Global Stock Index FundIE00BFPM9N11 | Global grandes | +15,53 % | +19,17 % | +18,54 % | 11,43 % | 0,11 % | 21,6 mil M EUR |
Morgan Stanley Liquidity Funds Euro Liquidity Fund Institutional Premier EUR Accumulation Morgan Stanley Liquidity Funds Euro Liquidity FundLU2747065469 | Monetario | +1,60 % | +2,10 % | —Dato no disponible | —Dato no disponible | 0,10 % | 20,8 mil M EUR |
Morgan Stanley Liquidity Funds US Dollar Treasury Liquidity Fund Institutional Morgan Stanley Liquidity Funds US Dollar Treasury Liquidity FundLU0875336629 | Monetario | +5,12 % | +5,72 % | +1,11 % | 6,70 % | 0,20 % | 20,8 mil M EUR |
abrdn Liquidity Fund (Lux) - Sterling Fund L-1 Inc GBP abrdn Liquidity Fund (Lux) - Sterling FundLU0779217453 | Monetario | +4,73 % | +5,90 % | +4,87 % | 3,01 % | 0,10 % | 19,7 mil M EUR |
JPMorgan Liquidity Funds - USD Standard Money Market VNAV Fund Select (acc.) JPMorgan Liquidity Funds - USD Standard Money Market VNAV FundLU1747647276 | Monetario | +6,39 % | +7,46 % | +2,46 % | 6,68 % | 0,10 % | 19,5 mil M EUR |
JPMorgan Investment Funds - Global Income Fund I2 (acc) EUR JPMorgan Investment Funds - Global Income FundLU1814672587 | Mixto moderado | +5,18 % | +7,33 % | +9,53 % | 6,73 % | 0,57 % | 19,5 mil M EUR |
Fidelity Funds - Global Dividend Fund Y-Acc-EUR Fidelity Funds - Global Dividend FundLU1731833056 | Global dividendos | +9,12 % | +12,91 % | +14,08 % | 8,93 % | 1,00 % | 19,1 mil M EUR |
Vanguard U.S. 500 Stock Index Fund Institutional Plus EUR Acc Vanguard U.S. 500 Stock Index FundIE00BFPM9V94 | EEUU grandes | +16,23 % | +19,25 % | +19,49 % | 12,84 % | 0,06 % | 18,6 mil M EUR |
Polar Capital Funds PLC - Polar Capital Global Technology Fund I Acc · EUR · Acc · …B514 Polar Capital Funds PLC - Polar Capital Global Technology FundIE00BM95B514 | Tecnología | +66,29 % | +79,67 % | +52,46 % | 32,37 % | 1,08 % | 17,8 mil M EUR |
BNP Paribas InstiCash EUR 3M I M Dis BNP Paribas InstiCash EUR 3MLU0957145286 | Monetario | +1,64 % | +2,18 % | +3,03 % | 1,79 % | 0,13 % | 17,4 mil M EUR |
Caixabank Monetario Rendimiento Sin Retro FI Caixabank Monetario Rendimiento FIES0138045044 | Monetario | +1,62 % | +2,14 % | +2,99 % | 0,26 % | 0,12 % | 17,2 mil M EUR |
UniFavorit: Aktien DE0008477076 | Global grandes | +18,17 % | +21,02 % | +18,93 % | 14,40 % | 1,40 % | 16,7 mil M EUR |
CM-AM Cash ISR IC CM-AM Cash ISRFR0000979825 | Monetario | +1,68 % | +2,22 % | +3,00 % | 0,25 % | 0,06 % | 16,7 mil M EUR |
BlackRock Global Funds - World Technology Fund X2 BlackRock Global Funds - World Technology FundLU1733225426 | Tecnología | +43,56 % | +43,89 % | +34,68 % | 28,69 % | 0,05 % | 16,6 mil M EUR |
Schroder International Selection Fund EURO Corporate Bond I Accumulation EUR Schroder International Selection Fund EURO Corporate BondLU0134346039 | Crédito | −0,74 % | −0,23 % | +5,78 % | 3,72 % | 0,05 % | 16,6 mil M EUR |
Algebris UCITS Funds plc - Algebris Financial Credit Fund XXLD EUR Inc Algebris UCITS Funds plc - Algebris Financial Credit FundIE00BW38VY51 | Deuda subordinada y preferentes | +0,10 % | +1,24 % | +9,17 % | 4,92 % | 0,58 % | 16,3 mil M EUR |
Ostrum SRI Money Plus N (C) EUR Ostrum SRI Money PlusFR0013230257 | Monetario | +1,65 % | +2,17 % | +2,97 % | 0,25 % | 0,17 % | 16 mil M EUR |
DWS Concept Kaldemorgen EUR SC DWS Concept KaldemorgenLU1028182704 | Mixto flexible | +3,64 % | +6,45 % | +6,10 % | 5,13 % | 0,56 % | 15,9 mil M EUR |
PIMCO GIS Balanced Income and Growth Fund Institutional USD Accumulation PIMCO GIS plc - Balanced Income and Growth FundIE00B639QY17 | Mixto moderado | +15,04 % | +20,42 % | +15,69 % | 8,56 % | 0,95 % | 15,6 mil M EUR |
DNB Global Index A EUR DNB Global IndexNO0013699736 | Global grandes | +15,62 % | —Dato no disponible | —Dato no disponible | —Dato no disponible | 0,11 % | 15,3 mil M EUR |
Capital Group New Perspective Fund (LUX) L · USD · Acc · …2660 Capital Group New Perspective Fund (LUX)LU2921402660 | Global grandes | +10,36 % | +13,04 % | —Dato no disponible | —Dato no disponible | 0,53 % | 15,2 mil M EUR |
AB - American Income Portfolio S1 Acc AB FCP I - American Income PortfolioLU0231611681 | Renta fija flexible | −0,17 % | +0,80 % | +2,85 % | 6,31 % | 0,54 % | 15,1 mil M EUR |
BlackRock Global Funds - Global Allocation Fund X2 · EUR · Acc · …3384 BlackRock Global Funds - Global Allocation FundLU0984173384 | Mixto moderado | +10,61 % | +14,76 % | +13,03 % | 9,62 % | 0,07 % | 15 mil M EUR |
Riesgo publicado en EUR. «—» indica que el dato no está disponible para ese fondo o ETF. Rentabilidades de 1 año o más, anualizadas. Las rentabilidades de los ETFs se calculan a precio de mercado, no a valor liquidativo. Con «Clases: Una por fondo» cada fila es la clase elegida según el «Criterio».