Crèdit Andorrà Asset Management Luxembourg

Nombre del fondo VL
Rentabilidad 12 meses
SRRI
Patrimonio
Crediinvest SICAV - Money Market Dollar Fund
10,556€
12,53%
2
35M€
Crediinvest SICAV - Fixed Income Dollar Fund
10,544€
1,36%
3
5M€
Crediinvest SICAV - Money Market Euro Fund
9,859€
-0,74%
1
61M€
Crediinvest SICAV - Short Term Fixed Income Euro Fund
9,783€
-4,46%
2
42M€
Crediinvest Active Allocation Conservative
9,670€
-4,84%
3
25M€
Crediinvest Active Allocation Flexible
10,962€
-5,92%
4
125M€
Crediinvest SICAV - Spanish Value Fund
203,380€
-6,05%
6
12M€
Crediinvest SICAV - Fixed Income Euro
10,207€
-9,45%
3
31M€
Crediinvest Active Allocation Dynamic
12,050€
-9,58%
5
64M€
Crediinvest SICAV - US American Value Fund
9,973€
-18,80%
6
26M€
Crediinvest Sicav Active Allocation Equity
8,879€
-21,01%
6
0M€

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