Best-selling investment funds

Investment funds with greatest asset growth

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

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Results  31  to  45  out of  115  products found

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

BBVA BOLSA JAPÓN, FI

BOLSA JAPÓN
ES0147634036
BBVA BOLSA JAPÓN, FI
EquitiesSPAINEURO09/29/2019
6

BBVA BONOS PLUS, FI

BONOS PLUS
ES0176232033
BBVA BONOS PLUS, FI
Euro Fixed-IncomeSPAINEURO09/29/2019
2

BBVA BOLSA ÍNDICE EURO, FI

BOLSA ÍNDICE EURO
ES0110098037
BBVA BOLSA ÍNDICE EURO, FI
Passive investmentSPAINEURO09/29/2019
6

BBVA BOLSA EUROPA FINANZAS , FI

BOLSA EUROPA FINANZAS
ES0114277033
BBVA BOLSA EUROPA FINANZAS, FI
EquitiesSPAINEURO09/29/2019
6

BBVA BOLSA LATAM, FI

BOLSA LATAM
ES0142332032
BBVA BOLSA LATAM, FI
EquitiesSPAINEURO09/29/2019
6

BBVA RENDIMIENTO EUROPA POSITIVO II, FI

RENDIMIENTO EUROPA POSITIVO II
ES0114212006
BBVA RENDIMIENTO EUROPA POSITIVO II, FI
Passive investmentSPAINEURO09/29/2019
1

BBVA ESTRATEGIA 0-50, FI

ESTRATEGIA 0-50
ES0118857004
BBVA ESTRATEGIA 0-50, FI
Balanced EquitySPAINEURO09/29/2019
4

QUALITY SELECCIÓN EMERGENTES, FI

QUALITY SELECCIÓN EMERGENTES
ES0172262000
QUALITY SELECCIÓN EMERGENTES, FI
GlobalSPAINEURO09/29/2019
4

BBVA RENDIMIENTO EUROPA POSITIVO, FI

RENDIMIENTO EUROPA POSITIVO
ES0184827006
BBVA RENDIMIENTO EUROPA POSITIVO, FI
Passive investmentSPAINEURO09/29/2019
1

BBVA MEJORES IDEAS (CUBIERTO) MF, FI

MEJORES IDEAS CUBIERTO MF
ES0141754038
BBVA MEJORES IDEAS (CUBIERTO) MF, FI
EquitiesSPAINEURO09/29/2019
5

BBVA MI OBJETIVO 2031, FI

MI OBJETIVO 2031
ES0159158007
BBVA MI OBJETIVO 2031, FI
Balanced Fixed IncomeSPAINEURO09/29/2019
4

BBVA BONOS 2024, FI

BONOS 2024
ES0119176008
BBVA BONOS 2024, FI
Euro Fixed-IncomeSPAINEURO09/29/2019
4

BBVA BONOS EUSKOFONDO, FI

BONOS EUSKOFONDO
ES0113994034
BBVA BONOS EUSKOFONDO, FI
Euro Fixed-IncomeSPAINEURO09/29/2019
3

QUALITY COMMODITIES, FI

QUALITY COMMODITIES
ES0172243000
QUALITY COMMODITIES, FI
GlobalSPAINEURO09/29/2019
5

BBVA BONOS CORPORATIVOS FLEXIBLE, FI

BONOS CORPORATIVOS FLEXIBLE
ES0115285035
BBVA BONOS CORPORATIVOS FLEXIBLE, FI
International Fixed-IncomeSPAINEURO09/29/2019
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 BOLSA JAPÓN, FI

BOLSA JAPÓN
ES0147634036
BBVA BOLSA JAPÓN, FI
------

BBVA BONOS PLUS, FI

BONOS PLUS
ES0176232033
BBVA BONOS PLUS, FI

BBVA BOLSA ÍNDICE EURO, FI

BOLSA ÍNDICE EURO
ES0110098037
BBVA BOLSA ÍNDICE EURO, FI

BBVA BOLSA EUROPA FINANZAS , FI

BOLSA EUROPA FINANZAS
ES0114277033
BBVA BOLSA EUROPA FINANZAS, FI
------

BBVA BOLSA LATAM, FI

BOLSA LATAM
ES0142332032
BBVA BOLSA LATAM, FI

BBVA RENDIMIENTO EUROPA POSITIVO II, FI

RENDIMIENTO EUROPA POSITIVO II
ES0114212006
BBVA RENDIMIENTO EUROPA POSITIVO II, FI
--

BBVA ESTRATEGIA 0-50, FI

ESTRATEGIA 0-50
ES0118857004
BBVA ESTRATEGIA 0-50, FI
----

QUALITY SELECCIÓN EMERGENTES, FI

QUALITY SELECCIÓN EMERGENTES
ES0172262000
QUALITY SELECCIÓN EMERGENTES, FI

BBVA RENDIMIENTO EUROPA POSITIVO, FI

RENDIMIENTO EUROPA POSITIVO
ES0184827006
BBVA RENDIMIENTO EUROPA POSITIVO, FI
--

BBVA MEJORES IDEAS (CUBIERTO) MF, FI

MEJORES IDEAS CUBIERTO MF
ES0141754038
BBVA MEJORES IDEAS (CUBIERTO) MF, FI

BBVA MI OBJETIVO 2031, FI

MI OBJETIVO 2031
ES0159158007
BBVA MI OBJETIVO 2031, FI
--

BBVA BONOS 2024, FI

BONOS 2024
ES0119176008
BBVA BONOS 2024, FI

BBVA BONOS EUSKOFONDO, FI

BONOS EUSKOFONDO
ES0113994034
BBVA BONOS EUSKOFONDO, FI

QUALITY COMMODITIES, FI

QUALITY COMMODITIES
ES0172243000
QUALITY COMMODITIES, FI

BBVA BONOS CORPORATIVOS FLEXIBLE, FI

BONOS CORPORATIVOS FLEXIBLE
ES0115285035
BBVA BONOS CORPORATIVOS FLEXIBLE, FI
----
FundDescription
FundDescription

BBVA BOLSA JAPÓN, FI

BOLSA JAPÓN
ES0147634036
BBVA BOLSA JAPÓN, FI

Equity fund that invests in the main companies on the Japanese stock market. The fund portfolio is therefore invested in yen, without euro hedging.


Recommended for positions of more than 3 years.

BBVA BONOS PLUS, FI

BONOS PLUS
ES0176232033
BBVA BONOS PLUS, FI

A Euro Fixed-Income Fund that invests in public and private fixed-income assets denominated in EUR. The average duration of your portfolio is less than 24 months.

Recommended for short-term positions.

BBVA BOLSA ÍNDICE EURO, FI

BOLSA ÍNDICE EURO
ES0110098037
BBVA BOLSA ÍNDICE EURO, FI

An equity fund that replicates the performance of the Eurostoxx-50 market index. The fund portfolio is invested in shares and/or futures from this index.

Recommended for positions of more than 3 years.

BBVA BOLSA EUROPA FINANZAS , FI

BOLSA EUROPA FINANZAS
ES0114277033
BBVA BOLSA EUROPA FINANZAS, FI

Variable income fund International whose management takeover as reference the return of index MSCI Europe Banks Index® (Net Return), keeping a correlation not lower than 75% with the index, and with a purpose of maximal deviation of 2-4% with respect to the aforementioned index, being able to for this overcome the general limits of diversification. Invests mostly in companies European of the financial sector, as banks, institutions and brokers, managers of investments, insurers, etc. The fund portfolio may be invested in securities denominated in currencies other than the euro.

For further information, please consult the Fund Prospectus.

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.

BBVA RENDIMIENTO EUROPA POSITIVO II, FI

RENDIMIENTO EUROPA POSITIVO II
ES0114212006
BBVA RENDIMIENTO EUROPA POSITIVO II, FI

A fund with a non-guaranteed return target at the maturity of the strategy which consists of reaching at maturity (01/30/2024) 100.2% of the initial investment (07/22/2016) plus 45% of yields, if positive, of the average monthly values of the Eurostoxx 50 Price index and 0.20% gross of the initial investment through obligatory repayment of shares on 01/19/2018, 01/21/2019, 01/20/2020, 01/19/2021, 01/19/2022 and 01/19/2023.
NON-GUARANTEED minimum APR of 0.19% for subscriptions at 07/22/2016 and held until maturity, if there are no extraordinary reimbursements.
For further information, please consult the Fund Information Leaflet, the Prospectus y and other Information of Interest.


The recommended minimum investment term is until strategy maturity (01/30/2024).

The risk scale is based on holding the investment to maturity. In the event of redemption of shares before the maturity of the portfolio, the indicator would be 5 instead of 1

BBVA ESTRATEGIA 0-50, FI

ESTRATEGIA 0-50
ES0118857004
BBVA ESTRATEGIA 0-50, FI

Mixed Equity Fund that invests between 0% and 100% of equity in other mainly traditionally managed financial CIIs (eligible assets), but without excluding alternative management CIIs, that may or may not be harmonized (maximum 30% in non-harmonized CIIs) and that may or may not form part of the management company's group. It will directly or indirectly invest between 0% and 50% of total exposure in equities of any capitalization and sector, while the rest will be invested in public and/or private fixed-income assets (including listed or non-listed money market instruments, liquid assets, and up to 20% in deposits). Currency exchange risk will be 0% -100% of the total exposure. Issuers/markets will be from the OECD or emerging-market countries, without limits.

Recommended for positions of more than 3 years.

QUALITY SELECCIÓN EMERGENTES, FI

QUALITY SELECCIÓN EMERGENTES
ES0172262000
QUALITY SELECCIÓN EMERGENTES, FI

Fund of funds that invests in emerging countries through fixed-income securities, equities, currencies and other financial derivatives linked to volatility and inflation. Recommended for positions at 3 years.

BBVA RENDIMIENTO EUROPA POSITIVO, FI

RENDIMIENTO EUROPA POSITIVO
ES0184827006
BBVA RENDIMIENTO EUROPA POSITIVO, FI

A fund with a non-guaranteed return target at the maturity of the strategy which consists of reaching at maturity (05/24/2023) 100,2% of the initial investment (04/29/2016) plus 40% of yields, if positive, of the average monthly values of the Eurostoxx 50 Price index and 0.20% gross of the initial investment through obligatory repayment of shares on 5.11.17, 5.11.18, 5.13.19, 5.11.20, 5.11.21 and 5.11.22.
Minimum NON-GUARANTEED APR of 0.20% for subscriptions on 04/29/2016 and held to maturity, if there are no extraordinary reimbursements.
For further information, please consult the Fund Information Leaflet, the Prospectus y and other Information of Interest.

The recommended minimum duration of the investment is to the maturity of the strategy (05/24/2023). The risk scale is based on holding the investment to maturity. In the event of redemption of shares before the maturity of the portfolio, the indicator would be 5 instead of 1.

BBVA MEJORES IDEAS (CUBIERTO) MF, FI

MEJORES IDEAS CUBIERTO MF
ES0141754038
BBVA MEJORES IDEAS (CUBIERTO) MF, 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 MI OBJETIVO 2031, FI

MI OBJETIVO 2031
ES0159158007
BBVA MI OBJETIVO 2031, FI

International Mixed Equity Fund with a management target to invest in a portfolio that mainly comprises equities from OECD issuers/markets (maximum 20% of total exposure in emerging equities), and to invest the remaining amounts in mainly OECD public/private fixed-income assets that are 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

BBVA BONOS 2024, FI

BONOS 2024
ES0119176008
BBVA BONOS 2024, FI

Fund that invests mainly in Spanish public and/or private fixed-income securities, investing 50-100% of the total amount in debt issued/guaranteed by the Spanish state and the rest in fixed-income public and/or private securities from OECD issuers. The average maturity of the portfolio will be of 11 years approximately.
THIS FUND CAN INVEST 10% IN FIXED-INCOME ISSUES OF A LOW CREDIT QUALITY, THAT IS, WITH A HIGH CREDIT RISK.
Please see the fund prospectus for further information.

Recommended for positions at approximately 10 years, coinciding with the maturity of the portfolio (August 2024).
The scale of risk corresponds to the maintenance of the investment until the maturity of the portfolio.

BBVA BONOS EUSKOFONDO, FI

BONOS EUSKOFONDO
ES0113994034
BBVA BONOS EUSKOFONDO, FI

Long-term Fixed-Income Fund that mainly invests in debentures issued by the Autonomous Community of the Basque Country, Regional Councils or Local Entities in the three Historical Territories and stated in euros. The average duration of the portfolio is more than 2 years.

For further information, please consult the fund prospectus and information of interest.

Recommended for positions at more than 2 years.

QUALITY COMMODITIES, FI

QUALITY COMMODITIES
ES0172243000
QUALITY COMMODITIES, FI

Fund of funds, that invests direct and indirectly through CIIs, in a diversified portfolio of securities whose returns are linked to raw materials. Different investment strategies are chosen based on the market prospects determined by the management team at each time. Recommended for positions at more than 5 years.

BBVA BONOS CORPORATIVOS FLEXIBLE, FI

BONOS CORPORATIVOS FLEXIBLE
ES0115285035
BBVA BONOS CORPORATIVOS FLEXIBLE, FI

International Flexible Fixed-Income fund that invests in a diversified global portfolio, primarily 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.

Recommended for positions of more than 3 years.

Results  31  to  45  out of  115  products found

Compare funds Add to portfolio of funds

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.