Fund Catalogue

Investment fund
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Category
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Net Asset Value
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AuM *
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Date
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Return Investment policy changes Subscription
2025
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Current quarter
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From 1 to 30 of a total of 213 funds are shown List all | Next List next

Calculations made in EUR currency. *Assets under Management in millions of euros

SABADELL BONOS FLOTANTES EURO, FI BASE EUR LIQUIDITY PLUS 10,561805 30,07 09/12 1,98% 0,31% Dates investment policy changes Subscription
SABADELL BONOS FLOTANTES EURO, FI EMPRESA EUR LIQUIDITY PLUS 10,713743 13,90 09/12 2,27% 0,37% Dates investment policy changes Subscription
SABADELL BONOS FLOTANTES EURO, FI PLUS EUR LIQUIDITY PLUS 10,713679 74,09 09/12 2,27% 0,37% Dates investment policy changes Subscription
SABADELL BONOS FLOTANTES EURO, FI PREMIER EUR LIQUIDITY PLUS 10,808629 19,86 09/12 2,47% 0,41% Dates investment policy changes Subscription
SABADELL BONOS FLOTANTES EURO, FI PYME EUR LIQUIDITY PLUS 10,637479 6,54 09/12 2,13% 0,34% Dates investment policy changes Subscription
SABADELL HORIZONTE 06 2025, FI EUR LIQUIDITY PLUS 10,336304 30,64 01/09 · · Dates investment policy changes Subscription
SABADELL HORIZONTE 10 2025, FI GOVERMENT DEBT EURO 10,630556 90,75 09/12 1,65% 0,27% Dates investment policy changes Subscription
SABADELL HORIZONTE 2026, FI BASE CORPORATE DEBT EURO 11,792329 11,87 09/12 2,34% 0,27% Dates investment policy changes Subscription
SABADELL HORIZONTE 2026, FI EMPRESA CORPORATE DEBT EURO 12,059053 0,53 09/12 2,72% 0,35% Dates investment policy changes Subscription
SABADELL HORIZONTE 2026, FI PLUS CORPORATE DEBT EURO 12,059045 43,90 09/12 2,72% 0,35% Dates investment policy changes Subscription
SABADELL HORIZONTE 2026, FI PREMIER CORPORATE DEBT EURO 12,194841 4,14 09/12 2,92% 0,39% Dates investment policy changes Subscription
SABADELL HORIZONTE 2026, FI PYME CORPORATE DEBT EURO 11,924754 0,73 09/12 2,53% 0,31% Dates investment policy changes Subscription
SABADELL BUY AND WATCH 06 2026, FI FI SHORT TERM EUR 10,656621 147,69 09/12 2,50% 0,34% Dates investment policy changes Subscription
SABADELL HORIZONTE 11 2026, FI FI SHORT TERM EUR 10,577394 336,45 09/12 1,88% 0,27% Dates investment policy changes Subscription
SABADELL INTERES EURO, FI BASE FI SHORT TERM EUR 9,662268 251,89 09/12 1,99% 0,09% Dates investment policy changes Subscription
SABADELL INTERES EURO, FI EMPRESA FI SHORT TERM EUR 9,844492 9,53 09/12 2,28% 0,14% Dates investment policy changes Subscription
SABADELL INTERES EURO, FI PLUS FI SHORT TERM EUR 9,845250 190,17 09/12 2,28% 0,14% Dates investment policy changes Subscription
SABADELL INTERES EURO, FI PREMIER FI SHORT TERM EUR 10,073904 20,83 09/12 2,54% 0,20% Dates investment policy changes Subscription
SABADELL INTERES EURO, FI PYME FI SHORT TERM EUR 9,752942 16,51 09/12 2,14% 0,11% Dates investment policy changes Subscription
SABADELL RENDIMIENTO, FI BASE FI SHORT TERM EUR 9,834698 1.113,50 09/12 1,84% 0,25% Dates investment policy changes Subscription
SABADELL RENDIMIENTO, FI EMPRESA FI SHORT TERM EUR 9,977800 158,31 09/12 2,13% 0,31% Dates investment policy changes Subscription
SABADELL RENDIMIENTO, FI PLUS FI SHORT TERM EUR 9,977775 1.942,25 09/12 2,13% 0,31% Dates investment policy changes Subscription
SABADELL RENDIMIENTO, FI PREMIER FI SHORT TERM EUR 10,119406 562,60 09/12 2,40% 0,36% Dates investment policy changes Subscription
SABADELL RENDIMIENTO, FI PYME FI SHORT TERM EUR 9,911550 87,87 09/12 1,99% 0,28% Dates investment policy changes Subscription
SABADELL RENDIMIENTO, FI SUPERIOR FI SHORT TERM EUR 10,244289 27,96 09/12 2,43% 0,37% Dates investment policy changes Subscription
SABADELL BUY AND WATCH 01 2030, FI FI EUR 10,344380 144,67 09/12 4,51% 0,31% Dates investment policy changes Subscription
SABADELL BUY AND WATCH 03 2027, FI FI EUR 10,601952 68,33 09/12 3,00% 0,37% Dates investment policy changes Subscription
SABADELL BUY AND WATCH 03 2029, FI FI EUR 10,334499 139,97 09/12 3,22% 0,45% Dates investment policy changes Subscription
SABADELL BUY AND WATCH 06 2029, FI FI EUR 10,472793 91,52 09/12 · 0,34% Dates investment policy changes Subscription
SABADELL EURO YIELD, FI BASE FI EURO HIGH YIELD 21,102024 32,95 09/12 2,63% -0,01% Dates investment policy changes Subscription