Top-performers investment funds

Investment funds with the greatest return over 1 year

Compare funds Add to portfolio of funds

Results  46  to  60  out of  91  products found

Fund nameCategoryRegistered inCurrencyNAV DateNet Asset valueSRRI
 Fund nameCategoryRegistered inCurrencyNAV DateNet Asset valueSRRI

BBVA MI INVERSIÓN MIXTA, FI

MI INVERSIÓN MIXTA
ES0119179002
BBVA MI INVERSIÓN MIXTA, FI
Balanced EquitySPAINEURO10/17/2019
4

BBVA BOLSA EUROPA, FI

BOLSA EUROPA CLASE A
ES0114371034
BBVA BOLSA EUROPA, FI CLASE A
EquitiesSPAINEURO10/17/2019
6

BBVA FUTURO SOSTENIBLE ISR, FI

FUTURO SOSTENIBLE ISR A
ES0114279039
BBVA FUTURO SOSTENIBLE ISR, FI CLASE A
Balanced Fixed IncomeSPAINEURO10/16/2019
3

BBVA EUR CORPORATE BOND FUND

EUR CORPORATE BOND P
LU0412959297
BBVA EUR CORPORATE BOND FUND CLASE P
Luxembourg SICAVLUXEMBOURGEURO10/16/2019
3

BBVA GLOBAL FUNDS ABSOLUTE GLOBAL TRENDS FUND

ABSOLUTE GLOBAL TRENDS EUR FUND
LU1292913206
BBVA GLOBAL FUNDS ABSOLUTE GLOBAL TRENDS EUR FUND
Luxembourg SICAVLUXEMBOURGEURO10/16/2019
6

BBVA EUROPEAN EQUITY FUND

EUROPEAN EQUITY P
LU1097722836
BBVA EUROPEAN EQUITY FUND CLASE P
Luxembourg SICAVLUXEMBOURGEURO10/16/2019
6

BBVA BOLSA LATAM, FI

BOLSA LATAM
ES0142332032
BBVA BOLSA LATAM, FI
EquitiesSPAINEURO10/17/2019
6

QUALITY INVERSIÓN MODERADA, FI

QUALITY INVERSIÓN MODERADA
ES0172242002
QUALITY INVERSIÓN MODERADA, FI
GlobalSPAINEURO10/16/2019
4

BBVA BOLSA EURO, FI

BOLSA EURO
ES0110101039
BBVA BOLSA EURO, FI
EquitiesSPAINEURO10/17/2019
6

BBVA BONOS DURACIÓN, FI

BONOS DURACIÓN CLASE B
ES0114487038
BBVA BONOS DURACIÓN, FI, CLASE B
Euro Fixed-IncomeSPAINEURO10/17/2019
2

MULTIACTIVO MIXTO RENTA FIJA, FI

MULTIACTIVO MIXTO RENTA FIJA
ES0164977037
MULTIACTIVO MIXTO RENTA FIJA, FI
Balanced Fixed IncomeSPAINEURO10/16/2019
3

BBVA BONOS ESPAÑA LARGO PLAZO, FI

BONOS ESPAÑA LARGO PLAZO
ES0113465001
BBVA BONOS ESPAÑA LARGO PLAZO, FI
Euro Fixed-IncomeSPAINEURO10/17/2019
3

BBVA EUR CORPORATE BOND FUND

EUR CORPORATE BOND A
LU0836880509
BBVA EUR CORPORATE BOND FUND CLASE A
Luxembourg SICAVLUXEMBOURGEURO10/16/2019
3

BBVA EUROPEAN EQUITY FUND

EUROPEAN EQUITY A (EUR)
LU0279747918
BBVA EUROPEAN EQUITY FUND CLASE A
Luxembourg SICAVLUXEMBOURGEURO10/16/2019
6

BBVA BONOS INTERNACIONAL FLEXIBLE, FI

BONOS INTERN. FLEXIBLE
ES0110174036
BBVA BONOS INTERNACIONAL FLEXIBLE, FI
International Fixed-IncomeSPAINEURO10/16/2019
4
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 MI INVERSIÓN MIXTA, FI

MI INVERSIÓN MIXTA
ES0119179002
BBVA MI INVERSIÓN MIXTA, FI
--

BBVA BOLSA EUROPA, FI

BOLSA EUROPA CLASE A
ES0114371034
BBVA BOLSA EUROPA, FI CLASE A

BBVA FUTURO SOSTENIBLE ISR, FI

FUTURO SOSTENIBLE ISR A
ES0114279039
BBVA FUTURO SOSTENIBLE ISR, FI CLASE A
--------

BBVA EUR CORPORATE BOND FUND

EUR CORPORATE BOND P
LU0412959297
BBVA EUR CORPORATE BOND FUND CLASE P
------

BBVA GLOBAL FUNDS ABSOLUTE GLOBAL TRENDS FUND

ABSOLUTE GLOBAL TRENDS EUR FUND
LU1292913206
BBVA GLOBAL FUNDS ABSOLUTE GLOBAL TRENDS EUR FUND
----

BBVA EUROPEAN EQUITY FUND

EUROPEAN EQUITY P
LU1097722836
BBVA EUROPEAN EQUITY FUND CLASE P
----

BBVA BOLSA LATAM, FI

BOLSA LATAM
ES0142332032
BBVA BOLSA LATAM, FI

QUALITY INVERSIÓN MODERADA, FI

QUALITY INVERSIÓN MODERADA
ES0172242002
QUALITY INVERSIÓN MODERADA, FI
--

BBVA BOLSA EURO, FI

BOLSA EURO
ES0110101039
BBVA BOLSA EURO, FI

BBVA BONOS DURACIÓN, FI

BONOS DURACIÓN CLASE B
ES0114487038
BBVA BONOS DURACIÓN, FI, CLASE B

MULTIACTIVO MIXTO RENTA FIJA, FI

MULTIACTIVO MIXTO RENTA FIJA
ES0164977037
MULTIACTIVO MIXTO RENTA FIJA, FI
--

BBVA BONOS ESPAÑA LARGO PLAZO, FI

BONOS ESPAÑA LARGO PLAZO
ES0113465001
BBVA BONOS ESPAÑA LARGO PLAZO, FI

BBVA EUR CORPORATE BOND FUND

EUR CORPORATE BOND A
LU0836880509
BBVA EUR CORPORATE BOND FUND CLASE A
----

BBVA EUROPEAN EQUITY FUND

EUROPEAN EQUITY A (EUR)
LU0279747918
BBVA EUROPEAN EQUITY FUND CLASE A
--------

BBVA BONOS INTERNACIONAL FLEXIBLE, FI

BONOS INTERN. FLEXIBLE
ES0110174036
BBVA BONOS INTERNACIONAL FLEXIBLE, FI
--
FundDescription
FundDescription

BBVA MI INVERSIÓN MIXTA, FI

MI INVERSIÓN MIXTA
ES0119179002
BBVA MI INVERSIÓN MIXTA, FI

Balanced equity Fund whose objective of management is the investment in a portfolio compound between 40% and 60% of equities mostly of issuers European, without reject other countries OECD, of registration / half a capitalization, that offer high income for dividends. The rest in fixed income public and/or private OECD, included up to 20% in deposits, of minimum quality credit average (mín. BBB -) or rating from Spain at all times if was inferior. The currency exchange risk be able to be of 100% of total exposure.

THIS FUND DOES NOT GUARANTEE THE RETURN OR THE INITIAL INVESTMENT, MEANING THE INVESTOR MAY SUFFER LOSSES. THE PERIODIC PAYMENTS ARE REIMBURSEMENTS OF YOUR INVESTMENT. THEY DO NOT CORRESPOND TO THE RETURN OBTAINED BY THE FUND. THE FUND MAY BE SUFFERING LOSSES EVEN IF THE PERIODIC PAYMENTS ARE RECEIVED.

Minimum recommended time horizon 3 years.

BBVA BOLSA EUROPA, FI

BOLSA EUROPA CLASE A
ES0114371034
BBVA BOLSA EUROPA, FI CLASE A

Equity fund that invests in the most representative European companies. The fund portfolio is therefore invested in euros and in other European currencies, mainly Sterling, without Euro hedging.

Recommended for positions of more than 3 years.

BBVA FUTURO SOSTENIBLE ISR, FI

FUTURO SOSTENIBLE ISR A
ES0114279039
BBVA FUTURO SOSTENIBLE ISR, FI CLASE A

A mixed fixed-income fund that will invest up to 30% in Equities, with the rest of the portfolio invested in public and private fixed-income, including up to 10% in deposits, with a duration no higher than 6 years. The fund can invest between 0-100% in assets denominated in currencies other than the Euro. Investments will be chosen using Socially Responsible Investment criteria (screening for sustainable investments: companies that include the minimisation of environmental risk, social justice and good governance in their business strategies and operations, to create value in the medium to long term). The majority of the portfolio will meet these ethical standards.
THIS FUND CAN INVEST 5% IN LOW CREDIT QUALITY FIXED-INCOME ISSUES, THESE HAVE A HIGH CREDIT RISK.
For further information, please consult the Fund Prospectus.

Recommended for positions of more than 3 years.

BBVA EUR CORPORATE BOND FUND

EUR CORPORATE BOND P
LU0412959297
BBVA EUR CORPORATE BOND FUND CLASE P

BBVA USD Corporate Bond has the objective of maximizing total yields by investing in a diversified portfolio with high-quality fixed-income instruments issued in EUR.

The portfolio is constructed from strong positions of our credit selectors.

The average portfolio term is less than 5 years, which will be the product of selecting issuances and positioning on the sections of the credit curve with the greatest value at any given time.

The portfolio is managed independently of a benchmark index.

Recommended for an investment term of more than 2 years.

BBVA GLOBAL FUNDS ABSOLUTE GLOBAL TRENDS FUND

ABSOLUTE GLOBAL TRENDS EUR FUND
LU1292913206
BBVA GLOBAL FUNDS ABSOLUTE GLOBAL TRENDS EUR FUND

The aim of the fund is to obtain an appreciation of the capital by means of a flexible investment strategy based on diversification and risk control. To do so, the fund will invest its assets in a compound diversified portfolio of fixed-income and equity assets, directly or indirectly through other UCITSs or UCIs, or through the use of financial derivatives. Similarly, the compartment may be exposed to absolute return strategies.

Recommended for positions of more than 3 years.

BBVA EUROPEAN EQUITY FUND

EUROPEAN EQUITY P
LU1097722836
BBVA EUROPEAN EQUITY FUND CLASE P

The aim of the Compartment is to generate positive yield in the medium term by means of the investment of at least 80% of its assets in variable-yield securities traded on European stock exchanges. The Compartment is actively managed with the aim of exceeding the EUROTOP 100 Index. The EUROTOP 100 Index is a market capitalization-weighted index of stock with high capitalization and actively traded on pan-European markets. The components are shares with the highest capitalization in every country.

Recommended for positions of more than 3 years.

BBVA BOLSA LATAM, FI

BOLSA LATAM
ES0142332032
BBVA BOLSA LATAM, FI

Equity fund that invests in the most representative companies on the Latin American stock markets. The fund maintains significant positions in assets denominated in currencies other than the euro, basically the dollar and local currencies, mainly the Brazilian real and the Mexican peso.

Recommended for positions of more than 3 years.

QUALITY INVERSIÓN MODERADA, FI

QUALITY INVERSIÓN MODERADA
ES0172242002
QUALITY INVERSIÓN MODERADA, FI

Quality Inversión Moderada is a global asset allocation fund. The fund will diversify its portfolio assets in three main profit engines: international fixed-income, international equities and currencies. The investment in Equities will range between 20% and 60% of the portfolio's capital, based upon the expectations of the management team. Fixed-income investments will be high quality with a 5% limit with a lower rating The fund will invest a minimum of 50% of its assets through other Spanish or foreign CIIs within or outside the BBVA Group, investing up to 15% of its assets in emerging markets and without predetermination regarding the rating and capitalization of these assets).
THIS FUND CAN INVEST 30% IN LOW CREDIT QUALITY FIXED-INCOME ISSUES, WHICH MEANS THEY HAVE A HIGH CREDIT RISK.
For further information, please consult the Fund Prospectus. Recommended for positions of more than 3 years.

BBVA BOLSA EURO, FI

BOLSA EURO
ES0110101039
BBVA BOLSA EURO, FI

Equity fund that invests in the most representative companies in the euro zone.

Recommended for positions of more than 3 years.

BBVA BONOS DURACIÓN, FI

BONOS DURACIÓN CLASE B
ES0114487038
BBVA BONOS DURACIÓN, FI, CLASE B

A Long-Term Fixed-Income Fund that invests in fixed-income assets in euros, with a target average duration of the portfolio of 3 years. Its portfolio is composed mainly of public debt, although you can also invest in private fixed-income of high credit quality.
THIS FUND CAN INVEST 5% IN LOW CREDIT QUALITY FIXED-INCOME ISSUES, THESE HAVE A HIGH CREDIT RISK.
For further information, please consult the Fund Prospectus.

Recommended for positions at more than 2 years.

MULTIACTIVO MIXTO RENTA FIJA, FI

MULTIACTIVO MIXTO RENTA FIJA
ES0164977037
MULTIACTIVO MIXTO RENTA FIJA, FI

Mixed Fixed Income Fund that directly or indirectly invests up to 30% of total exposure in equities through financial CIIs (maximum 50%) that are eligible assets, that may or may not be harmonized and that may or may not belong to the Management Group, while the rest will be invested in public and/or private fixed-income securities (including up to 20% in deposits). Total investment non-harmonized CII will not exceed 30%. The sum of investments in equities from non-Euro zone issuers, plus exposure to currency risk, will not exceed 30%.

The term of the fixed-income portfolio will be at most 5 years. The bonds in the portfolio will be mainly denominated in euros.

BBVA BONOS ESPAÑA LARGO PLAZO, FI

BONOS ESPAÑA LARGO PLAZO
ES0113465001
BBVA BONOS ESPAÑA LARGO PLAZO, FI

Long-term fixed-income fund that invests 100% in fixed income securities issued or endorsed by the Spanish state or the autonomous community, with an average portfolio term between 3 and 5 years. The fund is managed by using the performance of the Bank of America Merrill Lynch 3-5 Year Spain Government Index as a benchmark. The exposure to currency exchange risk will not exceed 10%.
THIS FUND CAN INVEST 15% IN LOW CREDIT QUALITY FIXED-INCOME ISSUES, THESE HAVE A HIGH CREDIT RISK.
For further information, please consult the fund prospectus and information of interest.

Recommended for positions of more than 3 years.

BBVA EUR CORPORATE BOND FUND

EUR CORPORATE BOND A
LU0836880509
BBVA EUR CORPORATE BOND FUND CLASE A

BBVA USD Corporate Bond has the objective of maximizing total yields by investing in a diversified portfolio with high-quality fixed-income instruments issued in EUR. The portfolio is constructed from strong positions of our credit selectors.

The average portfolio term is less than 5 years, which will be the product of selecting issuances and positioning on the sections of the credit curve with the greatest value at any given time.

The portfolio is managed independently of a benchmark index.

Recommended for positions at more than 2 years

BBVA EUROPEAN EQUITY FUND

EUROPEAN EQUITY A (EUR)
LU0279747918
BBVA EUROPEAN EQUITY FUND CLASE A

The aim of the Compartment is to generate positive yield in the medium term by means of the investment of at least 80% of its assets in variable-yield securities traded on European stock exchanges.

Recommended for an investment term of more than 3-5 years.

BBVA BONOS INTERNACIONAL FLEXIBLE, FI

BONOS INTERN. FLEXIBLE
ES0110174036
BBVA BONOS INTERNACIONAL FLEXIBLE, FI

International Flexible Fixed-Income Fund that invests in a diversified global portfolio of public and private fixed-income assets. The average duration of the portfolio will be between 0 and 10 years. The fund can invest up to 50% in assets below Investment Grade and Emerging markets. The investment style is independent to a reference index and is based on the selection of bonds and issuers.
THIS FUND CAN INVEST A PERCENTAGE OF 50% IN ISSUES OF FIXED-INCOME ASSETS OF A LOW CREDIT QUALITY, HENCE IT HAS A VERY HIGH CREDIT RISK.
For further information, please consult the fund prospectus and information of interest.

Recommended for positions of more than 3 years.

Results  46  to  60  out of  91  products found

Compare funds Add to portfolio of funds

Note: the funds shown are those with the greatest return over one year.

Yield of an investment fund: percentage of variation of the net asset value in a period of time.
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Warning: Past returns are not a reliable indicator of future results. The price of shares in investment funds can fluctuate against the investor's interests and can even entail the loss of the initial investment.