Investment Funds
Behavior
Annual return
- 2022
- -
- 2021
- -
- 2020
- -
- 2019
- -
- 2018
- -
Return
- 1 month
- 0.50%
- 3 months
- 1.07%
- 6 months
- 1.29%
- 1 year
- 1.23%
- APR 3 years
- -
- APR 5 years
- -
*Past performance is not a reliable indicator of future performance.
Liquidating value
Return between 12/12/2022 - 06/12/2023
1,438 %
VLP query between two dates:
Fund detail
ISIN
ES0118540006
Address
España
Currency
EUR
Class
-
Minimum investment
600 EUR
Investment to be maintained
6 EUR
CNMV Category
Renta Fija Euro
CNMV registry no.
5651
Assets
2.127,27
Participants
42.835
Net asset value a
6,04 EUR