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Fondos de Inversión

Nombre Gestora Ultimo Var. (%) Var. anual Patrimonio
CAJASTUR CARTERA MODERADA CAJASTUR GESTION 7.3425 0.73 0.00 5.127.232,18
CCM RENTA PROGRESIVO CAJASTUR GESTION 6.7960 0.00 0.00
ASTURFONDO MIX-RENTA FIJA CAJASTUR GESTION 9.4440 0.31 0.00 17.419.710,26
CAJASTUR DOBLE OPTIMO CAJASTUR GESTION 8.5874 0.18 0.00 29.087.297,72
ASTURFONDO MIX-RENTA VARIABLE CAJASTUR GESTION 7.8711 0.86 0.00 9.225.774,26
ASTURFONDO GLOBAL CAJASTUR GESTION 8.0234 0.63 0.00 34.460.160,21
ASTURFONDO DINERO CAJASTUR GESTION 853.7479 0.00 0.00 236.703.972,04
ASTURFONDO RENTAS CAJASTUR GESTION 9.5194 0.02 0.00 124.316.012,61
ASTURFONDO RENTA VARIABLE ESPAÑA CAJASTUR GESTION 10.5547 1.29 0.00 12.132.187,72
CAJASTUR BOLSA MUNDIAL CAJASTUR GESTION 8.1479 0.30 0.00 26.522.268,21
ASTURFONDO RENTA VARIABLE EURO CAJASTUR GESTION 7.2909 1.13 0.00 9.430.501,20
CAJASTUR CARTERA AGRESIVA CAJASTUR GESTION 7.7378 1.17 0.00 2.483.088,43
CAJASTUR RENTA FIJA CAJASTUR GESTION 10.3778 0.21 0.00 6.615.870,81
CAJASTUR RENTA FIJA II, FI CAJASTUR GESTION 7.3794 0.00 0.00
ASTURFONDO AHORRO CAJASTUR GESTION 9.7683 0.08 0.00 50.656.341,15
CAJASTUR CARTERA CONSERVADORA CAJASTUR GESTION 7.1131 0.33 0.00 27.859.041,30
CAJASTUR VALOR GARANTIZADO CAJASTUR GESTION 8.6606 0.22 0.00 21.580.763,73
LIBERBANK ESPAÑA 4 GARANTIZADO CAJASTUR GESTION 6.3043 0.49 0.00 n.d.
ASTURFONDO PLAZO II CAJASTUR GESTION 7.5736 -0.17 0.00 33.644.366,34
LIBERBANK OBJETIVO I CAJASTUR GESTION 7.2446 0.00 0.00 n.d.

Fuente: Bolsa de Madrid.

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