Aviva Investors Luxembourg SA

Nombre del fondo VL
Rentabilidad 12 meses
SRRI
Patrimonio
Aviva Investors - UK Listed Equity High Alpha Fund
7,404€
32,81%
6
114M€
Aviva Investors - Emerging Markets Equity Small Cap Fund
20,422€
18,07%
6
176M€
Aviva Investors - European Equity Income Fund
13,841€
17,40%
6
171M€
Aviva Investors - Sustainable Income & Growth Fund
117,883€
14,72%
5
32M€
Aviva Investors - European Equity Fund
11,597€
13,38%
6
72M€
Aviva Investors - Climate Transition European Equity Fund
150,866€
12,17%
6
446M€
Aviva Investors - European High Yield Bond Fund
104,572€
5,00%
4
39M€
Aviva Investors - Short Duration Global High Yield Bond Fund
10,512€
1,95%
4
417M€
Aviva Investors - Global High Yield Bond Fund
20,843€
1,88%
4
3.286M€
Aviva Investors - US Investment Grade Bond Fund
104,591€
1,16%
4
184M€
Aviva Investors - Multi-Strategy Target Return Fund
9,614€
1,03%
4
1.177M€
Aviva Investors - Asian Equity Income Fund
7,897€
0,69%
6
520M€
Aviva Investors - Global Emerging Markets Index Fund
140,651€
-1,33%
6
2.413M€
Aviva Investors - Global Convertibles Absolute Return Fund
12,019€
-1,96%
4
1.155M€
Aviva Investors - European Corporate Bond Fund
1,851€
-2,10%
3
42M€
Aviva Investors - Emerging Markets Equity Income Fund
11,351€
-2,36%
6
1.377M€
Aviva Investors - Emerging Markets Corporate Bond Fund
129,567€
-3,55%
4
939M€
Aviva Investors - Emerging Markets Local Currency Bond Fund
4,647€
-4,03%
4
1.391M€
Aviva Investors - Emerging Markets Bond Fund
138,918€
-5,12%
4
3.455M€
Aviva Investors - Global Convertibles Fund
16,214€
-5,55%
4
387M€

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