Nombre
ISIN
  Tipo de beneficio
Divisa
Sociedad de fondos Prec. de rescate
Fecha
Rendimiento 3 meses Rendimiento 1 año Rendimiento 3 años Rendimiento 5 años SR (1A)
Volatilidad (1A)
 
IP Pensionsplan Chance I
LU2448354733
reinvestment
EUR
BTG Pactual 138.9100
23/01/2025
+9.22% +20.52% - - 1.55
11.48%
IP Pensionsplan Chance C
LU2398784152
reinvestment
CHF
BTG Pactual 95.0600
22/01/2025
+9.14% +19.05% +4.36% - 1.23
13.28%
IP Black T
LU1516376636
reinvestment
EUR
BTG Pactual 15.5300
23/01/2025
+8.45% +21.80% +25.14% +29.31% 1.54
12.45%
IP Black A
LU1516376719
paying dividend
EUR
BTG Pactual 14.1000
23/01/2025
+7.55% +20.88% +23.87% +28.04% 1.51
12.05%
IP Pensionsplan Chance
LU2053090804
reinvestment
EUR
BTG Pactual 117.2500
23/01/2025
+7.25% +15.63% +11.40% - 1.30
9.94%
IP White X EUR
LU1626615402
paying dividend
EUR
BTG Pactual 10.1200
23/01/2025
+5.75% +15.13% +0.49% +6.80% 2.02
6.17%
IP White A
LU1394856451
paying dividend
EUR
BTG Pactual 10.8200
23/01/2025
+5.66% +15.43% +4.70% +14.17% 2.08
6.14%
IP Pensionsplan Balance I
LU2448354659
reinvestment
EUR
BTG Pactual 121.8500
23/01/2025
+5.61% +11.26% - - 1.01
8.47%
IP Pensionsplan Balance C
LU2398783345
reinvestment
CHF
BTG Pactual 89.4300
22/01/2025
+5.58% +9.95% -4.74% - 0.68
10.66%
IP White T
LU1144474043
reinvestment
EUR
BTG Pactual 14.8300
23/01/2025
+5.18% +15.41% +5.63% +15.68% 2.13
5.99%
IP Pensionsplan Balance
LU2053090630
reinvestment
EUR
BTG Pactual 104.0100
23/01/2025
+4.40% +9.30% +3.94% - 0.83
8.01%
W Multi-Asset Balanced I
LU2423679013
reinvestment
EUR
BTG Pactual 113.2100
23/01/2025
+1.58% +14.84% - - 1.83
6.65%
W Multi-Asset Balanced R
LU2423678718
reinvestment
EUR
BTG Pactual 111.9800
23/01/2025
+1.47% +14.34% - - 1.76
6.64%
IP Grönegau 1
LU1144474399
paying dividend
EUR
BTG Pactual 55.5100
23/01/2025
+0.67% +12.37% +13.43% +17.78% 1.82
5.31%
IP Bond-Select I
LU0204032410
paying dividend
EUR
BTG Pactual 55.1400
23/01/2025
+0.05% +4.67% +0.78% +2.52% 0.76
2.62%
IP Bond-Select I2
LU2004359829
paying dividend
EUR
BTG Pactual 48.3500
23/01/2025
+0.02% +4.55% +0.42% +1.91% 0.71
2.64%
IP Bond-Select P
LU0204032683
paying dividend
EUR
BTG Pactual 40.0000
23/01/2025
-0.07% +4.13% -0.82% -0.19% 0.55
2.63%
IP Bond-Select C
LU2348290094
paying dividend
EUR
BTG Pactual 47.5100
22/01/2025
-0.54% +4.10% -0.67% - 0.54
2.63%
IP White-Pro T
LU1516376123
reinvestment
EUR
BTG Pactual 10.2000
23/01/2025
-1.07% +2.20% -11.15% -6.59% -0.22
2.2%
IP White-Pro A
LU1516376396
paying dividend
EUR
BTG Pactual 9.0500
23/01/2025
-1.20% +1.80% -12.44% -8.52% -0.41
2.15%