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Spain - Funds

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Condition

Frequency

Once
%

Frequency

Frequency

Delivery Method

Status

 NameSymbolLastChg. %Total AssetsTime
 BK Variable América PP0P0000.21.671-0.58%514.37M30/05 
 BK Mixto 20 Bolsa PP0P0000.8.965+0.01%367.21M30/05 
 BK Variable Internacional PP0P0000.16.839-0.55%353.57M30/05 
 BK Mixto 50 Bolsa PP0P0000.15.472-0.06%315.49M30/05 
 BK Mixto 75 Bolsa PPLP7700.37.531+0.47%237.08M30/05 
 BK Pensión Dividendo PPLP7700.11.318-0.30%116.42M30/05 
 BK Variable España PP0P0000.21.939+1.64%95.48M30/05 
 BK Variable Europa PP0P0000.6.443+0.64%90.43M30/05 
 BK Variable América EPSV0P0000.23.066-0.58%79.4M30/05 
 BK Solidez PP0P0001.8.389+0.11%49.13M30/05 
 BK Variable Asia PPLP7700.9.917-0.49%46.53M30/05 
 BK Inversión Mixta EPSV0P0000.13.628-0.08%41.78M30/05 
 BK Confianza PP0P0000.9.331-0.00%39.02M14/02 
 BK Bolsa Europa EPSV0P0000.8.195+0.64%28.04M30/05 
 BK Bolsa EPSV0P0000.9.881-0.25%17.64M30/05 
 BK Mercado Europeo 2026 PP0P0000.8.205+0.20%14.17M30/05 
 Bk Índice Revalorización PP0P0001.5.782+0.64%13.54M30/05 
 BK Revalorización Europa 2022 PP0P0000.4.786+0.20%10.56M15/09 
 BK Variable Asia EPSV0P0000.11.012-0.47%6.06M30/05 
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