1 KESSLER GLOBAL, FI
|
MIXTO FLEXIBLE |
5,500000 |
06/07 |
· |
· |
|
A&G FLOTA - NOMAD DYNAMIC ALLOCATION A EUR CAP
|
MIXTO AGRESIVO GLOBAL |
11,322300 |
16/01 |
1,53% |
· |
|
A&G FLOTA - NOMAD DYNAMIC ALLOCATION B EUR CAP
|
MIXTO AGRESIVO GLOBAL |
0,000010 |
21/03 |
· |
· |
|
A&G FLOTA - NOMAD DYNAMIC ALLOCATION C EUR CAP
|
MIXTO AGRESIVO GLOBAL |
11,431400 |
16/01 |
1,56% |
· |
|
A&G FLOTA - NOMAD FLEXIBLE ALLOCATION A EUR CAP
|
MIXTO MODERADO GLOBAL |
10,906000 |
16/01 |
0,67% |
· |
|
A&G FLOTA - NOMAD FLEXIBLE ALLOCATION B EUR CAP
|
MIXTO MODERADO GLOBAL |
11,027800 |
16/01 |
0,68% |
· |
|
A&G FLOTA - NOMAD FLEXIBLE ALLOCATION C EUR CAP
|
MIXTO MODERADO GLOBAL |
10,993700 |
16/01 |
0,68% |
· |
|
A&P LIFESCIENCE FUND, FI C
|
BIOTECNOLOGÍA |
0,000010 |
10/03 |
· |
· |
|
AB FCP I-GLOBAL HIGH YIELD PORTFOLIO S1 EUR H
|
RFI GLOBAL HIGH YIELD |
113,190000 |
17/01 |
0,49% |
· |
|
AB FCP I-SHORT DURATION BOND PORTFOLIO S1-USD
|
RFI GLOBAL |
99,514469 |
17/01 |
1,06% |
· |
|
AB SICAV I-AMERICAN MULTI-ASSET PORTFOLIO A EUR
|
MIXTO FLEXIBLE |
18,860000 |
17/01 |
2,06% |
· |
|
AB SICAV I-AMERICAN MULTI-ASSET PORTFOLIO A EUR H
|
MIXTO FLEXIBLE |
16,710000 |
17/01 |
1,15% |
· |
|
AB SICAV I-AMERICAN MULTI-ASSET PORTFOLIO A USD
|
MIXTO FLEXIBLE |
17,362595 |
17/01 |
2,08% |
· |
|
AB SICAV I-AMERICAN MULTI-ASSET PORTFOLIO AD EUR
|
MIXTO FLEXIBLE |
15,890000 |
17/01 |
1,99% |
· |
|
AB SICAV I-AMERICAN MULTI-ASSET PORTFOLIO AD EUR H
|
MIXTO FLEXIBLE |
14,750000 |
17/01 |
1,17% |
· |
|
AB SICAV I-AMERICAN MULTI-ASSET PORTFOLIO I EUR
|
MIXTO FLEXIBLE |
19,230000 |
17/01 |
2,07% |
· |
|
AB SICAV I-AMERICAN MULTI-ASSET PORTFOLIO I EUR H
|
MIXTO FLEXIBLE |
17,030000 |
17/01 |
1,19% |
· |
|
AB SICAV I-AMERICAN MULTI-ASSET PORTFOLIO I USD
|
MIXTO FLEXIBLE |
17,702466 |
17/01 |
2,17% |
· |
|
AB SICAV I-CHINA NET ZERO SOLUTIONS PORTFOLIO A EUR
|
RVI CHINA |
10,790000 |
17/01 |
-0,64% |
· |
|
AB SICAV I-CHINA NET ZERO SOLUTIONS PORTFOLIO A EUR H
|
RVI CHINA |
9,580000 |
17/01 |
-1,84% |
· |
|
AB SICAV I-CHINA NET ZERO SOLUTIONS PORTFOLIO I EUR
|
RVI CHINA |
11,030000 |
17/01 |
-0,63% |
· |
|
AB SICAV I-CHINA NET ZERO SOLUTIONS PORTFOLIO I EUR H
|
RVI CHINA |
9,800000 |
17/01 |
-1,71% |
· |
|
AB SICAV I-GLOBAL VALUE PORTFOLIO I GBP
|
RVI GLOBAL VALOR |
22,556925 |
17/01 |
3,56% |
· |
|
AB SICAV I-SUSTAINABLE US THEMATIC PORTFOLIO B CAD H
|
RVI USA |
25,095823 |
21/04 |
· |
· |
|
AB SICAV I-SUSTAINABLE US THEMATIC PORTFOLIO S1 GBP
|
RVI USA |
153,931773 |
17/01 |
2,86% |
· |
|
AB SICAV I-US SMALL AND MID-CAP PORTFOLIO S1 EUR H
|
RVI USA SMALL/MID CAP |
116,350000 |
17/01 |
2,75% |
· |
|
AB SICAV III-FIXED MATURITY BOND 2025 A2 EUR H
|
RFI USA |
105,680000 |
17/01 |
0,22% |
· |
|
AB SICAV III-FIXED MATURITY BOND 2025 A2 USD
|
RFI USA |
107,020781 |
17/01 |
1,18% |
· |
|
AB SICAV III-FIXED MATURITY BOND 2025 AT EUR H
|
RFI USA |
100,710000 |
17/01 |
0,22% |
· |
|
AB SICAV III-FIXED MATURITY BOND 2025 AT USD
|
RFI USA |
96,523597 |
17/01 |
1,17% |
· |
|
AB SICAV III-FIXED MATURITY BOND 2025 I2 USD
|
RFI USA |
107,350942 |
17/01 |
1,18% |
· |
|
AB SICAV III-FIXED MATURITY BOND 2025 IT USD
|
RFI USA |
98,562828 |
17/01 |
1,17% |
· |
|
ABANCA AHORRO, FI CARTERA
|
RF EURO CORTO PLAZO |
106,035899 |
16/01 |
-0,07% |
· |
|
ABANCA BONOS CORPORATIVOS, FI CARTERA
|
MIXTO DEFENSIVO EURO |
9,983617 |
16/01 |
-0,22% |
· |
|
ABANCA BONOS CORPORATIVOS, FI FUNDO DE OBRIGAÇÕES
|
MIXTO DEFENSIVO EURO |
10,335095 |
16/01 |
-0,25% |
· |
|
ABANCA GARANTIZADO 2025, FI
|
RV GARANTIZADO |
10,491583 |
17/01 |
0,00% |
· |
|
ABANCA OBJETIVO 2025, FI
|
DEUDA PÚBLICA EURO |
10,433894 |
17/01 |
0,10% |
· |
|
ABANCA RENTA FIJA GOBIERNOS, FI MINORISTA
|
DEUDA PÚBLICA EURO |
10,606123 |
16/01 |
-0,53% |
· |
|
ABANCA RENTA FIJA MIXTA, FI FUNDO MISTO OBRIGAÇÕES
|
MIXTO CONSERVADOR GLOBAL |
10,833276 |
16/01 |
0,45% |
· |
|
ABANCA RENTA FIJA PATRIMONIO, FI CARTERA
|
RF EURO CORTO PLAZO |
10,831184 |
16/01 |
-0,11% |
· |
|
ABANCA RENTA VARIABLE DIVIDENDO, FI CARTERA
|
RVI GLOBAL |
10,693547 |
16/01 |
3,35% |
· |
|
ABANCA RENTA VARIABLE MIXTA, FI FUNDO MISTO AÇOES
|
MIXTO AGRESIVO GLOBAL |
11,683066 |
16/01 |
1,41% |
· |
|
ABANCA RENTAS CRECIENTES 2026, FI
|
DEUDA PÚBLICA EURO |
10,166313 |
17/01 |
-0,12% |
· |
|
ABANCA RENTAS CRECIENTES 2027, FI
|
DEUDA PÚBLICA EURO |
9,937384 |
17/01 |
-0,20% |
· |
|
ABANTE GLOBAL FUNDS - ABANTE EQUITY MANAGERS B USD HEDGED CAP
|
RVI GLOBAL |
0,000010 |
22/03 |
· |
· |
|
ABANTE GLOBAL FUNDS - ABANTE LIFE SCIENCES FUND B USD CAP
|
BIOTECNOLOGÍA |
7,409781 |
07/09 |
· |
· |
|
ABANTE GLOBAL FUNDS - ABANTE LIFE SCIENCES FUND C EUR HEDGED CAP
|
BIOTECNOLOGÍA |
0,000010 |
21/03 |
· |
· |
|
ABANTE GLOBAL FUNDS - ABANTE PANGEA A USD HEDGED CAP
|
MIXTO FLEXIBLE |
7,635971 |
21/02 |
· |
· |
|
ABANTE GLOBAL FUNDS - ABANTE PANGEA B USD HEDGED CAP
|
MIXTO FLEXIBLE |
0,000010 |
22/03 |
· |
· |
|
ABANTE PATRIMONIO GLOBAL, FI C
|
MIXTO FLEXIBLE |
0,000010 |
08/09 |
· |
· |
|
ABANTE SECTOR INMOBILIARIO, FI D
|
INMOBILIARIO INDIRECTO |
12,524129 |
17/01 |
0,34% |
· |
|
ABRDN LIQUIDITY FUND (LUX) - EURO FUND A-2 CAP
|
MONETARIO EURO |
465,237400 |
17/01 |
0,13% |
· |
|
ABRDN LIQUIDITY FUND (LUX) - EURO FUND I-2 CAP
|
MONETARIO EURO |
1.275,761300 |
17/01 |
0,13% |
· |
|
ABRDN LIQUIDITY FUND (LUX) - EURO FUND J-2 CAP
|
MONETARIO EURO |
1.131,449600 |
17/01 |
0,14% |
· |
|
ABRDN LIQUIDITY FUND (LUX) - STERLING FUND A-2 CAP
|
MONETARIO EUROPA |
6.371,383728 |
17/01 |
-1,59% |
· |
|
ABRDN LIQUIDITY FUND (LUX) - STERLING FUND I-2 CAP
|
MONETARIO EUROPA |
1.537,380555 |
17/01 |
-1,58% |
· |
|
ABRDN LIQUIDITY FUND (LUX) - US DOLLAR FUND A-2 CAP
|
MONETARIO USA |
3.564,061274 |
17/01 |
1,10% |
· |
|
ABRDN LIQUIDITY FUND (LUX) - US DOLLAR FUND I-2 CAP
|
MONETARIO USA |
1.434,703146 |
17/01 |
1,11% |
· |
|
ABRDN LIQUIDITY FUND (LUX) - US DOLLAR FUND K-2 CAP
|
MONETARIO USA |
11,768984 |
17/01 |
1,11% |
· |
|
ABRDN SICAV I-CHINA NEXT GENERATION FUND A ACC EUR HEDGED
|
RVI CHINA |
5,733700 |
17/01 |
0,74% |
· |
|
ABRDN SICAV I-CHINA NEXT GENERATION FUND A ACC USD
|
RVI CHINA |
5,924548 |
17/01 |
1,78% |
· |
|
ABRDN SICAV I-CHINA NEXT GENERATION FUND I ACC EUR HEDGED
|
RVI CHINA |
5,846500 |
17/01 |
0,78% |
· |
|
ABRDN SICAV I-CHINA NEXT GENERATION FUND K ACC USD
|
RVI CHINA |
6,118178 |
17/01 |
1,84% |
· |
|
ABRDN SICAV I-CHINA NEXT GENERATION FUND X ACC USD
|
RVI CHINA |
6,039037 |
17/01 |
1,82% |
· |
|
ABRDN SICAV I-GLOBAL DYNAMIC DIVIDEND FUND A ACC EUR
|
RVI GLOBAL VALOR |
13,024100 |
17/01 |
2,35% |
· |
|
ABRDN SICAV I-GLOBAL DYNAMIC DIVIDEND FUND A ACC EUR HEDGED
|
RVI GLOBAL VALOR |
11,857400 |
17/01 |
1,18% |
· |
|
ABRDN SICAV I-JAPANESE SUSTAINABLE EQUITY FUND L ACC EUR
|
RVI JAPÓN |
11,583800 |
17/01 |
-1,39% |
· |
|
ABRDN SICAV I-NORTH AMERICAN SMALLER COMPANIES FUND I ACC EUR
|
RVI USA SMALL/MID CAP |
12,468400 |
17/01 |
6,11% |
· |
|
ABRDN SICAV II-GLOBAL IMPACT EQUITY A ACC EUR
|
RVI GLOBAL |
14,744800 |
17/01 |
2,66% |
· |
|
ABRDN SICAV II-GLOBAL IMPACT EQUITY B ACC EUR
|
RVI GLOBAL |
15,503700 |
17/01 |
2,69% |
· |
|
ABRDN SICAV II-GLOBAL IMPACT EQUITY D ACC EUR
|
RVI GLOBAL |
15,530900 |
17/01 |
2,69% |
· |
|
ABRDN SICAV II-GLOBAL IMPACT EQUITY D ACC USD
|
RVI GLOBAL |
13,229365 |
17/01 |
2,54% |
· |
|
ABRDN SICAV II-GLOBAL RISK MITIGATION B ACC HEDGED EUR
|
GESTIÓN ALTERNATIVA |
6,531200 |
17/01 |
-1,22% |
· |
|
ABRDN SICAV II-GLOBAL RISK MITIGATION B ACC USD
|
GESTIÓN ALTERNATIVA |
6,682268 |
17/01 |
0,26% |
· |
|
ABRDN SICAV II-GLOBAL RISK MITIGATION D ACC HEDGED EUR
|
GESTIÓN ALTERNATIVA |
6,541800 |
17/01 |
-1,22% |
· |
|
ABRDN SICAV II-GLOBAL RISK MITIGATION D ACC USD
|
GESTIÓN ALTERNATIVA |
6,691882 |
17/01 |
0,26% |
· |
|
ABRDN SICAV II-GLOBAL RISK MITIGATION S ACC HEDGED EUR
|
GESTIÓN ALTERNATIVA |
6,557700 |
17/01 |
-1,22% |
· |
|
ABRDN SICAV II-GLOBAL RISK MITIGATION S ACC USD
|
GESTIÓN ALTERNATIVA |
6,711886 |
17/01 |
0,26% |
· |
|
ABRDN SICAV II-GLOBAL RISK MITIGATION Z ACC HEDGED EUR
|
GESTIÓN ALTERNATIVA |
6,694600 |
17/01 |
-1,18% |
· |
|
ABRDN SICAV II-GLOBAL SMALLER COMPANIES A ACC EUR
|
RVI GLOBAL SMALL/MID CAP |
13,741300 |
17/01 |
3,72% |
· |
|
ABRDN SICAV II-GLOBAL SMALLER COMPANIES A ACC USD
|
RVI GLOBAL SMALL/MID CAP |
11,568848 |
17/01 |
3,57% |
· |
|
ABRDN SICAV II-GLOBAL SMALLER COMPANIES B ACC EUR
|
RVI GLOBAL SMALL/MID CAP |
14,717000 |
17/01 |
3,77% |
· |
|
ACACIA RENTA CORTO PLAZO, FI
|
MONETARIO EURO PLUS |
10,054370 |
17/01 |
0,15% |
· |
|
ACACIA RENTA DINAMICA, FI G
|
MIXTO FLEXIBLE |
8,040240 |
17/01 |
0,00% |
· |
|
ACACIA RENTA DINAMICA, FI I
|
MIXTO FLEXIBLE |
8,040250 |
17/01 |
0,00% |
· |
|
ACACIA RENTA DINAMICA, FI MASTER
|
MIXTO FLEXIBLE |
8,066700 |
17/01 |
0,02% |
· |
|
ACACIA RENTA DINAMICA, FI R
|
MIXTO FLEXIBLE |
8,022740 |
17/01 |
-0,01% |
· |
|
ACATIS - GANE VALUE EVENT FONDS UI A EUR CAP
|
MIXTO FLEXIBLE |
387,870000 |
08/01 |
0,37% |
10,81% |
|
ACATIS - GANE VALUE EVENT FONDS UI B EUR CAP
|
MIXTO FLEXIBLE |
27.194,380000 |
08/01 |
0,40% |
12,23% |
|
ACATIS - GANE VALUE EVENT FONDS UI C EUR DIS
|
MIXTO FLEXIBLE |
1.415,540000 |
08/01 |
0,37% |
-3,97% |
|
ACATIS - GANE VALUE EVENT FONDS UI X(TF) EUR DIS
|
MIXTO FLEXIBLE |
151,400000 |
08/01 |
0,39% |
6,72% |
|
ACIMUT NORTH AMERICAN MANAGERS, FI INSTITUCIONAL
|
RVI USA |
141,478352 |
16/01 |
2,40% |
· |
|
ACIMUT NORTH AMERICAN MANAGERS, FI RETAIL
|
RVI USA |
140,054517 |
16/01 |
2,39% |
· |
|
ACROPOLIS USA EQUITY, FI
|
RVI USA |
13,176745 |
17/01 |
3,34% |
· |
|
ACTYUS FINTECH I, FIL
|
FONDO DE INVERSIÓN LIBRE |
12,947710 |
28/06 |
· |
· |
|
ADBK SICAV - GLOBAL ASSET ALLOCATION FUND
|
MIXTO FLEXIBLE |
742,520000 |
06/10 |
· |
· |
|
ADBK SICAV - GLOBAL DYNAMIC ASSET ALLOCATION
|
MIXTO FLEXIBLE |
100,850000 |
06/10 |
· |
· |
|
ADBK SICAV - GLOBAL MEDIUM ASSET ALLOCATION
|
MIXTO FLEXIBLE |
101,470000 |
06/10 |
· |
· |
|
ADLER, FIL
|
FONDO DE INVERSIÓN LIBRE |
14,823216 |
20/10 |
· |
· |
|
ALBATROS PATRIMONIO SICAV - GLOBAL DIVERSIFIED EUR CAP
|
MIXTO FLEXIBLE |
101,460000 |
10/01 |
-0,33% |
· |
|