BBVA Mi Inversión Bolsa Acumulación, FI


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

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.
  • Minimum investment: €600.
  • For positions of more than 3 years.