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  76  to  90  out of  113  products found

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

BBVA OPORTUNIDAD ACCIONES V, FI

OPORTUNIDAD ACCIONES V
ES0113829008
BBVA OPORTUNIDAD ACCIONES V, FI
Passive investmentSPAINEURO10/30/2019
2

BBVA BONOS CORPORATIVOS DURACIÓN CUBIERTA, FI

BONOS CORP. DURACIÓN CUBIERTA
ES0113278008
BBVA BONOS CORPORATIVOS DURACIÓN CUBIERTA, FI
Euro Fixed-IncomeSPAINEURO10/30/2019
2

BBVA RENDIMIENTO ESPAÑA II, FI

RENDIMIENTO ESPAÑA II
ES0114137005
BBVA RENDIMIENTO ESPAÑA II, FI
Passive investmentSPAINEURO10/30/2019
1

CX EVOLUCIÓ EUROPA FI

EVOLUCIÓ EUROPA
ES0125245003
CX EVOLUCIÓ EUROPA, FI
Passive investmentSPAINEURO10/30/2019
1

BBVA BOLSA, FI

BOLSA
ES0138861036
BBVA BOLSA, FI
EquitiesSPAINEURO10/30/2019
6

BBVA BONOS DÓLAR CORTO PLAZO, FI

BONOS DÓLAR CORTO PLAZO
ES0114341037
BBVA BONOS DÓLAR CORTO PLAZO, FI
International Fixed-IncomeSPAINEURO10/30/2019
4

BBVA BONOS PATRIMONIO RENTAS V, FI

BONOS PATRIMONIO RENTAS V
ES0118852005
BBVA BONOS PATRIMONIO RENTAS V, FI
Passive investmentSPAINEURO10/30/2019
4

BBVA RENDIMIENTO ESPAÑA, FI

RENDIMIENTO ESPAÑA
ES0142449000
BBVA RENDIMIENTO ESPAÑA FI
Passive investmentSPAINEURO10/30/2019
1

BBVA BOLSA PLUS, FI

BOLSA PLUS
ES0142451030
BBVA BOLSA PLUS, FI
EquitiesSPAINEURO10/30/2019
6

BBVA BONOS PATRIMONIO RENTAS VI, FI

BONOS PATRIMONIO RENTAS VI
ES0118853003
BBVA BONOS PATRIMONIO RENTAS VI, FI
Passive investmentSPAINEURO10/30/2019
4

BBVA BOLSA ÍNDICE, FI

BOLSA ÍNDICE
ES0110182039
BBVA BOLSA ÍNDICE, FI
Passive investmentSPAINEURO10/30/2019
6

QUALITY GLOBAL, FI

QUALITY GLOBAL
ES0114122031
QUALITY GLOBAL, FI
GlobalSPAINEURO10/30/2019
4

BBVA RENDIMIENTO EUROPA VI FI

RENDIMIENTO EUROPA VI
ES0133772006
BBVA RENDIMIENTO EUROPA VI, FI
Passive investmentSPAINEURO10/30/2019
2

BBVA BONOS VALOR RELATIVO, FI

BONOS VALOR RELATIVO
ES0113857033
BBVA BONOS VALOR RELATIVO, FI
Absolute returnSPAINEURO10/30/2019
2

CX EVOLUCIO RENDES 5, FI

EVOLUCIO RENDES 5
ES0115456032
CX EVOLUCIO RENDES 5, FI
Passive investmentSPAINEURO10/30/2019
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 OPORTUNIDAD ACCIONES V, FI

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

BBVA BONOS CORPORATIVOS DURACIÓN CUBIERTA, FI

BONOS CORP. DURACIÓN CUBIERTA
ES0113278008
BBVA BONOS CORPORATIVOS DURACIÓN CUBIERTA, FI

BBVA RENDIMIENTO ESPAÑA II, FI

RENDIMIENTO ESPAÑA II
ES0114137005
BBVA RENDIMIENTO ESPAÑA II, FI
----

CX EVOLUCIÓ EUROPA FI

EVOLUCIÓ EUROPA
ES0125245003
CX EVOLUCIÓ EUROPA, FI
--

BBVA BOLSA, FI

BOLSA
ES0138861036
BBVA BOLSA, FI

BBVA BONOS DÓLAR CORTO PLAZO, FI

BONOS DÓLAR CORTO PLAZO
ES0114341037
BBVA BONOS DÓLAR CORTO PLAZO, FI

BBVA BONOS PATRIMONIO RENTAS V, FI

BONOS PATRIMONIO RENTAS V
ES0118852005
BBVA BONOS PATRIMONIO RENTAS V, FI

BBVA RENDIMIENTO ESPAÑA, FI

RENDIMIENTO ESPAÑA
ES0142449000
BBVA RENDIMIENTO ESPAÑA FI
--

BBVA BOLSA PLUS, FI

BOLSA PLUS
ES0142451030
BBVA BOLSA PLUS, FI
--

BBVA BONOS PATRIMONIO RENTAS VI, FI

BONOS PATRIMONIO RENTAS VI
ES0118853003
BBVA BONOS PATRIMONIO RENTAS VI, FI

BBVA BOLSA ÍNDICE, FI

BOLSA ÍNDICE
ES0110182039
BBVA BOLSA ÍNDICE, FI

QUALITY GLOBAL, FI

QUALITY GLOBAL
ES0114122031
QUALITY GLOBAL, FI

BBVA RENDIMIENTO EUROPA VI FI

RENDIMIENTO EUROPA VI
ES0133772006
BBVA RENDIMIENTO EUROPA VI, FI

BBVA BONOS VALOR RELATIVO, FI

BONOS VALOR RELATIVO
ES0113857033
BBVA BONOS VALOR RELATIVO, FI

CX EVOLUCIO RENDES 5, FI

EVOLUCIO RENDES 5
ES0115456032
CX EVOLUCIO RENDES 5, FI
FundDescription
FundDescription

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.

BBVA BONOS CORPORATIVOS DURACIÓN CUBIERTA, FI

BONOS CORP. DURACIÓN CUBIERTA
ES0113278008
BBVA BONOS CORPORATIVOS DURACIÓN CUBIERTA, FI

Private Fixed-Income Fund that invests in assets denominated in Euros, mostly issued by investment grade private issuers. The average maturity of the portfolio will be between one and eight years; however, the duration of the portfolio will be around three months using derivative financial instruments to reduce sensitivity to changes in interest rates.
For further information, please consult the Fund Prospectus.

Recommended for positions at more than 2 years.

BBVA RENDIMIENTO ESPAÑA II, FI

RENDIMIENTO ESPAÑA II
ES0114137005
BBVA RENDIMIENTO ESPAÑA II, FI

It is an investment fund that has a non-guaranteed estimated target return over a term of 7 years and 10 months.
The non-guaranteed objective is:
- obtain at maturity (12.5.24), 100% of the initial investment (2.2.17) or maintained investment (adjusted for possible voluntary reimbursements/transfers), plus 0.25%, 1% or 1.3% of the same if the final value of the IBEX 35 index® is, respectively, less than 75%, greater than or equal to 75% and less than 125% or greater than or equal to 125% of its initial value;
- and 0.25%, 1% or 1.3% gross of the initial or held investment, to pay via mandatory redemption of shares at 12.5.17, 12.5.18, 12.5.19, 12.4.20, 12.3.21, 12.5.22 and 12.5.23 if on the corresponding date, the net asset value of the index is, respectively, less than 75%, greater than or equal to 75% and less than 125% or greater than or equal to 125% of its initial value.

The recommended minimum duration of the investment is until the maturity of the strategy (12/05/2024).

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

CX EVOLUCIÓ EUROPA FI

EVOLUCIÓ EUROPA
ES0125245003
CX EVOLUCIÓ EUROPA, FI

Passive Management Investment Fund with the management objective of obtaining at maturity 100.2% of the initial investment (4/29/16) or maintained investment, and when applicable with returns linked to an index, as well as making annual payments of 0.2% gross.

Recommended for positions over 7 years.

BBVA BOLSA, FI

BOLSA
ES0138861036
BBVA BOLSA, FI

Equity fund that invests in the main companies on the Spanish stock market.

Recommended for positions of more than 3 years.

BBVA BONOS DÓLAR CORTO PLAZO, FI

BONOS DÓLAR CORTO PLAZO
ES0114341037
BBVA BONOS DÓLAR CORTO PLAZO, FI

Fixed-income fund that invests in money market assets and in short-term fixed-income assets in US dollars.

Recommended for positions at more than 3 years, for customers aware of the fund's exposure to USD.

BBVA BONOS PATRIMONIO RENTAS V, FI

BONOS PATRIMONIO RENTAS V
ES0118852005
BBVA BONOS PATRIMONIO RENTAS V, FI

Fund with a profit target that participants to 11/15/2019 will receive 5 annual compulsory redemptions of gross 165.30 euros on account of the existing balance for every 10,000 euros or proportional amount, invested to 05/15/2014, plus 100% of the initial investment. NON-GUARANTEED APR; 1.5% for shares subscribed on 05/15/14, if there are no extraordinary redemptions.
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 strategy maturity (11/15/19). The risk scale is based on holding the investment to maturity.

BBVA RENDIMIENTO ESPAÑA, FI

RENDIMIENTO ESPAÑA
ES0142449000
BBVA RENDIMIENTO ESPAÑA FI

It is an investment fund that has a non-guaranteed estimated return target with a term of 8 years.
The management objective is to obtain 100% of the initial investment (12/01/16) or held to maturity, plus a return linked to an index and to pay gross amounts annually linked to that index via compulsory redemptions.
Non guaranteed objective is
- obtain to maturity (5.12.24) 100% of the initial investment (1.12.16) or maintained (adjusted for possible reimbursements/transfers voluntary) more 0.15%, 0.4% or 1% of the same one if the actuarial amount of the index IBEX 35® is, respectively, smaller to 75%, great or equal to 75% and smaller to 125% or great or equal to 125% of your initial value
- and 0.15%, 0.4% or 1% brute of the initial investment or maintained, to pay via compulsory reimbursement of shares the days 5.12.17, 5.12.18, 5.12.19, 4.12.20, 3.12.21, 5.12.22 and 5.12.23 if in the date corresponding the actuarial amount of the index is, respectively, smaller to 75%, great or equal to 75% and smaller to 125% or great or equal to 125% of your initial value.
NON-GUARANTEED minimum APR of 0.15% and maximum of 1% for subscriptions at 12/01/16 and held to maturity, if there are no extraordinary redemptions. Should there be extraordinary redemptions, there may be significant losses.
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 maturity of the strategy (12/05/2024). 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 BOLSA PLUS, FI

BOLSA PLUS
ES0142451030
BBVA BOLSA PLUS, FI

A fund that mainly invests in Spanish equity assets, with special importance on securities that comprise the IBEX 35 index®, which it takes as a reference. Additionally, if the manager considers that there is revaluation potential, the fund will be weighted towards securities of low and medium capitalization that are quoted on Spanish markets, or from Spanish issuers quoted in other markets.

Recommended for positions of more than 3 years.

BBVA BONOS PATRIMONIO RENTAS VI, FI

BONOS PATRIMONIO RENTAS VI
ES0118853003
BBVA BONOS PATRIMONIO RENTAS VI, FI

Fund with a profit target that participants on 06/10/2020 receive 23 compulsory redemptions of gross 33.30 euros on account of the existing balance, for every 10,000 euros or proportional amount, invested on 07/10/2014, plus 100% of the initial investment. NON-GUARANTEED APR; 1.301% for shares subscribed on 07/10/14 if there are no extraordinary redemptions.
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 (06/10/20). The risk scale is based on holding the investment to maturity.

BBVA BOLSA ÍNDICE, FI

BOLSA ÍNDICE
ES0110182039
BBVA BOLSA ÍNDICE, FI

An equity fund that replicates the performance of the IBEX 35 market index®. The portfolio of the fund is invested, directly or indirectly, through CIIs, in stock and/or futures of this index.

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

Recommended for positions of more than 3 years.

QUALITY GLOBAL, FI

QUALITY GLOBAL
ES0114122031
QUALITY GLOBAL, FI

A fund with flexible asset allocation and dynamic management of a global portfolio without established limits, with 50% of its capital invested, either directly or indirectly through financial CIIs, in public and private fixed-income assets and in variable-income assets. The fund can hold positions in assets denominated in currencies other than its denomination currency.
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.
For further information, please consult the Fund Prospectus. Recommended for positions of more than 3 years.

BBVA RENDIMIENTO EUROPA VI FI

RENDIMIENTO EUROPA VI
ES0133772006
BBVA RENDIMIENTO EUROPA VI, FI

Fund with NON-GUARANTEED target at maturity (01/30/20) of 100% of the net asset value on 07/17/14 plus, only if positive, 70% of the average monthly variation of the EURO STOXX 50 Price (not including dividend yields). 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 (01/30/20). The risk scale is based on holding the investment to maturity.

BBVA BONOS VALOR RELATIVO, FI

BONOS VALOR RELATIVO
ES0113857033
BBVA BONOS VALOR RELATIVO, FI

Alternative management or total return fund, which aims to attain positive returns regardless of market evolution by using the relative value strategy, simultaneously taking put and call positions in different fixed-income securities. Its objective is to exceed the yield of the Money Funds with strict control of the risk. The average volatility level will be 1% per annum and will not exceed 2% per annum.
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.

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.

Results  76  to  90  out of  113  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.