Guaranteed Variable Yield Pension Plans

Maturity 2021

With the BBVA guarantee that ensures recovery of the initial investment, plus another possible gain partly or totally linked to the evolution of equity or currency instruments, or any other asset.

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Results  1  to  3  out of  3  products found

Plan nameCategoryTypeCurrencyNet Asset valueSRRI
All plans
 Plan nameCategoryTypeCurrencyNet Asset valueSRRI

BBVA PLAN OPORTUNIDAD MULTIPLE 21, PPI

PLAN OPORTUNIDAD MULTIPLE 21
F1985
BBVA PLAN OPORTUNIDAD MULTIPLE 21, PPI
Guaranteed Variable ReturnPension plansEURO

BBVA PLAN REVALORIZACIÓN EUROPA III, PPI

REVALORIZACIÓN EUROPA III
F1969
BBVA PLAN REVALORIZACIÓN EUROPA III, PPI
Guaranteed Variable ReturnPension plansEURO

BBVA PLAN REVALORIZACIÓN EUROPA 21, PPI

REVALORIZACIÓN EUROPA 21
F1980
BBVA PLAN REVALORIZACIÓN EUROPA 21, PPI
Guaranteed Variable ReturnPension plansEURO
Plan nameReturn
(1 year)
Return
(3 years)
Return
(5 years)
Volatility
(1 year)
Sharpe
(1 year)
All plans
 Plan nameReturn
(1 year)
Return
(3 years)
Return
(5 years)
Volatility
(1 year)
Sharpe
(1 year)

BBVA PLAN OPORTUNIDAD MULTIPLE 21, PPI

PLAN OPORTUNIDAD MULTIPLE 21
F1985
BBVA PLAN OPORTUNIDAD MULTIPLE 21, PPI

BBVA PLAN REVALORIZACIÓN EUROPA III, PPI

REVALORIZACIÓN EUROPA III
F1969
BBVA PLAN REVALORIZACIÓN EUROPA III, PPI

BBVA PLAN REVALORIZACIÓN EUROPA 21, PPI

REVALORIZACIÓN EUROPA 21
F1980
BBVA PLAN REVALORIZACIÓN EUROPA 21, PPI
Plan nameDescription
All plans
 Plan nameDescription

BBVA PLAN OPORTUNIDAD MULTIPLE 21, PPI

PLAN OPORTUNIDAD MULTIPLE 21
F1985
BBVA PLAN OPORTUNIDAD MULTIPLE 21, PPI

Individual Guaranteed Equities Pension Plan through which BBVA guarantees the stockholder the recovery, within the term of 6 years and 9 months (on October 29, 2021), the capital invested on January 15, 2015, plus a variable yield linked to the evolution of 3 shares (Telefónica, Santander and Repsol). This yield will consist in an additional 2.25% for each time that, on the established observation date (seven in all), the End Value of the 3 shares, is equal to or higher than the Initial Value. The Guaranteed minimum APR at maturity is 0% and the maximum is 2.18%.

All types of people, especially those with an average long-term saving capacity and a retirement horizon around October 2021.

BBVA PLAN REVALORIZACIÓN EUROPA III, PPI

REVALORIZACIÓN EUROPA III
F1969
BBVA PLAN REVALORIZACIÓN EUROPA III, PPI

Individual pension plan integrated into the BBVA OCHENTA Y CINCO F.P. Guaranteed Pension Fund. The target return for this plan is for the stock's net asset value on the guarantee maturity date, 01/14/2021 (initial NAV), to be 100% of the stock's net asset value on 07/18/2014, plus -if positive-75% of the average monthly gain of the Euro STOXX 50 Price, calculated over its initial net asset value.

Suitable for people with aversion to risk who have a retirement horizon close to 2021.

BBVA PLAN REVALORIZACIÓN EUROPA 21, PPI

REVALORIZACIÓN EUROPA 21
F1980
BBVA PLAN REVALORIZACIÓN EUROPA 21, PPI

Individual pension plan that is integrated into the BBVA OCHENTA Y NUEVE F.P. Guaranteed Pension Fund.
The profitability objective of this plan is achieve that the net asset value of the share to the maturity date of the guarantee, 05/05/2021, is equal to 100% of the net asset value of the share the day 11/06/2014 (VLI) incremented, in the event that is positive, for 60% of the Revaluation of the average of the monthly remarks of the index EuroStoxx 50 PRICE ® (SX5E) calculated on your Initial Net asset value.

Suitable for people with aversion to risk who have a retirement horizon close to 2021.

Results  1  to  3  out of  3  products found

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