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Discover the investment funds with the greatest asset growth in the past month at BBVA Asset Management

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Results  1  to  15  out of  121  products found

Fund nameCategoryAddressCurrencyNAV DateNet Asset valueRisk
 Fund nameCategoryAddressCurrencyNAV DateNet Asset valueRisk

QUALITY INVERSIÓN MODERADA, FI

QUALITY INVERSIÓN MODERADA
ES0172242002
QUALITY INVERSIÓN MODERADA, FI
GlobalSPAINEURO06/29/2019
4

BBVA FUTURO SUSTAINABLE ISR, FI

SU STAINABLE FUTURE ISR
ES0114279039
BBVA FUTURO SUSTAINABLE ISR, FI
Balanced Fixed IncomeSPAINEURO06/29/2019
3

QUALITY INVERSIÓN CONSERVADORA, FI

QUALITY INVERSIÓN CONSERVADORA
ES0172273007
QUALITY INVERSIÓN CONSERVADORA, FI
GlobalSPAINEURO06/29/2019
3

STRATEGY ACCUMULATION, FI

STRATEGY ACCUMULATION
ES0133337008
STRATEGY ACCUMULATION, FI
GlobalSPAINEURO06/29/2019
4

STRATEGY INVESTMENT, FI

STRATEGY INVESTMENT
ES0133411001
STRATEGY INVESTMENT, FI
GlobalSPAINEURO06/29/2019
6

QUALITY MEJORES IDEAS, FI

QUALITY MEJORES IDEAS
ES0110119031
QUALITY MEJORES IDEAS, FI
EquitiesSPAINEURO06/29/2019
5

BBVA FUSIÓN CORTO PLAZO III, FI

FUSIÓN CORTO PLAZO III
ES0159155003
BBVA FUSIÓN CORTO PLAZO III, FI
Euro Fixed-IncomeSPAINEURO06/29/2019
2

BBVA MI INVERSIÓN MIXTA, FI

MI INVERSIÓN MIXTA
ES0119179002
BBVA MI INVERSIÓN MIXTA, FI
Balanced EquitySPAINEURO06/29/2019
4

QUALITY INVERSIÓN DECIDIDA, FI

QUALITY INVERSIÓN DECIDIDA
ES0157663008
QUALITY INVERSIÓN DECIDIDA, FI
GlobalSPAINEURO06/29/2019
4

PIVOTAL strategy, FI

PIVOTAL
strategy ES0133371007
PIVOTAL strategy, FI
GlobalSPAINEURO06/29/2019
3

BBVA BOLSA USA, FI

STOCK EXCHANGE USA LESSON PORTFOLIO
ES0110122001
BBVA STOCK EXCHANGE USA, FI, LESSON PORTFOLIO
EquitiesSPAINEURO06/29/2019
6

BBVA MI INVERSIÓN BOLSA, FI

MI INVERSIÓN BOLSA
ES0119178004
BBVA MI INVERSIÓN BOLSA, FI
EquitiesSPAINEURO06/29/2019
5

BBVA BOLSA TECNOLOGÍA Y TELECOMUNICACIONES, FI

BOLSA TECNOLOGÍA Y TELEC.
ES0147711032
BBVA BOLSA TECNOLOGÍA Y TELECOMUNICACIONES, FI
EquitiesSPAINEURO06/29/2019
6

BBVA MY INVESTMENT RF MIXED, FI

MY INVESTMENT RF MIXED
ES0113068003
BBVA MY INVESTMENT RF MIXED, FI
Balanced Fixed IncomeSPAINEURO06/29/2019
3

BBVA STOCK EXCHANGE SUSTAINABLE DEVELOPMENT ISR, FI

BOLSA DESAR. SUSTAINABLE ISR
ES0125459034
BBVA STOCK EXCHANGE SUSTAINABLE DEVELOPMENT ISR, FI
EquitiesSPAINEURO06/29/2019
5
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)

QUALITY INVERSIÓN MODERADA, FI

QUALITY INVERSIÓN MODERADA
ES0172242002
QUALITY INVERSIÓN MODERADA, FI
----

BBVA FUTURO SUSTAINABLE ISR, FI

SU STAINABLE FUTURE ISR
ES0114279039
BBVA FUTURO SUSTAINABLE ISR, FI
------

QUALITY INVERSIÓN CONSERVADORA, FI

QUALITY INVERSIÓN CONSERVADORA
ES0172273007
QUALITY INVERSIÓN CONSERVADORA, FI
----

STRATEGY ACCUMULATION, FI

STRATEGY ACCUMULATION
ES0133337008
STRATEGY ACCUMULATION, FI
------

STRATEGY INVESTMENT, FI

STRATEGY INVESTMENT
ES0133411001
STRATEGY INVESTMENT, FI
----

QUALITY MEJORES IDEAS, FI

QUALITY MEJORES IDEAS
ES0110119031
QUALITY MEJORES IDEAS, FI

BBVA FUSIÓN CORTO PLAZO III, FI

FUSIÓN CORTO PLAZO III
ES0159155003
BBVA FUSIÓN CORTO PLAZO III, FI
--

BBVA MI INVERSIÓN MIXTA, FI

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

QUALITY INVERSIÓN DECIDIDA, FI

QUALITY INVERSIÓN DECIDIDA
ES0157663008
QUALITY INVERSIÓN DECIDIDA, FI
----

PIVOTAL strategy, FI

PIVOTAL
strategy ES0133371007
PIVOTAL strategy, FI
----

BBVA BOLSA USA, FI

STOCK EXCHANGE USA LESSON PORTFOLIO
ES0110122001
BBVA STOCK EXCHANGE USA, FI, LESSON PORTFOLIO
----

BBVA MI INVERSIÓN BOLSA, FI

MI INVERSIÓN BOLSA
ES0119178004
BBVA MI INVERSIÓN BOLSA, FI

BBVA BOLSA TECNOLOGÍA Y TELECOMUNICACIONES, FI

BOLSA TECNOLOGÍA Y TELEC.
ES0147711032
BBVA BOLSA TECNOLOGÍA Y TELECOMUNICACIONES, FI

BBVA MY INVESTMENT RF MIXED, FI

MY INVESTMENT RF MIXED
ES0113068003
BBVA MY INVESTMENT RF MIXED, FI
----

BBVA STOCK EXCHANGE SUSTAINABLE DEVELOPMENT ISR, FI

BOLSA DESAR. SUSTAINABLE ISR
ES0125459034
BBVA STOCK EXCHANGE SUSTAINABLE DEVELOPMENT ISR, FI
----
FundDescription
FundDescription

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 FUTURO SUSTAINABLE ISR, FI

SU STAINABLE FUTURE ISR
ES0114279039
BBVA FUTURO SUSTAINABLE ISR, FI

Mixed fund of fixed income that invest up to 30% in Equities, being the rest of the portfolio invested in fixed income public and private, including up to 10% in deposits, with a duration not 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 at more than 2 years.

QUALITY INVERSIÓN CONSERVADORA, FI

QUALITY INVERSIÓN CONSERVADORA
ES0172273007
QUALITY INVERSIÓN CONSERVADORA, FI

Quality Inversión Conservadora 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 be between 0% and 30% of the assets of the portfolio based on the forecasts of the management team. Fixed-income investments will be of 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 the assets in emerging markets and without predetermination regarding the rating and capitalization of these assets). The currency exchange risk may exceed 5%.
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 3 years.

STRATEGY ACCUMULATION, FI

STRATEGY ACCUMULATION
ES0133337008
STRATEGY ACCUMULATION, FI

Fund of Funds managed taking as a benchmark the returns of the 3-month EURIBOR plus 150 basis points, and a maximum volatility target below 10% annual. Between 50% and 100% of equity will be invested in suitable harmonized or non-harmonized CIIs, with up to 30% in non-harmonized CIIs, both traditionally managed and absolute returns, belonging to the management group or otherwise.
It will be exposed to equities and public/private fixed-income (including quoted and non-quoted money-market instruments, liquid assets and up to 20% in deposits) without no predetermined exposures, aiming to invest in assets generating recurring revenue such as dividends and coupons. Recommended for positions of more than 3 years.

STRATEGY INVESTMENT, FI

STRATEGY INVESTMENT
ES0133411001
STRATEGY INVESTMENT, FI

Fund of Funds managed taking as a benchmark the returns of the 3-month EURIBOR plus 350 basis points, and a maximum volatility target below 25% annual.
Between 50% and 100% of equity will be invested in suitable harmonized or
non-harmonized CIIs, with up to 30% in non-harmonized CIIs, both traditionally managed and absolute returns, belonging to the management group or otherwise. The fund will be exposed to equities and public/private fixed-income (including quoted and non-quoted money-market instruments, liquid assets and up to 20% in deposits) without no predetermined exposures. Investments may be made via CIIs in commodity-related assets. It will be exposed through the use of derivatives, up to 30% of total exposure, to financial instruments whose returns are linked to credit risk, inflation, commodity indexes or volatility indexes. Recommended for positions of more than 3 years.

QUALITY MEJORES IDEAS, FI

QUALITY MEJORES IDEAS
ES0110119031
QUALITY MEJORES IDEAS, FI

International equity fund which invests in different stock markets through Collective Investment Institutions (CIIs). Besides investing in traditional economic sectors, the fund mostly seeks to invest in areas with a strong potential to appreciate in value and which have little correlation with any index, identifying new mega-trends in the markets.

Recommended for positions of more than 3 years.

BBVA FUSIÓN CORTO PLAZO III, FI

FUSIÓN CORTO PLAZO III
ES0159155003
BBVA FUSIÓN CORTO PLAZO III, FI

Short Term Fixed-income fund that invests in public and private fixed-income assets denominated in EUR. The average duration of its portfolio is less than or equal to 1 year and the assets that make it up will have no more than 18 months to maturity, except for variable coupon assets with at least annual review.

Recommended for short-term positions.

BBVA MI INVERSIÓN MIXTA, FI

MI INVERSIÓN MIXTA
ES0119179002
BBVA MI INVERSIÓN MIXTA, FI

Balanced Fund, the management target of which is investment in an international equity portfolio with high dividend returns and credit with investment grade denominated in euros.

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.

QUALITY INVERSIÓN DECIDIDA, FI

QUALITY INVERSIÓN DECIDIDA
ES0157663008
QUALITY INVERSIÓN DECIDIDA, FI

Quality Inversión Decidida is a global asset allocation fund. The fund will diversify its assets in portfolio in three main engines of profitability: international fixed-income, international equities and currencies. The investment in Equities will range between 50% and 90% of the portfolio's capital, based upon the expectations of the management team. Fixed-income investments will be high quality with a 15% 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 20% of the assets in emerging markets and without predetermination regarding the rating and capitalization of these assets).
THIS FUND CAN INVEST 50% 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.

PIVOTAL strategy, FI

PIVOTAL
strategy ES0133371007
PIVOTAL strategy, FI

Fund of Funds managed taking as a benchmark the returns of the 3-month EURIBOR, and a maximum volatility target below 3% annual.
Between 50% and 100% of equity will be invested in suitable harmonized or non-harmonized CIIs, with up to 30% in non-harmonized CIIs, both traditionally managed and absolute returns, belonging to the management group or otherwise.
The fund will be exposed to equities and public/private fixed-income (including quoted and non-quoted money-market instruments, liquid assets and up to 20% in deposits) without no predetermined exposures. Investment may be made via derivatives, up to 30% of total exposure in financial instruments whose returns are linked to credit risk, inflation, commodities indexes or volatility indexes (quoted shares, stock markets, or interest or exchange rates). Recommended for positions of more than 3 years.

BBVA BOLSA USA, FI

STOCK EXCHANGE USA LESSON PORTFOLIO
ES0110122001
BBVA STOCK EXCHANGE USA, FI, LESSON PORTFOLIO

Equity fund that invests in the main companies on the US stock market. The portfolio of the fund is therefore invested in US dollars, without euro coverage.


Recommended for positions of more than 3 years.

BBVA MI INVERSIÓN BOLSA, FI

MI INVERSIÓN BOLSA
ES0119178004
BBVA MI INVERSIÓN BOLSA, FI

Equities Fund with a management target to invest in a portfolio of international equities of high profitability for dividends.

The fund will also make compulsory share redemptions to shareholders on 1/31, 4/30, 7/31 and 10/31, for a gross amount equivalent to 1.5% quarterly (6% annual) on the stock's net asset value on the second business day after these dates. The 1.5% quarterly is obtained by paying out dividends of the portfolio shares and the cash obtained by selling call options on the stock.

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.

For further information, please consult the Fund Prospectus.

Recommended for positions of more than 3 years.

BBVA BOLSA TECNOLOGÍA Y TELECOMUNICACIONES, FI

BOLSA TECNOLOGÍA Y TELEC.
ES0147711032
BBVA BOLSA TECNOLOGÍA Y TELECOMUNICACIONES, FI

Equitities fund that mainly invests in companies from global technology and telecommunications sectors. The portfolio of the fund may be invested in securities denominated in currencies other than the euro.

Recommended for positions of more than 3 years.

BBVA MY INVESTMENT RF MIXED, FI

MY INVESTMENT RF MIXED
ES0113068003
BBVA MY INVESTMENT RF MIXED, FI

Fixed-Income Mixed Euro Fund that invests the majority of its capital in different fixed-income assets (obligations, bonds, Treasury bills, corporate bonds, etc.) and the rest in variable income assets, mainly from large/medium-cap European issuers, offering high interest per dividend.

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 STOCK EXCHANGE SUSTAINABLE DEVELOPMENT ISR, FI

BOLSA DESAR. SUSTAINABLE ISR
ES0125459034
BBVA STOCK EXCHANGE SUSTAINABLE DEVELOPMENT ISR, FI

Ethical International Equity Fund that uses Socially Responsible Investment valuation criteria to select securities to include in your portfolio and that seeks to invest in companies that are able to incorporate ways to minimize environmental, social and governance risks into their strategy and operating procedures in order to create value for the investor in the medium and long-term. The fund will be able to maintain significant positions in securities denominated in currencies other than the Euro.

Recommended for positions of more than 3 years.

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Note: the best-selling funds are those with the highest increase in the past month.

Investment fund assets: total value of fund assets. Assets increase or decrease depending on new subscriptions or redemptions and variations in the market value of the financial instruments that comprise the fund portfolio.