BBVA Gestión Protección 2020 BP, FI

RISK LEVEL
2/7

These details are indicative of the risk of the fund and can vary over time.

Asset management to maximize the risk/return ratio

A fund with a management objective to maximize the risk/return ratio by actively managing the fund's assets, subject to the fulfillment of a guarantee which consists of ensuring the maximum return between the initial investment and the consolidated investment on the maturity date. 
  • 2 Minimum investment: €600.
  • 2 For positions held until the maturity of the guarantee on December 31, 2020.