Absolute return Range

Absolute return

Depending on your investor profile, you can combine stability in your net assets or the possibility of increasing your savings in the long term and, at the same time, periodical payments* to supplement your income.

*The periodical payments are made via reimbursements of the investment and do not correspond with the returns obtained.

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Fund nameCategoryAddressCurrencyNAV DateNet Asset valueRisk
 Fund nameCategoryAddressCurrencyNAV DateNet Asset valueRisk

BBVA RETORNO ABSOLUTO, FI

RETORNO ABSOLUTO
ES0162081030
BBVA RETORNO ABSOLUTO, FI
Absolute returnSPAINEURO09/18/2019
3
Fund nameReturn
(1 year)
Return
(3 years)
Return
(5 years)
Volatility
(1 year)
Sharpe
(1 year)
 Fund nameReturn
(1 year)
Return
(3 years)
Return
(5 years)
Volatility
(1 year)
Sharpe
(1 year)

BBVA RETORNO ABSOLUTO, FI

RETORNO ABSOLUTO
ES0162081030
BBVA RETORNO ABSOLUTO, FI
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FundDescription
FundDescription

BBVA RETORNO ABSOLUTO, FI

RETORNO ABSOLUTO
ES0162081030
BBVA RETORNO ABSOLUTO, FI

Retorno Absoluto Fund with a non-guaranteed management objective to obtain an annual yield of the 3 month EURIBOR plus 125 basic points with an annual volatility level lower than 5%. The fund will be exposed directly or indirectly through financial CIIs (more than 50% of the assets) to equities and fixed-income, public or private (including deposits and liquid money-market instruments, listed or otherwise) without fixed percentages of exposure in each type of asset.
THIS FUND MAY INVEST A PERCENTAGE OF 100% IN FIXED-INCOME ISSUANCES WITH LOW CREDIT RATINGS, WHICH MEANS THAT IT HAS A VERY HIGH CREDIT RISK.
THIS FUND DOES NOT HAVE GUARANTEE FROM A THIRD PARTY, MEANING THAT NEITHER THE CAPITAL NOR THE RETURN ARE GUARANTEED.
For further information, please consult the Fund Prospectus. Recommended for positions of more than 3 years.

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