BBVA Mi Inversión Bolsa Acumulación, FI
Exposure to equities from European issuers and markets
The fund will have at least 75% of its exposure to equities, primarily from European issuers/markets, without ruling out other OECD countries, with no pre-determined value in terms of capitalization, that offer high returns through dividends. The rest of the fund will invest in public or private OECD fixed-income assets, including up to 20% in deposits, with a minimum average credit rating (min. BBB-), or if lower, at least the rating of the Kingdom of Spain.