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We place our experience and knowledge at your service through our extensive range of funds in our SICAV, BBVA DURBANA INTERNATIONAL FUND.

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Results 1 to 3 out of 3 products found

Fund nameCategoryRegistered inCurrencyNAV DateNet Asset valueSRRI
Our funds
 Fund nameCategoryRegistered inCurrencyNAV DateNet Asset valueSRRI

BBVA INCOME OPPORTUNITY FUND

INCOME OPPORTUNITY A EUR Hedge
LU1043102901
BBVA INCOME OPPORTUNITY FUND CLASS A EUR (Hedged)
GlobalLUXEMBOURGEURO11/13/2019
5
INCOME OPPORTUNITY A USD
LU1043102224
BBVA INCOME OPPORTUNITY FUND CLASE A USD
GlobalLUXEMBOURGUS DOLLAR11/13/2019
5

BBVA STABLE OPPORTUNITY FUND

STABLE OPPORTUNITY P
LU0836883941
BBVA STABLE OPPORTUNITY FUND CLASS P
GlobalLUXEMBOURGUS DOLLAR11/13/2019
3
Fund nameAnnualized return
(1 year)
Annualized return
(3 years)
Annualized return
(5 years)
Volatility
(1 year)
Sharpe
(1 year)
Our funds
 Fund nameAnnualized return
(1 year)
Annualized return
(3 years)
Annualized return
(5 years)
Volatility
(1 year)
Sharpe
(1 year)

BBVA INCOME OPPORTUNITY FUND

INCOME OPPORTUNITY A EUR Hedge
LU1043102901
BBVA INCOME OPPORTUNITY FUND CLASS A EUR (Hedged)
------Accumulation
INCOME OPPORTUNITY A USD
LU1043102224
BBVA INCOME OPPORTUNITY FUND CLASE A USD
------Accumulation

BBVA STABLE OPPORTUNITY FUND

STABLE OPPORTUNITY P
LU0836883941
BBVA STABLE OPPORTUNITY FUND CLASS P
----------Accumulation
FundDescription
Our funds
 FundDescription

BBVA INCOME OPPORTUNITY FUND

INCOME OPPORTUNITY A EUR Hedge
LU1043102901
BBVA INCOME OPPORTUNITY FUND CLASS A EUR (Hedged)

The fund aims to provide capital appreciation through flexible investment based on risk diversification and control, assuming an average degree of risk. The annual volatility of the fund is not expected to exceed 15%.

The investments will seek recurring income such as dividends or coupons, either directly or through other UCITS or UCIs (including eligible ETFs). The fund will seek exposure to absolute returns, volatility, and relative value strategies and commodities.


Recommended for positions at more than 2 years.

INCOME OPPORTUNITY A USD
LU1043102224
BBVA INCOME OPPORTUNITY FUND CLASE A USD

The fund aims to provide capital appreciation through flexible investment based on risk diversification and control, assuming an average degree of risk. The annual volatility of the fund is not expected to exceed 15%.

The investments will seek recurring income such as dividends or coupons, either directly or through other UCITS or UCIs (including eligible ETFs). The fund will seek exposure to absolute returns, volatility, and relative value strategies and commodities.

Recommended for positions at more than 2 years.

BBVA STABLE OPPORTUNITY FUND

STABLE OPPORTUNITY P
LU0836883941
BBVA STABLE OPPORTUNITY FUND CLASS P

The fund aims to generate a capital increase through a flexible investment approach, based on diversification and risk control – taking on a low-medium level of risk –, through investment mainly in low-risk assets. The fund's annualized volatility is not expected to exceed 5%.

Recommended for an investment term of more than 2 years.

Results 1 to 3 out of 3 products found

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