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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
 Indexa Mas Rentabilidad Bonos PP0P0001.9.194-0.12%77.77M10/12 
 Caser Premier Renta Fija PP0P0000.8.0020%5.38M10/12 
 Caser Renta Fija PP0P0000.8.1160%5.3M10/12 
 Plan Evo Renta Fija CP PP0P0001.10.3650%2.95M10/12 
 Caser ARD PP0P0000.7.0690%2.76M10/12 
 Caser Depósitos 35 PP0P0000.10.9340%2.14M10/12 
 Colonya SR PP0P0001.11.082-0.09%1.8M10/12 
 Círculo Tranquilidad PP0P0000.10.5060%1.28M10/12 
 Plan CR Corto Plazo PP0P0000.7.043+0.03%1.23M10/12 
 Caser Renta Fija Largo PPLP6802.8.419+0.03%1.15M10/12 
 Círculo Renta Fija PP0P0000.7.9540%1.15M10/12 
 Caser MasxNada ARD PP0P0000.11.3780%1.06M10/12 
 Caser ARD Premier PP0P0000.11.3510%524.85K10/12 
 Caser Seguridad Plus PP0P0001.10.3770%581.64K10/12 
 Atlantis I PP0P0000.8.0050%492.38K10/12 
 Acueducto Alta Rentabilidad Uno PP0P0000.6.9320%464.73K10/12 
 Canarias Renta Protegida PP0P0000.6.5470%285.85K10/12 
 Caser Seguridad PP0P0001.10.2540%305.79K10/12 
 Burgos Fuerza PP0P0000.10.1440%218.54K10/12 
 Rioja Plan de Depósito PP0P0000.11.3600%103.17K10/12 
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