Investment funds cycle of life range

We all have big plans to accomplish at every stage of our lives! The funds My Objective has different time horizons so that choose the one which better adapts to your objectives of investment.

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Results  1  to  3  out of  3  products found

Fund nameCategoryAddressCurrencyNAV DateNet Asset valueRisk
 Fund nameCategoryAddressCurrencyNAV DateNet Asset valueRisk

BBVA MI OBJETIVO 2021, FI

MI OBJETIVO 2021
ES0179398005
BBVA MI OBJETIVO 2021, FI
Balanced Fixed IncomeSPAINEURO12/07/2018
2

BBVA MI OBJETIVO 2026, FI

MI OBJETIVO 2026
ES0118858002
BBVA MI OBJETIVO 2026, FI
Balanced Fixed IncomeSPAINEURO12/07/2018
3

BBVA MI OBJETIVO 2031, FI

MI OBJETIVO 2031
ES0159158007
BBVA MI OBJETIVO 2031, FI
Balanced Fixed IncomeSPAINEURO12/07/2018
4
Fund nameReturn
(1 year)
Return
(3 years)
Return
(5 years)
Volatility
(1 year)
Sharpe
(1 year)
Rating
(Morningstar)
 Fund nameReturn
(1 year)
Return
(3 years)
Return
(5 years)
Volatility
(1 year)
Sharpe
(1 year)
Rating
(Morningstar)

BBVA MI OBJETIVO 2021, FI

MI OBJETIVO 2021
ES0179398005
BBVA MI OBJETIVO 2021, FI
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BBVA MI OBJETIVO 2026, FI

MI OBJETIVO 2026
ES0118858002
BBVA MI OBJETIVO 2026, FI
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BBVA MI OBJETIVO 2031, FI

MI OBJETIVO 2031
ES0159158007
BBVA MI OBJETIVO 2031, FI
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FundDescription
FundDescription

BBVA MI OBJETIVO 2021, FI

MI OBJETIVO 2021
ES0179398005
BBVA MI OBJETIVO 2021, FI

International Balanced Fixed-Income Fund. Thus, it allocates most of its assets to investment in various fixed-income assets (securities, bonds, treasury bills, corporate bonds, etc.) and the rest to equity assets, issued in different currencies.

Additionally, fund management is based on the Life Cycle investment strategy with an investment horizon of 2021. In other words, as the established horizon date (2021) approaches, exposure to higher risk assets will progressively be reduced as more conservative assets are increased, with the aim of reducing the volatility of the fund.
THIS FUND CAN INVEST 10% IN FIXED-INCOME ISSUES OF A LOW CREDIT QUALITY, THAT IS, WITH A HIGH CREDIT RISK.
For further information, please consult the Fund Prospectus.

Recommended for positions of up to 5 years and 5 months

BBVA MI OBJETIVO 2026, FI

MI OBJETIVO 2026
ES0118858002
BBVA MI OBJETIVO 2026, FI

International Balanced Equity Fund. That is, it allocates the majority of its assets to investing in different variable income assets, mostly of OECD issuers/markets (maximum 15% of the total emerging market equity exposure), and the rest in public/private fixed-income assets, mostly in OECD markets, issued in different currencies.

Additionally, fund management is based on the Life Cycle investment strategy with an investment horizon of 2026. In other words, as the established horizon date (2026) approaches, exposure to higher risk assets will progressively be reduced as more conservative assets are increased, with the aim of reducing the volatility of the fund.
THIS FUND CAN INVEST 10% IN FIXED-INCOME ISSUES OF A LOW CREDIT QUALITY, THAT IS, WITH A HIGH CREDIT RISK.
For further information, please consult the Fund Prospectus.

Recommended for positions of more than 10 years and 5 months.

BBVA MI OBJETIVO 2031, FI

MI OBJETIVO 2031
ES0159158007
BBVA MI OBJETIVO 2031, FI

International Balanced Equity Fund. That is, it allocates the majority of its assets to investing in different variable income assets, mostly of OECD issuers/markets (maximum 15% of the total emerging market equity exposure), and the rest in public/private fixed-income assets, mostly in OECD markets, issued in different currencies.

Additionally, fund management is based on the Life Cycle investment strategy with an investment horizon of 2031. In other words, as the established horizon date (2031) approaches, exposure to higher risk assets will progressively be reduced as more conservative assets are increased, with the aim of reducing the volatility of the fund.
THIS FUND CAN INVEST 10% IN FIXED-INCOME ISSUES OF A LOW CREDIT QUALITY, THAT IS, WITH A HIGH CREDIT RISK.
For further information, please consult the Fund Prospectus.

Recommended for positions of up to 15 years and 5 months

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