AVIVA INVESTORS

Nombre del fondo VL
Rentabilidad 12 meses
SRRI
Patrimonio
Aviva Investors Emerg Mkts Lcl Ccy Bd Fd
15,864€
15,44%
5
1.606M€
Aviva Investors Emerging Mkts Corp Bd Fd
104,493€
14,96%
3
462M€
Aviva Investors Emerging Markets Bond Fd
13,204€
14,19%
4
3.524M€
Aviva Investors European Rel Est Secs Fd
12,397€
12,43%
5
41M€
Aviva Investors Asian Equity Income Fund
13,263€
14,19%
5
577M€
Aviva Investors US Equity Income Fund
0,000€
13,05%
5
30M€
Aviva Investors Glbl Convert Abs Ret Fd
130,794€
12,57%
6
0M€
Aviva Investors Global High Yield Bd Fd
20,701€
10,74%
3
4.751M€
Aviva Investors Global Emerg Mkts Idx Fd
100,450€
10,99%
6
0M€
Aviva Investors Emerging Mkts Eq Inc Fd
9,397€
9,20%
5
1.169M€
Aviva Investors Shrt Dur Gl Hi Yld Bd Fd
9,507€
7,90%
3
762M€
Aviva Investors Global Convertibles Fund
13,066€
6,01%
4
423M€
Aviva Investors European Equity Fund
13,752€
5,90%
5
139M€
Aviva Investors European Corporate Bd Fd
14,347€
5,08%
3
52M€
Aviva Investors Emerg Mkts Eq Sm Cap Fd
10,157€
2,30%
5
185M€
Aviva Investors European Equity Inc Fd
15,610€
-0,04%
5
2.219M€
Aviva Investors Multi-Strat Trgt Ret Fd
10,156€
-0,02%
4
1.803M€
Aviva Investors Multi-Strat Fxd Inc Fd
99,306€
-0,85%
3
375M€
Aviva Investors Multi-Strat Trgt Inc Fd
8,311€
-1,00%
4
474M€
Aviva Investors UK Listed Eq Hi Alp Fd
16,888€
-1,68%
5
125M€

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