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World Funds

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Spain - Funds

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Condition

Frequency

Once
%

Frequency

Frequency

Delivery Method

Status

 NameSymbolLastChg. %Total AssetsTime
 BK Variable América PP0P0000.21.982+0.10%518.31M20/05 
 BK Mixto 20 Bolsa PP0P0000.9.007+0.02%369.75M20/05 
 BK Variable Internacional PP0P0000.17.121+0.36%354.89M20/05 
 BK Mixto 50 Bolsa PP0P0000.15.602+0.07%316.93M20/05 
 BK Mixto 75 Bolsa PPLP7700.37.841+0.22%240.76M20/05 
 BK Pensión Dividendo PPLP7700.11.515+0.16%118.2M20/05 
 BK Variable España PP0P0000.21.903+0.11%95.53M20/05 
 BK Variable Europa PP0P0000.6.533+0.27%92.25M20/05 
 BK Variable América EPSV0P0000.23.397+0.11%80.08M20/05 
 BK Solidez PP0P0001.8.402+0.05%49.27M20/05 
 BK Variable Asia PPLP7700.10.192+0.28%47.32M20/05 
 BK Inversión Mixta EPSV0P0000.13.7530%42.08M20/05 
 BK Confianza PP0P0000.9.331-0.00%39.02M14/02 
 BK Bolsa Europa EPSV0P0000.8.308+0.27%28.01M20/05 
 BK Bolsa EPSV0P0000.10.000+0.06%17.67M20/05 
 BK Mercado Europeo 2026 PP0P0000.8.240+0.06%14.25M20/05 
 Bk Índice Revalorización PP0P0001.5.805-0.06%13.7M20/05 
 BK Revalorización Europa 2022 PP0P0000.4.786+0.20%10.56M15/09 
 BK Variable Asia EPSV0P0000.11.309+0.27%6.08M20/05 
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