Bankia

Customer Service Helpline:902 11 40 15

Seleccionar idioma:

it is

Investment Funds

Fund file

Bankia Bolsa Española, FI

View list of funds

 

Category CNMV:
Euro Variable Income
Currency:
euro

The management takeover as a reference the behaviour of the IBEX 35 index for the exhibition to equities and LIBID Overnight Euro Currency or daily type of the British Bankers Association (LOEC) for the exhibition to fixed-income. The fund will invest at least 75% of the total exposure in equities preferably in Spanish issuers that they quote in Spanish markets or in other OECD country markets, investing mostly in securities of the IBEX with the intention of that the fund extent a similar return to that one of the index indexed and at least it will be 60% of the total exposure in equities issued by based companies in the eurozone.
The rest of the exhibition will be invested in public and private fixed-interest financial securities of the OCDE, including demand deposits, as well as in unquoted money-market instruments, that they are liquid. Issuances at least will have middling quality (minimum rating BBB -).In the event of supervened reductions of rating, affected positions will be able to remain in portfolio until 100%. For issuances that are not qualified will be attended to the rating of the issuer. The average duration of the portfolio of fixed-income will be lower than a year.

Net asset value to 22/05/13:
789.808
Minimum starting investment:
100
Maintain:
0
Guarantee maturity date:
Period of subscription:
a

Risk Muyalto Oi

Charts

Gesmadrid graphic

See grfico extended in new window

Commissions
Type Security Periods
management 2% annual s/heritage
deposit 0.15% annual s/heritage
reimbursement 2% for part. with longevity lower than 7 days
Assets
Assets Fund participants
32,945,639 2,761
Returns
last day year year 2012
0.02% 8.61% -4.54%
Start date:
30/06/1998
Depositary:
Bankia
ISIN:
ES0113002036
Cat. CNMV:
Euro Variable Income
N. reg. CNMV:
1528

 

Search engine
it is