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Spain - Funds

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Condition

Frequency

Once
%

Frequency

Frequency

Delivery Method

Status

 NameSymbolLastChg. %Total AssetsTime
 Ibercaja Seleccion Renta Internacional FI147149.9.850%1.81B31/05 
 Ibercaja Gestion Garantizado 6 FI0P0000.5.927+0.11%1.74B03/06 
 Ibercaja Gestion Garantizado 5 FI0P0000.7.206+0.05%1.57B03/06 
 IBERCAJA GESTIÓN EQUILIBRADA, FI0P0001.6.298+0.02%1.07B31/05 
 Ibercaja Mixto Flexible 15 A FI146944.7.090%961.94M23/04 
 Ibercaja Mixto Flexible 15 B FI0P0000.7.209+0.02%961.94M13/07 
 Ibercaja Renta Internacional FI102564.8.82+0.25%564.13M03/06 
 Ibercaja Tecnologico A FI147644.7.06+0.20%580.56M03/06 
 Ibercaja Tecnologico B FI147644.7.98+0.21%580.56M03/06 
 Ibercaja Global Brands A FI0P0001.9.847+0.37%542.54M03/06 
 Ibercaja Global Brands B FI0P0001.10.551+0.38%542.54M03/06 
 Ibercaja Seleccion Capital FI147197.11.62+0.12%475.54M31/05 
 Ibercaja Bolsa Internacional B FI0P0001.18.153+0.56%437.32M31/05 
 Ibercaja Bolsa Internacional A FI147641.17.13+0.55%437.32M31/05 
 Ibercaja BP Seleccion Global A FI146758.10.77+0.18%440.77M03/06 
 Ibercaja BP Seleccion Global B FI146758.11.46+0.18%440.77M03/06 
 Ibercaja Sanidad A FI147195.16.29+0.19%344.44M03/06 
 Ibercaja Sanidad B FI147195.18.57+0.20%344.44M03/06 
 Ibercaja Dividendo A FI146824.9.46+0.07%351.86M03/06 
 Ibercaja Dividendo B FI146824.10.12+0.08%351.86M03/06 
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