Investment Funds

Behavior

Annual return

  • 2023
  • -
  • 2022
  • -
  • 2021
  • -
  • 2020
  • -
  • 2019
  • -

Return

  • 1 month
  • 0,24%
  • 3 months
  • 1,08%
  • 6 months
  • 1,91%
  • 1 year
  • 3,52%
  • TAE 3 years
  • 0,8%
  • TAE 5 years
  • 0,92%

*Past performance is not a reliable indicator of future performance.

Liquidating value

Return between -
%

VLP query between two dates:

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Fund detail

ISIN

ES0113228003

Address

Spain

Currency

EUR

Class

Minimum investment

Investment to be maintained

CNMV Category

Garantizado de Rendimiento Variable

CNMV registry no.

Assets

59,59

Participants

3.607

Net asset value to 01/12/2024

106,92 EUR

Description

Behavior

Annual return

  • 2023
  • -
  • 2022
  • -
  • 2021
  • -
  • 2020
  • -
  • 2019
  • -

Return

  • 1 month
  • 0,24%
  • 3 months
  • 1,08%
  • 6 months
  • 1,91%
  • 1 year
  • 3,52%
  • TAE 3 years
  • 0,8%
  • TAE 5 years
  • 0,92%

Liquidating value

Return between -
%

Query between two dates:

Search

Fund detail

ISIN

ES0113228003

Address

Spain

Currency

EUR

Class

Minimum investment

Investment to be maintained

CNMV Category

Garantizado de Rendimiento Variable

CNMV registry no.

Assets

59,59

Participants

3.607

Net asset value to 01/12/2024

106,92 EUR