CREDIT SUISSE GESTION

Nombre del fondo VL
Rentabilidad 12 meses
SRRI
Patrimonio
CS Hybrid and Subordinated Debt FI
11,229€
6,87%
3
60M€
CS Duración 0-2 FI
1.161,392€
3,62%
2
382M€
CS Renta Fija 0-5 FI
937,555€
2,95%
3
202M€
CS Director Bond Focus FI
8,863€
2,25%
3
8M€
CS Corto Plazo FI
13,033€
1,02%
1
841M€
CS Global AFI FI
5,255€
0,27%
4
17M€
CS Director Income FI
12,866€
-0,32%
4
15M€
CS Equity Yield FI
8,592€
-1,29%
4
18M€
Active Value Selection FI
9,719€
-1,36%
7
1M€
CS Global Fondos Gestión Activa FI
11,989€
-4,06%
4
13M€
CS Family Business FI
6,613€
-5,46%
4
15M€
CS Global Market Trends FI
10,086€
-7,18%
4
133M€
CS Director Flexible FI
14,649€
-7,32%
5
19M€
CS Director Growth FI
23,586€
-7,56%
6
16M€
Credit Suisse Bolsa FI
148,253€
-10,63%
6
45M€
CS Europe Small & Mid Cap FI
11,041€
-18,51%
5
38M€

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