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Results  1  to  4  out of  4  products found

Plan nameCategoryTypeCurrencyNet Asset valueSRRI
 Plan nameCategoryTypeCurrencyNet Asset valueSRRI

BBVA PLAN CONSOLIDACIÓN 85, PPI

PLAN CONSOLIDACIÓN 85 F2044
BBVA PLAN CONSOLIDACIÓN 85, PPI
BalancedPension plansEURO
5

BBVA PLAN DESTINO JUBILACIÓN, PPI

PLAN DESTINO JUBILACIÓN
F2079
BBVA PLAN DESTINO JUBILACIÓN, PPI
BalancedPension plansEURO
2

BBVA PLAN RENTA FIJA INTERNACIONAL FLEXIBLE, PPI

RENTA FIJA INTERNACIONAL FLEXIBLE
F1982
BBVA PLAN RENTA FIJA INTERNACIONAL FLEXIBLE, PPI
Fixed incomePension plansEURO
3

BBVA PLAN RENTA FIJA INTERNACIONAL FLEXIBLE 0-3, PPI

PLAN R. FIJA INTERNACIONAL FLEXIBLE 0-3
F2018
BBVA PLAN RENTA FIJA INTERNACIONAL FLEXIBLE 0-3, PPI
Fixed incomePension plansEURO
2
Plan nameReturn
(1 year)
Return
(3 years)
Return
(5 years)
Volatility
(1 year)
Sharpe
(1 year)
 Plan nameReturn
(1 year)
Return
(3 years)
Return
(5 years)
Volatility
(1 year)
Sharpe
(1 year)

BBVA PLAN CONSOLIDACIÓN 85, PPI

PLAN CONSOLIDACIÓN 85 F2044
BBVA PLAN CONSOLIDACIÓN 85, PPI
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BBVA PLAN DESTINO JUBILACIÓN, PPI

PLAN DESTINO JUBILACIÓN
F2079
BBVA PLAN DESTINO JUBILACIÓN, PPI
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BBVA PLAN RENTA FIJA INTERNACIONAL FLEXIBLE, PPI

RENTA FIJA INTERNACIONAL FLEXIBLE
F1982
BBVA PLAN RENTA FIJA INTERNACIONAL FLEXIBLE, PPI
--

BBVA PLAN RENTA FIJA INTERNACIONAL FLEXIBLE 0-3, PPI

PLAN R. FIJA INTERNACIONAL FLEXIBLE 0-3
F2018
BBVA PLAN RENTA FIJA INTERNACIONAL FLEXIBLE 0-3, PPI
--
Plan nameDescription
 Plan nameDescription

BBVA PLAN CONSOLIDACIÓN 85, PPI

PLAN CONSOLIDACIÓN 85 F2044
BBVA PLAN CONSOLIDACIÓN 85, PPI

International Balanced Equity Pension Fund. The fund's investment in Equities will range from 0% to 60%, based on the expectations of the management team.

The investment policy of this fund is intended to maximize profitability in the medium term through diversified investment in global fixed-income and equity assets, subject to the non-guaranteed consolidation objective and within the framework established by current legislation with regard to investments.

A non-guaranteed consolidation objective has been established that consists of ensuring the daily net asset value of the fund does not fall below 85% of the maximum historic net asset value reached by the investment fund.

The assets will be selected at all times depending on the market perspective of the Managing Entity and following criteria to achieve the non-guaranteed consolidation objective.

The part that is not exposed to Equities will be exposed to Fixed-Income, which may be public or private (including assets listed or not on the monetary market, liquid assets and deposits).

Suitable for people with low risk aversion and preferably with a distant retirement horizon.

BBVA PLAN DESTINO JUBILACIÓN, PPI

PLAN DESTINO JUBILACIÓN
F2079
BBVA PLAN DESTINO JUBILACIÓN, PPI

Individual Pension Plan integrated into the BBVA CIENTO VEINTE. F.P. pension fund. This Combined International Fixed-Income pension fund will invest directly or indirectly in public and private fixed and variable income securities through financial CIIs.

Variable income investments will be between 0% and 10% of the total exposure and will preferably be in medium and high capitalization securities on OECD markets. Likewise, investments may also be made on variable-income markets other than these, mainly Latin American, Asia and Emerging Europe.

The portion not invested in Variable Income will be invested in Fixed Income, which may be public or private. The issuers and/or markets for investment will belong to OECD or emerging countries. Issues will have fixed or variable interest rates. The investment in Fixed Income will include "repos", deposits, securitizations and unlisted non-monetary liquid securities. The duration, rating and maturity of the portfolio will not be predetermined.

Currency exchange risk may be up to 100% of total exposure. The currency risk associated with investing in international markets will be managed actively, and may be fully hedged.

Suitable for people with a low risk profile and/or who are closing in on retirement age.

BBVA PLAN RENTA FIJA INTERNACIONAL FLEXIBLE, PPI

RENTA FIJA INTERNACIONAL FLEXIBLE
F1982
BBVA PLAN RENTA FIJA INTERNACIONAL FLEXIBLE, PPI

Pension plan of the Individual System integrated into the guaranteed pension fund BBVA NOVENTA Y CINCO, F.P.
Individual Long Term Fixed Interest Pension Plan that invests in public and private fixed-income securities, at a fixed or variable interest, issued by countries in OECD countries and emerging countries, without establishing fixed distribution percentages. You can invest in currencies other than the euro.
For further information, please consult the documents of the plan.

Suitable for people with a medium risk profile and who are preferably a long way off retirement.

BBVA PLAN RENTA FIJA INTERNACIONAL FLEXIBLE 0-3, PPI

PLAN R. FIJA INTERNACIONAL FLEXIBLE 0-3
F2018
BBVA PLAN RENTA FIJA INTERNACIONAL FLEXIBLE 0-3, PPI

Individual Pension Plan integrated into the long-term Fixed-Income pension fund BBVA CIENTO TRES, F.P, which invests in a diversified global portfolio of public and private fixed income securities. The average duration of the portfolio will be between 0 and 3 years. The fund can invest up to 50% in assets below Investment Grade and Emerging markets. The currency exchange risk of the portfolio will be 20%. The investment style is independent to a reference index and is based on the selection of bonds and issuers.

Suitable for people with a medium risk profile and who preferably have a mid-term retirement horizon.

Results  1  to  4  out of  4  products found

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