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World Funds

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Spain - Funds

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Condition

Frequency

Once
%

Frequency

Frequency

Delivery Method

Status

 NameSymbolLastChg. %Total AssetsTime
 Unicorp Seleccion Prudente FI0P0001.5.977+0.18%923.71M06/05 
 Unifond Moderado FI182035.71.13+0.38%879.02M06/05 
 Liberbank Cartera Moderada FI115431.8.72-0.11%640.43M08/05 
 Liberbank Cartera Conservadora FI113701.6.84-0.08%529.41M08/05 
 Unicorp Selección Dinámico FI0P0001.7.942+0.59%255.17M06/05 
 Liberbank Rendimiento Garantizado FI0P0000.8.681-0.02%201.7M08/05 
 Liberbank Inversión Mundial Garantizado FI0P0000.6.566-0.02%42.65M08/05 
 Unifond Rentas Garantizado 2024-X FI0P0000.6.630+0.02%129.38M07/05 
 Liberbank Cartera Rendimiento FI109227.11.51-0.02%118.26M08/05 
 Grupo Inversor Falla SICAVS321217.63+0.34%06/05 
 Unifond 2021-I FI0P0000.10.021+0.02%61.28M07/05 
 Unifond 2021-II FI0P0000.6.883+0.03%60.82M07/05 
 Unifond Mixto Renta Fija FI175858.14.32+0.19%52.19M06/05 
 Unifond Europa Dividendos FI0P0001.6.581+0.37%53.42M08/05 
 Liberbank Rendimiento Garantizado II FI0P0000.8.078+0.13%51.41M07/05 
 Unifond Renta Variable Espana FI138628.453.94+0.48%41.53M08/05 
 Liberbank Megatendencias A FI0P0000.9.407+0.60%72.42M07/05 
 Unifond Mixto Renta Variable FI138666.79.20+0.40%25.29M06/05 
 Liberbank Rendimiento Garantizado III FI0P0001.6.2920%24.95M07/05 
 Fondespaña-Duero Garantizado RF I/2022 FI0P0001.63.848-0.00%24.71M10/11 
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