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SABADELL GARANTÍA EXTRA 27, FI

ES0111017002
0058 - SABADELL ASSET MANAGEMENT 0144 - BNP PARIBAS SECURITIES S. S. ESP.  
type investmentFunds.strategy investmentFunds.international investmentFunds.guaranteed
FI GARANTIZADO RENTA VARIABLE No No

investmentFunds.commissions

investmentFunds.managementFee investmentFunds.accountFee investmentFunds.redemptionFee investmentFunds.purchaseFee
investmentFunds.maxCommission investmentFunds.period investmentFunds.minCommission investmentFunds.period investmentFunds.maxCommission investmentFunds.minCommission
0,57 % 0,03 %           600,00 %
date investmentFunds.assetValue (€) investmentFunds.participants investmentFunds.yields investmentFunds.volumeShort investmentFunds.rate
% year 3M 6M 5y 3y 1y 1y M2
24/04/2025 132.195.003,80 4.809 0,81 0,65 1,65 9,93 2,98 4,40 0,82 n.d.