KBC Asset Management SA

Nombre del fondo VL
Rentabilidad 12 meses
SRRI
Patrimonio
KBC Bonds Corporate USD
1.367,970€
4,69%
4
61M€
KBC Bonds Inflation-Linked Bonds
1.121,360€
3,94%
3
733M€
KBC Renta - Canarenta
2.615,080€
3,37%
3
51M€
KBC Renta - Dollarenta
1.215,090€
2,58%
3
34M€
KBC Bonds Emerging Markets
2.575,670€
0,83%
4
281M€
KBC Renta - Nokrenta
6.454,350€
0,27%
3
140M€
KBC Renta - Short EUR
698,510€
-1,16%
2
87M€
KBC Bonds Convertibles
1.012,330€
-1,56%
4
74M€
KBC Bonds Capital Fund
1.008,340€
-1,74%
3
36M€
KBC Bonds High Interest
2.004,940€
-1,88%
3
761M€
KBC Bonds Corporates Euro
932,290€
-1,94%
3
983M€
KBC Bonds Europe Ex-EMU
1.078,133€
-2,37%
4
32M€
KBC Renta - Czechrenta
37.013,660€
-2,71%
3
97M€
KBC Renta - Eurorenta
3.077,100€
-3,68%
3
135M€
KBC Bonds Emerging Europe
742,130€
-10,67%
4
70M€

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