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World Funds

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Spain - Funds

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Condition

Frequency

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%

Frequency

Frequency

Delivery Method

Status

 NameSymbolLastChg. %Total AssetsTime
 Allianz Cartera Dinamica FI0P0001.15.579+1.12%107.07M05/06 
 Allianz Cartera Decidida FI0P0001.12.165+0.58%39.1M05/06 
 Multiadvisor Gestión II Caser Quality Aria Global 0P0001.9.540+0.18%32.23M04/06 
 IF Global Management FI0P0001.11.027-0.34%14.94M04/06 
 Allianz Bolsa Española FI0P0001.15.900+0.70%11.43M06/06 
 CARTERA EMPORDA 2000 SICAV SA0P0000.4.215-0.23%9.84M04/06 
 Smart Gestión Flexible FI0P0001.10.902-0.28%7.08M04/06 
 GPM Gestión Activa Gestión Global FI0P0001.12.694-0.14%6.15M04/06 
 SMART SOCIAL SICAV SA0P0001.2.967+0.06%5.49M06/06 
 CS Euroceanico Global FI125126.11.43-0.52%4.04M04/06 
 Maverick Fund B FI0P0001.10.263+0.11%3.5M05/06 
 CS Director Flexible FI125102.12.38-0.59%3.41M04/06 
 CS Director Growth FI143673.21.09-0.87%3.23M04/06 
 Affinium Internacional FI0P0001.83.093+0.11%3.21M06/06 
 Multiadvisor Gestión Smart Gestión Estrategia Glob0P0001.11.979-0.26%3.02M04/06 
 Multiadvisor Gestión CFG 1855 Renta Fija Mixta Int0P0001.10.965-0.07%2.3M04/06 
 GPM Gestión Activa Mixto Internacional FI0P0001.10.539-0.32%2.08M04/06 
 THE MELTING POT INVESTMENT SICAV SA0P0000.4.308+0.02%1.57M06/06 
 CS Director bond Focus FI165121.8.240%1.38M04/06 
 Multiadvisor Gestión Kuan Renta Fija Mixta Interna0P0001.9.695+0.05%1.41M04/06 
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