Descubra cómo se clasifican sus Fondos

Formato ISIN incorrecto

Ver la clasificación general: elegir entre las categorías

Fondos absolute
Fondos alternativas
Fondos bonos
Fondos cap.preservation
Fondos equilibrado
Fondos flexibles
Fondos global
Fondos hedge
Fondos liquidez
Fondos stock

Fondos cap.preservation: 9

Fondos global: 142

Fondos hedge: 67

Fondos stock: 12.285

Total de Fondos en el ranking: 472

*Ranking actualizado a 19.06.2025
los rendimientos se expresan en euros, los valores de 3Y y 5Y se anualizan.
Seleccione el período para clasificar por rendimiento
# Sociedades Gestoras Nombre del fondo Añadir a
la cartera
1M Pedir 1Y 3Y* Pedir 5Y*Pedir Hoja de producto
91° ZEST ASSET MANAGEMENT SICAV-ZEST MEDITERRANEUS ABSOLUTE VALUE FUND-I EUR ZEST ASSET MANAGEMENT SICAV-ZEST MEDITERRANEUS ABSOLUTE VALUE FUND-I EURLU1216091261 0.37% (140°) 4.82% (91°) 5.84% (88°) 0.00% (364°) Abrir la ficha
Análisis y rankings
92° Schroder ISF Multi-Asset Total Return C Acc Schroder ISF Multi-Asset Total Return C AccLU1520997542 0.85% (84°) 4.78% (92°) 3.37% (235°) 2.42% (255°) Abrir la ficha
Análisis y rankings
93° LO Funds - Asia Value Bond, Syst. NAV Hdg, (EUR) M A LO Funds - Asia Value Bond, Syst. NAV Hdg, (EUR) M ALU1480986030 0.33% (148°) 4.77% (93°) 5.10% (130°) -0.55% (412°) Abrir la ficha
Análisis y rankings
94° Invesco Global Total Return (EUR) Bond Z Acc EUR Invesco Global Total Return (EUR) Bond Z Acc EURLU1625225237 1.05% (53°) 4.76% (94°) 4.18% (192°) 1.71% (283°) Abrir la ficha
Análisis y rankings
95° Franklin K2 Athena Uncorrelated Strategies UCITS Fund I(acc) EUR-H1 Franklin K2 Athena Uncorrelated Strategies UCITS Fund I(acc) EUR-H1LU2303826114 0.53% (120°) 4.74% (95°) 2.92% (271°) - Abrir la ficha
Análisis y rankings
96° Franklin K2 Athena Uncorrelated Strategies UCITS Fund EO (acc) EUR-H1 Franklin K2 Athena Uncorrelated Strategies UCITS Fund EO (acc) EUR-H1LU2303825900 0.61% (113°) 4.72% (96°) 3.01% (265°) - Abrir la ficha
Análisis y rankings
97° MFS Meridian Funds Diversified Income WH1GBP MFS Meridian Funds Diversified Income WH1GBPLU1130815035 -0.95% (296°) 4.71% (97°) 5.69% (96°) 4.46% (123°) Abrir la ficha
Análisis y rankings
98° Pyrford Global Total Return (Sterling) W Euro Hedged Accumulating Pyrford Global Total Return (Sterling) W Euro Hedged AccumulatingIE00BDZS0L05 0.92% (71°) 4.68% (98°) 2.39% (297°) 1.67% (286°) Abrir la ficha
Análisis y rankings
99° Capital Group EM Total Opportunities (LUX) Bh-EUR Capital Group EM Total Opportunities (LUX) Bh-EURLU0810662568 0.18% (170°) 4.67% (99°) 5.42% (112°) 2.77% (235°) Abrir la ficha
Análisis y rankings
100° Brookfield Real Assets Securities UCITS E (Institutional Acc) USD Acc Brookfield Real Assets Securities UCITS E (Institutional Acc) USD AccIE00BYY9RD29 -3.16% (460°) 4.66% (100°) 1.72% (325°) 5.66% (55°) Abrir la ficha
Análisis y rankings
101° Invesco Global Total Return (EUR) Bond C Acc EUR Invesco Global Total Return (EUR) Bond C Acc EURLU0534240071 1.04% (54°) 4.60% (101°) 4.03% (202°) 1.56% (293°) Abrir la ficha
Análisis y rankings
102° Bellevue (Lux) BB Global Macro B EUR Bellevue (Lux) BB Global Macro B EURLU0494761835 0.00% (201°) 4.50% (102°) 5.73% (95°) 1.32% (303°) Abrir la ficha
Análisis y rankings
103° ING DIRECT FONDO NARANJA DINAMICO FI (C) ING DIRECT FONDO NARANJA DINAMICO FI (C)ES0152743003 0.55% (118°) 4.48% (103°) 4.68% (166°) 4.02% (156°) Abrir la ficha
Análisis y rankings
104° LO Funds - Asia Value Bond, Syst. NAV Hdg, (EUR) P A LO Funds - Asia Value Bond, Syst. NAV Hdg, (EUR) P ALU1480986204 0.30% (155°) 4.45% (104°) 4.78% (154°) -0.85% (416°) Abrir la ficha
Análisis y rankings
105° Aviva Investors Multi-Strategy Target Return I Acc EUR Aviva Investors Multi-Strategy Target Return I Acc EURLU1074209757 0.50% (122°) 4.45% (105°) 5.89% (81°) 4.80% (99°) Abrir la ficha
Análisis y rankings
106° Aviva Investors Multi-Strategy Target Return Ry Acc EUR Aviva Investors Multi-Strategy Target Return Ry Acc EURLU1253880865 0.50% (123°) 4.38% (106°) 5.85% (86°) 4.77% (101°) Abrir la ficha
Análisis y rankings
107° AXA WF Global Optimal Income I Cap EUR AXA WF Global Optimal Income I Cap EURLU0465917630 -0.14% (220°) 4.36% (107°) 6.55% (61°) 3.88% (165°) Abrir la ficha
Análisis y rankings
108° M&G (Lux) Global Target Return EUR CI Acc M&G (Lux) Global Target Return EUR CI AccLU1531595137 0.98% (61°) 4.30% (108°) 5.35% (115°) 4.15% (147°) Abrir la ficha
Análisis y rankings
109° MFS Meridian Funds Diversified Income IH1EUR MFS Meridian Funds Diversified Income IH1EURLU1099987882 0.16% (177°) 4.30% (109°) 4.29% (184°) 2.33% (257°) Abrir la ficha
Análisis y rankings
110° Lyxor Flexible Allocation Class I (EUR) Lyxor Flexible Allocation Class I (EUR)LU0812609666 0.76% (94°) 4.29% (110°) 4.66% (169°) 2.92% (230°) Abrir la ficha
Análisis y rankings
111° AXA WF Global Optimal Income F Cap EUR AXA WF Global Optimal Income F Cap EURLU0465917473 -0.14% (221°) 4.28% (111°) 6.45% (66°) 3.79% (172°) Abrir la ficha
Análisis y rankings
112° Vontobel Fund II Active Beta I Vontobel Fund II Active Beta ILU1936094652 0.40% (134°) 4.27% (112°) 1.32% (340°) 0.72% (336°) Abrir la ficha
Análisis y rankings
113° M&G (Lux) Global Target Return EUR C Acc M&G (Lux) Global Target Return EUR C AccLU1531595053 0.98% (62°) 4.26% (113°) 5.32% (116°) 4.12% (149°) Abrir la ficha
Análisis y rankings
114° MFS Meridian Funds Diversified Income WH1EUR MFS Meridian Funds Diversified Income WH1EURLU1307986916 0.16% (178°) 4.26% (114°) 4.17% (193°) 2.22% (261°) Abrir la ficha
Análisis y rankings
115° GAM Star Global Balanced U Acc Hdg EUR GAM Star Global Balanced U Acc Hdg EURIE00BYQ0FB79 -0.34% (246°) 4.26% (115°) 4.82% (149°) 2.74% (236°) Abrir la ficha
Análisis y rankings
116° Vontobel Fund Multi Asset Solution C Vontobel Fund Multi Asset Solution CLU1481721022 -0.31% (243°) 4.25% (116°) 2.90% (272°) 1.20% (306°) Abrir la ficha
Análisis y rankings
117° Threadneedle (Lux) GLOBAL MULTI ASSET INCOME DEH Threadneedle (Lux) GLOBAL MULTI ASSET INCOME DEHLU1598429832 1.07% (50°) 4.25% (117°) 5.68% (97°) 3.42% (198°) Abrir la ficha
Análisis y rankings
118° Capital Group EM Total Opportunities (LUX) Bh-CHF Capital Group EM Total Opportunities (LUX) Bh-CHFLU0637577726 -0.07% (212°) 4.24% (118°) 5.51% (107°) 3.42% (199°) Abrir la ficha
Análisis y rankings
119° Ninety One Global Strategy Fund Global Macro Allocation S Acc EUR Hdg Ninety One Global Strategy Fund Global Macro Allocation S Acc EUR HdgLU1770035902 0.88% (79°) 4.22% (119°) 0.77% (359°) 4.60% (114°) Abrir la ficha
Análisis y rankings
120° Edmond de Rothschild Fund QUAM 5 I-EUR Edmond de Rothschild Fund QUAM 5 I-EURLU1005539025 1.30% (39°) 4.21% (120°) 3.18% (250°) 0.34% (347°) Abrir la ficha
Análisis y rankings

Los datos y resultados son proporcionados por . Haga clic en el fondo individual y lea su tarjeta con los indicadores de rentabilidad y riesgo esperados.