SABADELL ASSET MANAGEMENT LUXEMBOURG, S.A.

Nombre del fondo VL
Rentabilidad 12 meses
SRRI
Patrimonio
Sabadell Funds SICAV Capital Appreciation 2
948,110€
8,07%
8M€
Sabadell Funds SICAV Capital Appreciation 1
253,300€
1,83%
6M€
Sabadell Funds SICAV Capital Appreciation 3
13,440€
12,75%
10M€
Sabadell Funds SICAV Sterling Portfolio
14,035€
9,57%
10M€
Sabadell Funds SICAV Dollar Portfolio
1.128,314€
6,97%
31M€
Sabadell Funds SICAV Capital Noveurope
523,880€
30,30%
3M€
SABADELL FUNDS SICAV - GLOBAL BALANCED ALLOCATION 40
109,515€
14,03%
0M€
SABADELL FUNDS SICAV - US CORE EQUITY
127,888€
33,23%
0M€

Divisas

Materias primas

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