Plan
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Categoría VDOS
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Valor liquidativo
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Fecha
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%
2025 ![]() ![]() |
%
3 años ![]() ![]() |
Rating VDOS
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---|---|---|---|---|---|---|
BS PLAN RENTA VARIABLE PLUS 2 | RV EURO | 12,250822 | 06/02 | 5,56% | 18,80% |
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BS PLAN RENTA VARIABLE | RV EURO | 11,276980 | 06/02 | 5,54% | 18,25% |
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MEDVIDA PARTNERS HORIZONTE ALTO RENDIMIENTO | RVI GLOBAL | 25,504811 | 07/02 | 5,51% | 34,09% |
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FONDITEL RED ACTIVA | RVI EUROPA | 31,715825 | 06/02 | 5,48% | 25,55% |
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MEDVIDA PARTNERS ALTO RENDIMIENTO | RVI GLOBAL | 27,163785 | 07/02 | 5,48% | 32,62% |
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MEDVIDA PARTNERS GESTION DINAMICA | RVI GLOBAL | 27,568667 | 07/02 | 5,48% | 32,63% |
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BBVA PLAN RENTA VARIABLE EUROPA | RVI EUROPA | 9,190426 | 06/02 | 5,46% | 17,80% |
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MYINVESTOR VALUE | RVI GLOBAL | 10,506980 | 06/02 | 5,44% | · |
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FINTUP SELECCION PLUS | RVI GLOBAL | 20,439932 | 07/02 | 5,42% | 38,69% |
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GDP WORLD EQUITY | RVI GLOBAL | 17,006236 | 07/02 | 5,41% | 39,50% |
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FONDOMUTUA BOLSA EUROPEA | RVI GLOBAL | 23,904809 | 06/02 | 5,40% | 4,29% |
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MG LIERDE PLAN DE PENSIONES BOLSA | RVI EUROPA | 328,047440 | 07/02 | 5,40% | 19,15% |
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CRIANZA DE VALOR, PP | RVI GLOBAL | 16,136111 | 07/02 | 5,39% | 14,21% |
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MAPFRE EUROPA | RVI EUROPA | 11,652338 | 06/02 | 5,38% | 14,04% |
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CAT PREVISIO | MIXTO. AGRESIVO EURO | 17,003950 | 07/02 | 5,37% | 16,63% |
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UNIPLAN PROTECCION 2025 II | RV GARANTIZADO | 1,330100 | 06/02 | 5,37% | 11,42% |
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C.I. EUROMARKET RV 75 | MIXTO. AGRESIVO GLOBAL | 7,625864 | 07/02 | 5,32% | 1,72% |
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ARQUIA BANCA PLAN LIDERES GLOBALES | RVI GLOBAL | 11,082000 | 07/02 | 5,26% | 36,34% |
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RGAMIFUTURO 2038 | MIXTO. FLEXIBLE | 9,762020 | 06/02 | 5,24% | 16,98% |
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ABANCA RENTA VARIABLE DIVIDENDO | RVI GLOBAL | 10,512224 | 07/02 | 5,20% | · |
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Información y tecnología suministrados por VDOS. Términos de uso.