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  61  to  75  out of  115  products found

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

CX EVOLUCIO BORSA, FI

EVOLUCIO BORSA
ES0125271009
CX EVOLUCIO BORSA, FI
Passive investmentSPAINEURO09/29/2019
3

BBVA RENDIMIENTO EUROPA VIII, FI

RENDIMIENTO EUROPA VIII
ES0133774002
BBVA RENDIMIENTO EUROPA VIII, FI
Passive investmentSPAINEURO09/29/2019
2

BBVA BONOS PLAZO VIII, FI

BONOS PLAZO VIII
ES0159153008
BBVA BONOS PLAZO VIII, FI
Passive investmentSPAINEURO09/29/2019
4

CX EVOLUCIÓ BORSA 3 FI

EVOLUCIÓ BORSA 3
ES0125263006
CX EVOLUCIÓ BORSA 3, FI
Passive investmentSPAINEURO09/29/2019
2

BBVA OPORTUNIDAD ACCIONES V, FI

OPORTUNIDAD ACCIONES V
ES0113829008
BBVA OPORTUNIDAD ACCIONES V, FI
Passive investmentSPAINEURO09/29/2019
2

CX EVOLUCIO RENDES 5, FI

EVOLUCIO RENDES 5
ES0115456032
CX EVOLUCIO RENDES 5, FI
Passive investmentSPAINEURO09/29/2019
3

BBVA BOLSA ÍNDICE USA CUBIERTO, FI

BOLSA ÍNDICE USA CUBIERTO
ES0113925038
BBVA BOLSA ÍNDICE USA CUBIERTO, FI
Passive investmentSPAINEURO09/29/2019
5

BBVA BOLSA ASIA MF, FI

BOLSA ASIA MF
ES0108929037
BBVA BOLSA ASIA MF, FI
EquitiesSPAINEURO09/29/2019
6

BBVA OPORTUNIDAD ACCIONES VI, FI

OPORTUNIDAD ACCIONES VI
ES0113830006
BBVA OPORTUNIDAD ACCIONES VI, FI
Passive investmentSPAINEURO09/29/2019
2

CX EVOLUCIÓ RENDES CREIXENT, FI

EVOLUCIÓ RENDES CREIXENT
ES0160106003
CX EVOLUCIÓ RENDES CREIXENT FI
Passive investmentSPAINEURO09/29/2019
4

BBVA BONOS PATRIMONIO XVI, FI

BONOS PATRIMONIO XVI
ES0116862006
BBVA BONOS PATRIMONIO XVI, FI
Passive investmentSPAINEURO09/29/2019
4

BBVA GESTIÓN PROTECCIÓN 2020 BP, FI

PROTECCIÓN 2020 BP
ES0114097035
BBVA GESTIÓN PROTECCIÓN 2020 BP, FI
Guaranteed Variable ReturnSPAINEURO09/29/2019
2

BBVA BONOS PATRIMONIO XVII, FI

BONOS PATRIMONIO XVII
ES0116863004
BBVA BONOS PATRIMONIO XVII, FI
Passive investmentSPAINEURO09/29/2019
4

BBVA BONOS CORE BP, FI

BONOS CORE BP
ES0114239033
BBVA BONOS CORE BP, FI
Euro Fixed-IncomeSPAINEURO09/29/2019
1

BBVA AHORRO GARANTÍA, FI

AHORRO GARANTÍA
ES0159145004
BBVA AHORRO GARANTÍA, FI
Guaranteed Fixed ReturnSPAINEURO09/29/2019
1
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)

CX EVOLUCIO BORSA, FI

EVOLUCIO BORSA
ES0125271009
CX EVOLUCIO BORSA, FI
--

BBVA RENDIMIENTO EUROPA VIII, FI

RENDIMIENTO EUROPA VIII
ES0133774002
BBVA RENDIMIENTO EUROPA VIII, FI

BBVA BONOS PLAZO VIII, FI

BONOS PLAZO VIII
ES0159153008
BBVA BONOS PLAZO VIII, FI

CX EVOLUCIÓ BORSA 3 FI

EVOLUCIÓ BORSA 3
ES0125263006
CX EVOLUCIÓ BORSA 3, FI
--

BBVA OPORTUNIDAD ACCIONES V, FI

OPORTUNIDAD ACCIONES V
ES0113829008
BBVA OPORTUNIDAD ACCIONES V, FI
--

CX EVOLUCIO RENDES 5, FI

EVOLUCIO RENDES 5
ES0115456032
CX EVOLUCIO RENDES 5, FI

BBVA BOLSA ÍNDICE USA CUBIERTO, FI

BOLSA ÍNDICE USA CUBIERTO
ES0113925038
BBVA BOLSA ÍNDICE USA CUBIERTO, FI

BBVA BOLSA ASIA MF, FI

BOLSA ASIA MF
ES0108929037
BBVA BOLSA ASIA MF, FI

BBVA OPORTUNIDAD ACCIONES VI, FI

OPORTUNIDAD ACCIONES VI
ES0113830006
BBVA OPORTUNIDAD ACCIONES VI, FI
--

CX EVOLUCIÓ RENDES CREIXENT, FI

EVOLUCIÓ RENDES CREIXENT
ES0160106003
CX EVOLUCIÓ RENDES CREIXENT FI
--

BBVA BONOS PATRIMONIO XVI, FI

BONOS PATRIMONIO XVI
ES0116862006
BBVA BONOS PATRIMONIO XVI, FI

BBVA GESTIÓN PROTECCIÓN 2020 BP, FI

PROTECCIÓN 2020 BP
ES0114097035
BBVA GESTIÓN PROTECCIÓN 2020 BP, FI

BBVA BONOS PATRIMONIO XVII, FI

BONOS PATRIMONIO XVII
ES0116863004
BBVA BONOS PATRIMONIO XVII, FI

BBVA BONOS CORE BP, FI

BONOS CORE BP
ES0114239033
BBVA BONOS CORE BP, FI

BBVA AHORRO GARANTÍA, FI

AHORRO GARANTÍA
ES0159145004
BBVA AHORRO GARANTÍA, FI
FundDescription
FundDescription

CX EVOLUCIO BORSA, FI

EVOLUCIO BORSA
ES0125271009
CX EVOLUCIO BORSA, FI

A Passive Management Investment Fund with the management objective of obtaining at maturity 102.25% of the initial investment or of the investment maintained after 6 mandatory repayments, with all of this conditioned on the evolution of 3 stocks.

Recommended for positions of more than 6 years and 8 months.

BBVA RENDIMIENTO EUROPA VIII, FI

RENDIMIENTO EUROPA VIII
ES0133774002
BBVA RENDIMIENTO EUROPA VIII, FI

A fund with a target at maturity (04/30/2021) of 100% of the net asset value on 11/06/2014 plus, only if it is positive, 40% of the monthly variation of the Eurostoxx 50 Price (no yield for dividend). Non-guaranteed minimum APR upon maturity will be 0% for subscriptions on 11/06/2014 and maintained on maturity.

The recommended minimum investment period is until strategy maturity (04/30/2021).
The risk scale is based on holding the investment to maturity.

BBVA BONOS PLAZO VIII, FI

BONOS PLAZO VIII
ES0159153008
BBVA BONOS PLAZO VIII, FI

Fund with an estimated profit target (not guaranteed) consisting of the net asset value (NAV) on 11/15/19 is 107.664% of the NAV on 05/15/14. NON-GUARANTEED APR: 1.35% for subscriptions to 05/15/14 and held to 11/15/19. Nevertheless, the APR obtained will depend on when you subscribe.

The recommended minimum duration of the investment is until strategy maturity (11/15/19). The scale of risk corresponds to the maintenance of the investment to maturity.

CX EVOLUCIÓ BORSA 3 FI

EVOLUCIÓ BORSA 3
ES0125263006
CX EVOLUCIÓ BORSA 3, FI

Obtain at maturity 100% of the initial investment (01/19/16) or maintained investment (adjusted for possible voluntary repayments/transfers), and when applicable with returns linked to 3 stocks.

Recommended for positions of more than 6 years.

BBVA OPORTUNIDAD ACCIONES V, FI

OPORTUNIDAD ACCIONES V
ES0113829008
BBVA OPORTUNIDAD ACCIONES V, FI

A fund with a non-guaranteed target return at the maturity of the strategy, which consists of obtaining at maturity (04.30.2020) a minimum of 95% of the initial investment plus, if applicable, a variable return linked to the evolution of 3 share stocks (Vodafone, Repsol and Axa).
NON-GUARANTEED APR between -1.008% and +6.977% for subscriptions on 04.09.2015 if the capital is held in the fund until the maturity date.
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 until the investment strategy's maturity date (04/30/2020).

The risk scale is based on holding the investment to maturity.

CX EVOLUCIO RENDES 5, FI

EVOLUCIO RENDES 5
ES0115456032
CX EVOLUCIO RENDES 5, FI

Obtain at maturity the non-guaranteed returns objective, the value of the initial investment after 7 mandatory annual repayments.

The recommended minimum duration of the investment is until maturity of the guarantee (05/03/2021).

The scale of risk corresponds to the maintenance of the investment to maturity.

BBVA BOLSA ÍNDICE USA CUBIERTO, FI

BOLSA ÍNDICE USA CUBIERTO
ES0113925038
BBVA BOLSA ÍNDICE USA CUBIERTO, FI

Equity fund that invests in the main companies on the US stock market. Despite having its portfolio invested in US dollars, the fund is not exposed to this currency because all of the portfolio is covered.



Recommended for positions of more than 3 years.

BBVA BOLSA ASIA MF, FI

BOLSA ASIA MF
ES0108929037
BBVA BOLSA ASIA MF, FI

Fund of funds that seeks to invest largely in Collective Investment Institutions, which in turn mainly invest in equities of companies in Asian countries (except Japan) and Oceania.

Recommended for positions of more than 3 years.

BBVA OPORTUNIDAD ACCIONES VI, FI

OPORTUNIDAD ACCIONES VI
ES0113830006
BBVA OPORTUNIDAD ACCIONES VI, FI

A fund with a non-guaranteed target return at the maturity of the strategy. It consists in obtaining at maturity (02.15.2020) a minimum of 95% of the initial investment plus, if applicable, a variable return linked to the evolution of 2 stocks (Vodafone and Repsol).
NON-GUARANTEED APY between -0.972% and 6.206%, if you keep your capital in the fund until the date of maturity for subscriptions at 11.17.2015 if the capital is held in the fund until the maturity date.
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 until the investment strategy's maturity date (02/15/2021).

The risk scale is based on holding the investment to maturity.

CX EVOLUCIÓ RENDES CREIXENT, FI

EVOLUCIÓ RENDES CREIXENT
ES0160106003
CX EVOLUCIÓ RENDES CREIXENT FI

Obtain at maturity 100% of initial investment, as well as an additional fixed return through mandatory repayments of increasing amounts.

The recommended minimum duration of the investment is until maturity of the guarantee (11/15/2021).

The scale of risk corresponds to the maintenance of the investment to maturity.

BBVA BONOS PATRIMONIO XVI, FI

BONOS PATRIMONIO XVI
ES0116862006
BBVA BONOS PATRIMONIO XVI, FI

Fund with a profit target upon maturity of the strategy (11/15/2019), which consists of attaining 109.135% of the net asset value on 05/15/2014, which entails an APR of 1.60% for shares subscribed on 05/15/14 and held until 11/15/2019. The APR of each unit will vary, however, according to the subscription date.
If you would like to receive further information, please consult the Fund Information Prospectus and Other information of interest.

The recommended minimum duration of the investment is until the maturity of the strategy (11.15.2019).
The scale of risk corresponds to the maintenance of the investment to maturity.

BBVA GESTIÓN PROTECCIÓN 2020 BP, FI

PROTECCIÓN 2020 BP
ES0114097035
BBVA GESTIÓN PROTECCIÓN 2020 BP, FI

Fund whose management target is to maximize the profit-risk ratio by actively managing fund assets, subject to fulfilling a guarantee at maturity (12/31/2020) of the maximum gain between the initial investment and the consolidated investment, defined as:
- Initial investment: The amount resulting from multiplying the number of shares held until 12/31/2020 for the initial net asset value, where this is the net asset value on the 20th day immediately after the subscription date.
- Investment consolidated: The amount resulting from multiplying the number of shares held on 12/31/2020 by the maximum net asset value on the 20th day, corresponding to the end of each calendar quarter in the period between the subscription date and 12/31/2020.

The recommended minimum investment period is until 12/31/2020.

BBVA BONOS PATRIMONIO XVII, FI

BONOS PATRIMONIO XVII
ES0116863004
BBVA BONOS PATRIMONIO XVII, FI

A fund with a profit target upon strategy maturity (06/10/2020) of obtaining 108.584% of the net asset value on 07/10/2014, equivalent to a NON-GUARANTEED APR of 1.40% for shares subscribed on 07/10/2014 and held until 06/10/2020. The APR of each unit will vary, however, according to the subscription date.
If you would like to receive further information, please consult the Fund Information Prospectus and Other information of interest.

The recommended minimum investment term is until strategy maturity (06/10/2020).
The scale of risk corresponds to the maintenance of the investment to maturity.

BBVA BONOS CORE BP, FI

BONOS CORE BP
ES0114239033
BBVA BONOS CORE BP, FI

Fixed-Income Euro Fund that invests, directly or indirectly, through CII in a fixed-income portfolio at a fixed or variable interest rate, denominated in euros. Public fixed-income securities will represent more than 60% of the total exposure, with the rest invested in private fixed-income securities. The average duration in the portfolio is between 0 and 3 years, with active management and flexible duration.

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

Recommended for positions of more than 3 years.

BBVA AHORRO GARANTÍA, FI

AHORRO GARANTÍA
ES0159145004
BBVA AHORRO GARANTÍA, FI

Guaranteed Fixed Income Fund with a specific yield target consisting in guaranteeing at maturity (02/12/2020) 125.103% of the initial net asset value at 02/12/2013, equivalent to an APR of 3.25%, for units subscribed on 02/12/2013 and maintained until maturity. The APR of each participant will depend on the moment when he/she subscribes. The fund allows extraordinary subscriptions and contributions to be made on a regular basis on the 20th of each month, between 02/20/2013 and 07/20/2018, provided that at least 3 business days' advance notice is given.

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

The recommended minimum duration of the investment is until the maturity of the guarantee (02/12/2020).

The scale of risk corresponds to the maintenance of the investment to maturity.

Results  61  to  75  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.