labolsa.com

Regístrate gratis

Fondos de Inversión

Nombre Gestora Ultimo Var. (%) Var. anual Patrimonio
SANTANDER 100 X 1002 SANTANDER ASSET MANAGEMENT 118.4233 0.00 0.87
SANTANDER DEPOSITOS PLUS A SANTANDER ASSET MANAGEMENT 73.1411 0.00 0.26
SANTANDER TESORERO B SANTANDER ASSET MANAGEMENT 116.8567 0.00 0.56
SANTANDER AHORRO GARANTIZADO 2 A SANTANDER ASSET MANAGEMENT 117.6974 0.00 4.96
SANTANDER LIQUIDEZ EMPRESAS SANTANDER ASSET MANAGEMENT 7.0785 0.00 0.74 78.985.660,35
BANESTO GARANTIA 4 AÑOS SANTANDER ASSET MANAGEMENT 114.3897 0.03 2.72 n.d.
BANIF TIPO FIJO ACUMULACION SANTANDER ASSET MANAGEMENT 115.2655 0.01 1.95 n.d.
SANTANDER DIVIDENDO EUROPA B SANTANDER ASSET MANAGEMENT 7.8791 0.14 6.68 n.d.
BANESTO G.RENTAS CRECIENT.2010 A SANTANDER ASSET MANAGEMENT 10.3598 0.00 0.72 64.876.223,59
SANTANDER 100 X 1003 SANTANDER ASSET MANAGEMENT 119.6460 0.01 2.05
SANTANDER DEPOSITOS PLUS B SANTANDER ASSET MANAGEMENT 73.9801 0.00 0.40
SANTANDER DIVIDENDO EUROPA SANTANDER ASSET MANAGEMENT 7.8314 0.14 6.37 195.554.756,94
BANIF ACCIONES ESPAñOLAS GARANTI SANTANDER ASSET MANAGEMENT 912.3798 0.00 -0.09 34.413.497,84
SANTANDER TESORERO C SANTANDER ASSET MANAGEMENT 118.3129 0.00 0.70
SANTANDER 100 X 100 10 SANTANDER ASSET MANAGEMENT 112.9631 0.00 0.39
SANTANDER AHORRO GARANTIZADO 2 B SANTANDER ASSET MANAGEMENT 118.8976 0.00 5.14
OPENBANK EURO INDICE 50 I SANTANDER ASSET MANAGEMENT 138.6520 0.83 6.17 n.d.
OPENBANK DINERO SANTANDER ASSET MANAGEMENT 0.1778 0.00 0.80 101.754.542,86
BANESTO BOLSA 30 2 SANTANDER ASSET MANAGEMENT 81.4017 0.00 0.13 46.532.892,18
SANTANDER TESORERO SANTANDER ASSET MANAGEMENT 119.8286 0.00 0.84 2.045.940.697,93

Fuente: Bolsa de Madrid.

Fondos de inversión: a | b | c | d | e | f | g | h | i | j | k | l | m | n | o | p | q | r | s | t | u | v | w | x | y | z