Best-selling pension plans

Pension plans with the greatest increase in assets

Discover the Plans with the greatest increase in assets in the past month.

Compare pension plans Add to portfolio of plans

Results  76  to  85  out of  85  products found

Plan nameCategoryTypeCurrencyNet Asset valueSRRI
 Plan nameCategoryTypeCurrencyNet Asset valueSRRI

BBVA PLAN TRANQUILIDAD 20 C, PPI

PLAN TRANQUILIDAD 20 C
F1924
BBVA PLAN TRANQUILIDAD 20 C, PPI
Guaranteed Fixed ReturnPension plansEURO
1

BBVA PLAN TRANQUILIDAD 21 B, PPI

BBVA PLAN TRANQUILIDAD 21 B
F1972
BBVA PLAN TRANQUILIDAD 21 B, PPI
Guaranteed Fixed ReturnPension plansEURO
1

BBVA PLAN TRANQUILIDAD 26 C, PPI

PLAN TRANQUILIDAD 26 C
F2043
BBVA PLAN TRANQUILIDAD 26 C, PPI
Guaranteed Fixed ReturnPension plansEURO
1

BBVA PLAN TRANQUILIDAD 20, PPI

PLAN TRANQUILIDAD 20
F1514
BBVA PLAN TRANQUILIDAD 20, PPI
Guaranteed Fixed ReturnPension plansEURO
1

BBVA PROTECCIÓN 2035, PPI

PROTECCIÓN 2035
F1352
BBVA PROTECCIÓN 2035, PPI
Target Date FundsPension plansEURO
4

BBVA PLAN RENTABILIDAD 2020, PPI

PLAN RENTABILIDAD 2020
F1634
BBVA PLAN RENTABILIDAD 2020, PPI
Guaranteed Fixed ReturnPension plansEURO
1

BBVA PROTECCIÓN 2020, PPI

PROTECCIÓN 2020
F3235
BBVA PROTECCIÓN 2020, PPI
Target Date FundsPension plansEURO
4

BBVA PROTECCIÓN 2030, PPI

PROTECCIÓN 2030
F1125
BBVA PROTECCIÓN 2030, PPI
Target Date FundsPension plansEURO
4

BBVA PLAN MERCADO MONETARIO, PPI

PLAN MERCADO MONETARIO
F0657
BBVA PLAN MERCADO MONETARIO, PPI
Fixed incomePension plansEURO
1

BBVA PROTECCIÓN 2025, PPI

PROTECCIÓN 2025
F0989
BBVA PROTECCIÓN 2025, PPI
Target Date FundsPension plansEURO
4
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 TRANQUILIDAD 20 C, PPI

PLAN TRANQUILIDAD 20 C
F1924
BBVA PLAN TRANQUILIDAD 20 C, PPI
----

BBVA PLAN TRANQUILIDAD 21 B, PPI

BBVA PLAN TRANQUILIDAD 21 B
F1972
BBVA PLAN TRANQUILIDAD 21 B, PPI

BBVA PLAN TRANQUILIDAD 26 C, PPI

PLAN TRANQUILIDAD 26 C
F2043
BBVA PLAN TRANQUILIDAD 26 C, PPI
----

BBVA PLAN TRANQUILIDAD 20, PPI

PLAN TRANQUILIDAD 20
F1514
BBVA PLAN TRANQUILIDAD 20, PPI

BBVA PROTECCIÓN 2035, PPI

PROTECCIÓN 2035
F1352
BBVA PROTECCIÓN 2035, PPI

BBVA PLAN RENTABILIDAD 2020, PPI

PLAN RENTABILIDAD 2020
F1634
BBVA PLAN RENTABILIDAD 2020, PPI

BBVA PROTECCIÓN 2020, PPI

PROTECCIÓN 2020
F3235
BBVA PROTECCIÓN 2020, PPI

BBVA PROTECCIÓN 2030, PPI

PROTECCIÓN 2030
F1125
BBVA PROTECCIÓN 2030, PPI

BBVA PLAN MERCADO MONETARIO, PPI

PLAN MERCADO MONETARIO
F0657
BBVA PLAN MERCADO MONETARIO, PPI

BBVA PROTECCIÓN 2025, PPI

PROTECCIÓN 2025
F0989
BBVA PROTECCIÓN 2025, PPI
Plan nameDescription
 Plan nameDescription

BBVA PLAN TRANQUILIDAD 20 C, PPI

PLAN TRANQUILIDAD 20 C
F1924
BBVA PLAN TRANQUILIDAD 20 C, PPI

Pension Plan of the Individual System integrated into the Pension Fund BBVA SETENTA Y SEIS, F.P.

The investment is made in public and private fixed income assets of issuers located in the Eurozone. The investment policy and the portfolio structure are conditional on the achievement of the specific target of the fund: to reach a minimum at 01/21/2020 which represents a revaluation of 12.622% (APR: 2.00%) on the net asset value at 01/21/2014.

All types of people, especially those with a medium long-term saving capacity who have a retirement horizon close to January 2020.

BBVA PLAN TRANQUILIDAD 21 B, PPI

BBVA PLAN TRANQUILIDAD 21 B
F1972
BBVA PLAN TRANQUILIDAD 21 B, PPI

Individual pension plan integrated into the BBVA OCHENTA Y SEIS, F.P.

Investment is made in the public and private fixed-income assets of companies in OECD countries, denominated in euros and with an average portfolio term similar or equal to the horizon of the fund return target. The investment policy and the structure of the portfolio depend on whether a specific objective of the fund has been achieved: to obtain a net asset on May 3, 2021 that represents at least a 8.999% gain (APR: 1.30%) of the stock's net asset value on September 2, 2014.

All kinds of people, especially those with a medium long-term saving capacity and a retirement horizon around April 2021.

BBVA PLAN TRANQUILIDAD 26 C, PPI

PLAN TRANQUILIDAD 26 C
F2043
BBVA PLAN TRANQUILIDAD 26 C, PPI

A Pension Plan from the Individual System integrated into the pension fund BBVA CIENTO CATORCE, F.P. Investment is in public and private Fixed-Income assets from issuers dedicated to the eurozone. The investment policy and the portfolio structure are conditional on the achievement of the specific target of the fund: achieve a minimum net asset value on May 1, 2026 that represents an appreciation of 7.191% (APR: 0.75%) over the net asset value from 01/16/2017.

All types of investors, especially those with an average level of long-term savings capacity and who have their retirement horizon close to May 2026.

BBVA PLAN TRANQUILIDAD 20, PPI

PLAN TRANQUILIDAD 20
F1514
BBVA PLAN TRANQUILIDAD 20, PPI

Pension Plan of the Individual System integrated into the Guaranteed Pension Fund BBVA CUARENTA Y TRES, F.P.

The investment policy and the structure of the portfolio depend on whether a specific objective of the fund has been achieved: to reach a minimum at 01/30/2020 which represents a revaluation of 23.28% (APR: 2.10%) on the net asset value of the share at 01/08/2010.


All types of people, especially those with a medium long-term saving capacity and who are set to retire around 2020.

BBVA PROTECCIÓN 2035, PPI

PROTECCIÓN 2035
F1352
BBVA PROTECCIÓN 2035, PPI

Individual System Pension Plan integrated into the guaranteed pension fund BBVA CUARENTA Y UNO F.P.

Active management of the portfolio that adapts to market prospects and the course of time until the maturity of the guarantee. Guarantee of 100% of all the contributions that you make and the revaluations that the Plan presents every quarter, according to a guarantee external to the Plan granted by BBVA.

Intended for customers with aversion to risk who seek at all times the preservation of their contributions to the Plan and who have a retirement horizon close to 2035.

BBVA PLAN RENTABILIDAD 2020, PPI

PLAN RENTABILIDAD 2020
F1634
BBVA PLAN RENTABILIDAD 2020, PPI

Pension Plan of the Individual System integrated into the Guaranteed Pension Fund BBVA CINCUENTA Y DOS, F.P.

The investment policy and the structure of the portfolio depend on whether a specific objective of the fund has been achieved: to reach a minimum at 01/31/2020 which represents a revaluation of 35.083% (APR 3.80%) on the value of the share at 01/10/2012.

Suitable for persons with an aversion to risk who have a retirement horizon close to January 2020.

BBVA PROTECCIÓN 2020, PPI

PROTECCIÓN 2020
F3235
BBVA PROTECCIÓN 2020, PPI

Pension Plan of the Individual System integrated into the guaranteed pension fund BBVA TREINTA Y CUATRO, F.P.

Active management of the portfolio that adapts to market prospects and the course of time until the maturity of the guarantee.

Guarantee of 100% of all the contributions that you make and the revaluations that the Plan presents every quarter, according to a guarantee external to the Plan granted by BBVA.

Intended for customers with aversion to risk who seek at all times the preservation of their contributions to the Plan and who have a retirement horizon close to 2020.

BBVA PROTECCIÓN 2030, PPI

PROTECCIÓN 2030
F1125
BBVA PROTECCIÓN 2030, PPI

Individual System Pension Plan integrated into the guaranteed pension fund BBVA TREINTA Y SIETE, F.P.

Active management of the portfolio that adapts to market prospects and the course of time until the maturity of the guarantee.

Guarantee of 100% of all the contributions that you make and the revaluations that the Plan presents every quarter, according to a guarantee external to the Plan granted by BBVA.

Designed for customers with a high risk aversion, who seek to preserve their contributions to the Plan and who have a retirement horizon close to 2030.

BBVA PLAN MERCADO MONETARIO, PPI

PLAN MERCADO MONETARIO
F0657
BBVA PLAN MERCADO MONETARIO, PPI

Individual System Pension Plan integrated into the pension fund BBVA MERCADO MONETARIO, F.P.

The fund portfolio invests in public fixed-income securities from both Spain and other euro zone countries, with an A rating or higher, or from other countries with a credit rating equal to or higher than Spain's. The fund mainly invests in securities with maturities of up to 18 months.

Suitable for conservative investors close to retirement age.

BBVA PROTECCIÓN 2025, PPI

PROTECCIÓN 2025
F0989
BBVA PROTECCIÓN 2025, PPI

Individual System Pension Plan integrated into the guaranteed pension fund BBVA VEINTIOCHO, F.P.

Active management of the portfolio that adapts to market prospects and the course of time until the maturity of the guarantee.

Guarantee of 100% of all the contributions that you make and the revaluations that the Plan presents every quarter, according to a guarantee external to the Plan granted by BBVA.

Intended for customers with aversion to risk who seek at all times the preservation of their contributions to the Plan and who have a retirement horizon close to 2025.

Results  76  to  85  out of  85  products found

Compare pension plans Add to portfolio of plans

Note: the best-selling plans are those with the greatest increase in assets in the past month.