Range Consolidation 85

BBVA Asset Management, a global leader in asset management

Investment with a purpose of increasing preservation of capital, as mínino 85% of the initial investment of the net asset value, increasing that level in agreement achieves profitability.

  • Features
  • Advantages
  • Specialized equipment

  •  Strategies for capital preservation:  the objective of these savings and investment solutions is to ensure that the daily net asset value does not fall below 85% of the maximum historic net asset value of the fund. 
  •  Active management:  carry out strategies of active management to maximize the profitability with great flexibility in possible assets. 
  •  Guarantee of yield:  the asset allocation will be used for portfolio risk control and to guarantee long-term yields 
  •  Complete transparency:  in every moment knows the objective minimum price and for every customer offers the percentage of protection that has, that will be at least 85% of the value of your initial investment.

Carácteristicas of Range Consolidation 85

  •  Diversification  thanks to the active management
  • Consolidation target of at least  85% of the initial investment  .
  • With the advantages of investing through a solution  fiscally advantageous .

Advantages of Consolidation Range 85

We have a professional equipment, with wide experience in the dynamic management of assets, that looks for the management more efficient of your investment, without losing the focus in a strict control of the risk.

In these solutions unite the  excellent case history of BBVA  in the management of guaranteed products and with profitability objective, with the wide experience of the equipment in the management multiasset.

Experts of Consolidation Range 85

Further information on this range

BBVA CONSOLIDACION 85, FI

BBVA PLAN CONSOLIDACIÓN 85, PPI

Range Consolidation 85

Range Consolidation 85

LEGAL NOTICE: At BBVA we seek to achieve the utmost clarity and transparency in the information we offer you. All our managers will provide you with clear and simple explanations about the features of the product. This document contains commercial information and is independent to the documentation we are legally obliged to deliver before subscribing to a fund. Therefore, this document does not substitute or modify the DFI/Fund brochure. Provision of this information does not imply that we are providing an investment consultancy service as we have not considered your personal circumstances. Before subscribing to the fund, please read your DFI/brochure carefully. It is available at www.bbvaassetmanagement.com and www.cnmv.es. In the event of any discrepancy between the information of this document and the legal information of the fund, the latter shall prevail. It is possible that, after the preparation of this document, there may be a modification, through the publication of a Significant Event, to a non-essential element of the FOI/Fund brochure. In this case, the modification will be available to view at www.cnmv.es. We remind you that the net asset value of the investment fund can fluctuate against the interest of the investor and result in the loss of the initial investment. Managing company: BBVA ASSET MANAGEMENT, S.A., SGIIC. The fund BBVA Consolidación 85, FI is registered in the CNMV under number 4903. This document contains commercial information and is independent to the documentation we are legally obliged to deliver before subscribing to a pension plan. Therefore, this document does not substitute or modify the said documentation. Provision of this information does not imply that we are providing an investment consultancy service, since we have not considered your personal circumstances. Before joining the pension plan, read the Statement of principles of the investment policy, the Specifications of the Plan and other available documents at www.bbvaassetmanagement.com. The BBVA Plan Consolidación 85, PPI plan is adhered to the BBVA Pension Fund Ciento Quince, F.P.