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Spain - Funds

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Condition

Frequency

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%

Frequency

Frequency

Delivery Method

Status

 NameSymbolLastChg. %Total AssetsTime
 Naranja 2030 PP0P0000.18.041-0.34%924.84M21/05 
 BBVA Telecomunicaciones PP0P0000.27.430-1.22%997.47M21/05 
 BBVA Plan Jubilacion 2030 PP0P0001.1.232-0.10%770.19M21/05 
 Naranja 2040 PP0P0000.22.627-0.77%714.98M21/05 
 BBVA Plan Jubilacion 2025 PP0P0001.1.135-0.05%647.21M21/05 
 BBVA Plan Jubilacion 2040 PP0P0001.1.506-0.23%421.13M21/05 
 Naranja 2050 PP0P0000.26.797-0.86%197.04M21/05 
 BBVA Revalorizacion Europa 25 PP0P0000.19.105+1.08%142.67M23/04 
 BK Jubilación 2030 PP0P0001.7.350+0.03%89.19M22/05 
 Merchbanc Global PP0P0000.28.917-0.37%65.52M22/05 
 BK Jubilación 2040 PP0P0001.8.052+0.01%58.67M22/05 
 Sabadell Plan Futuro 2030 - N5 PP0P0001.12.698-0.33%36.47M21/05 
 BBVA Horizonte 2025 PP0P0000.1.601-0.00%27.89M21/05 
 Sabadell Plan Futuro 2045 - N5 PP0P0001.16.165-0.62%28.98M21/05 
 Sabadell Plan Futuro 2035 - N5 PP0P0001.13.333-0.46%28.48M21/05 
 DB Proteccion Flexible 85 PP0P0001.6.902-0.11%25.93M22/05 
 Plancaixa Proyección 2029 PP0P0001.14.616-0.12%22.52M21/05 
 Sabadell Plan Futuro 2040 - N5 PP0P0001.14.293-0.58%21.98M21/05 
 Santander Europa 2025 PP0P0001.111.809+0.01%10.86M21/05 
 Kutxabank Plus 7 PP0P0001.7.426+0.02%6.04M22/05 
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