AllianceBernstein

Nombre del fondo VL
Rentabilidad 12 meses
SRRI
Patrimonio
AB - Concentrated US Equity Portfolio
39,920€
41,51%
1.292M€
AB - India Growth Portfolio
196,780€
55,51%
133M€
AB - US Small and Mid-Cap Portfolio
38,592€
67,18%
117M€
AB SICAV I - Low Volatility Equity Portfolio
18,960€
25,07%
3.286M€
AB - Eurozone Equity Portfolio
31,750€
33,74%
672M€
AB - Select US Equity Portfolio
29,250€
37,65%
3.444M€
AB - Global Core Equity Portfolio
351,410€
31,92%
1.357M€
AB FCP I-Sustainable US Thematic Portfolio
37,971€
40,62%
828M€
AB FCP II-EMERGING MARKETS VALUE PORTFOLIO
47,910€
38,31%
0M€
AB - Concentrated Global Equity Portfolio
34,470€
32,17%
684M€
AB Asia Ex-Japan Equity Portfolio
23,010€
31,04%
317M€
AB - International Health Care Portfolio
455,715€
27,17%
2.043M€
AB - Global Real Estate Securities Portfolio
26,197€
36,19%
44M€
AB SICAV I-Sustainable Global Thematic Portfolio
116,611€
38,87%
3.195M€
AB - International Technology Portfolio
688,331€
49,08%
1.376M€
AB - American Growth Portfolio
153,405€
36,97%
6.610M€
AB SICAV I - European Equity Portfolio
19,900€
35,65%
651M€
AB - Global Value Portfolio
18,566€
38,88%
789M€
AB - Global Equity Blend Portfolio
24,920€
38,29%
115M€
AB - Dynamic Diversified Portfolio
24,706€
21,36%
38M€

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