AB SICAV I-AMERICAN GROWTH PORTFOLIO S USD | RVI USA CRECIMIENTO | 202,681461 | 30/10/2024 | 26,46% | 35,09% | **** |
AB SICAV I-AMERICAN GROWTH PORTFOLIO S1 EUR | RVI USA CRECIMIENTO | 269,770000 | 30/10/2024 | 25,15% | 31,30% | **** |
AB SICAV I-AMERICAN GROWTH PORTFOLIO S1 USD | RVI USA CRECIMIENTO | 270,910772 | 30/10/2024 | 25,79% | 32,49% | **** |
AB SICAV I-AMERICAN MULTI-ASSET PORTFOLIO A EUR | MIXTO FLEXIBLE | 17,590000 | 30/10/2024 | 13,92% | · | ND |
AB SICAV I-AMERICAN MULTI-ASSET PORTFOLIO A EUR H | MIXTO FLEXIBLE | 16,530000 | 30/10/2024 | 10,49% | · | ND |
AB SICAV I-AMERICAN MULTI-ASSET PORTFOLIO A USD | MIXTO FLEXIBLE | 16,301433 | 30/10/2024 | 14,51% | · | ND |
AB SICAV I-AMERICAN MULTI-ASSET PORTFOLIO AD EUR | MIXTO FLEXIBLE | 15,070000 | 30/10/2024 | 8,26% | · | ND |
AB SICAV I-AMERICAN MULTI-ASSET PORTFOLIO AD EUR H | MIXTO FLEXIBLE | 14,790000 | 30/10/2024 | 6,17% | · | ND |
AB SICAV I-AMERICAN MULTI-ASSET PORTFOLIO I EUR | MIXTO FLEXIBLE | 17,910000 | 30/10/2024 | 14,66% | · | ND |
AB SICAV I-AMERICAN MULTI-ASSET PORTFOLIO I EUR H | MIXTO FLEXIBLE | 16,820000 | 30/10/2024 | 11,17% | · | ND |
AB SICAV I-AMERICAN MULTI-ASSET PORTFOLIO I USD | MIXTO FLEXIBLE | 16,588072 | 30/10/2024 | 15,14% | · | ND |
AB SICAV I-ASIA INCOME OPPORTUNITIES PORTFOLIO A2 USD | RFI ASIA/OCEANÍA | 15,441516 | 30/10/2024 | 9,52% | 2,10% | ** |
AB SICAV I-ASIA INCOME OPPORTUNITIES PORTFOLIO AA EUR H | RFI ASIA/OCEANÍA | 10,350000 | 30/10/2024 | 2,27% | -21,53% | * |
AB SICAV I-ASIA INCOME OPPORTUNITIES PORTFOLIO AA USD | RFI ASIA/OCEANÍA | 9,680999 | 30/10/2024 | 4,88% | -14,54% | * |
AB SICAV I-ASIA INCOME OPPORTUNITIES PORTFOLIO AT USD | RFI ASIA/OCEANÍA | 10,910772 | 30/10/2024 | 5,94% | -10,93% | * |
AB SICAV I-ASIA INCOME OPPORTUNITIES PORTFOLIO I2 USD | RFI ASIA/OCEANÍA | 16,162737 | 30/10/2024 | 10,04% | 3,79% | *** |
AB SICAV I-ASIA INCOME OPPORTUNITIES PORTFOLIO IT USD | RFI ASIA/OCEANÍA | 10,920018 | 30/10/2024 | 6,03% | -10,85% | * |
AB SICAV I-ASIA INCOME OPPORTUNITIES PORTFOLIO S1 USD | RFI ASIA/OCEANÍA | 109,764216 | 30/10/2024 | 10,19% | 4,33% | *** |
AB SICAV I-CHINA NET ZERO SOLUTIONS PORTFOLIO A EUR | RVI CHINA | 11,070000 | 30/10/2024 | 13,54% | · | ND |
AB SICAV I-CHINA NET ZERO SOLUTIONS PORTFOLIO A EUR H | RVI CHINA | 10,390000 | 30/10/2024 | 9,48% | · | ND |
AB SICAV I-CHINA NET ZERO SOLUTIONS PORTFOLIO I EUR | RVI CHINA | 11,290000 | 30/10/2024 | 14,16% | · | ND |
AB SICAV I-CHINA NET ZERO SOLUTIONS PORTFOLIO I EUR H | RVI CHINA | 10,600000 | 30/10/2024 | 10,07% | · | ND |
AB SICAV I-CONCENTRATED GLOBAL EQUITY PORTFOLIO A EUR H | RVI GLOBAL CRECIMIENTO | 28,880000 | 30/10/2024 | 8,00% | -17,11% | * |
AB SICAV I-CONCENTRATED GLOBAL EQUITY PORTFOLIO A USD | RVI GLOBAL CRECIMIENTO | 32,926491 | 30/10/2024 | 11,92% | -3,41% | ** |
AB SICAV I-CONCENTRATED GLOBAL EQUITY PORTFOLIO I EUR H | RVI GLOBAL CRECIMIENTO | 31,650000 | 30/10/2024 | 8,84% | -14,94% | * |
AB SICAV I-CONCENTRATED GLOBAL EQUITY PORTFOLIO I USD | RVI GLOBAL CRECIMIENTO | 36,088766 | 30/10/2024 | 12,75% | -0,77% | ** |
AB SICAV I-CONCENTRATED US EQUITY PORTFOLIO A EUR H | RVI USA CRECIMIENTO | 39,270000 | 30/10/2024 | 10,71% | -3,56% | ** |
AB SICAV I-CONCENTRATED US EQUITY PORTFOLIO A USD | RVI USA CRECIMIENTO | 43,615349 | 30/10/2024 | 14,70% | 12,25% | ** |
AB SICAV I-CONCENTRATED US EQUITY PORTFOLIO I EUR H | RVI USA CRECIMIENTO | 42,780000 | 30/10/2024 | 11,49% | -1,11% | ** |
AB SICAV I-CONCENTRATED US EQUITY PORTFOLIO I USD | RVI USA CRECIMIENTO | 47,683773 | 30/10/2024 | 15,50% | 15,09% | ** |
AB SICAV I-EMERGING MARKETS MULTI-ASSET PORTFOLIO A EUR | MIXTO FLEXIBLE | 17,410000 | 30/10/2024 | 16,85% | 6,16% | *** |
AB SICAV I-EMERGING MARKETS MULTI-ASSET PORTFOLIO A EUR H | MIXTO FLEXIBLE | 14,980000 | 30/10/2024 | 13,40% | -7,53% | ** |
AB SICAV I-EMERGING MARKETS MULTI-ASSET PORTFOLIO A HKD | MIXTO FLEXIBLE | 17,484830 | 30/10/2024 | 17,47% | 7,10% | *** |
AB SICAV I-EMERGING MARKETS MULTI-ASSET PORTFOLIO A USD | MIXTO FLEXIBLE | 17,475728 | 30/10/2024 | 17,39% | 7,08% | *** |
AB SICAV I-EMERGING MARKETS MULTI-ASSET PORTFOLIO C USD | MIXTO FLEXIBLE | 16,467869 | 30/10/2024 | 17,02% | 5,69% | ** |
AB SICAV I-EMERGING MARKETS MULTI-ASSET PORTFOLIO I EUR | MIXTO FLEXIBLE | 19,410000 | 30/10/2024 | 17,64% | 8,74% | *** |
AB SICAV I-EMERGING MARKETS MULTI-ASSET PORTFOLIO I EUR H | MIXTO FLEXIBLE | 16,730000 | 30/10/2024 | 14,12% | -5,27% | ** |
AB SICAV I-EMERGING MARKETS MULTI-ASSET PORTFOLIO I USD | MIXTO FLEXIBLE | 19,491447 | 30/10/2024 | 18,21% | 9,71% | *** |
AB SICAV I-EUROPEAN EQUITY PORTFOLIO A EUR | RVI EUROPA | 20,900000 | 30/10/2024 | 1,51% | 3,88% | * |
AB SICAV I-EUROPEAN EQUITY PORTFOLIO A USD | RVI EUROPA | 20,980120 | 30/10/2024 | 1,99% | 4,78% | * |
AB SICAV I-EUROPEAN EQUITY PORTFOLIO B USD | RVI EUROPA | 16,652797 | 30/10/2024 | 1,16% | 1,71% | * |
AB SICAV I-EUROPEAN EQUITY PORTFOLIO C EUR | RVI EUROPA | 18,890000 | 30/10/2024 | 1,07% | 2,44% | * |
AB SICAV I-EUROPEAN EQUITY PORTFOLIO C USD | RVI EUROPA | 18,964401 | 30/10/2024 | 1,63% | 3,33% | * |
AB SICAV I-EUROPEAN EQUITY PORTFOLIO I EUR | RVI EUROPA | 27,160000 | 30/10/2024 | 2,14% | 6,34% | ** |
AB SICAV I-EUROPEAN EQUITY PORTFOLIO I USD | RVI EUROPA | 27,267684 | 30/10/2024 | 2,66% | 7,31% | * |
AB SICAV I-EUROPEAN EQUITY PORTFOLIO S EUR | RVI EUROPA | 32,710000 | 30/10/2024 | 2,93% | 9,18% | ** |
AB SICAV I-EUROPEAN EQUITY PORTFOLIO S1 EUR | RVI EUROPA | 139,490000 | 30/10/2024 | 2,41% | 7,24% | ** |
AB SICAV I-EUROPEAN EQUITY PORTFOLIO S1X EUR | RVI EUROPA | 29,420000 | 30/10/2024 | 2,44% | 7,37% | ** |
AB SICAV I-EUROPEAN EQUITY PORTFOLIO S1X USD | RVI EUROPA | 29,542302 | 30/10/2024 | 2,95% | 8,37% | ** |
AB SICAV I-EUROZONE EQUITY PORTFOLIO A EUR | RV EURO | 32,120000 | 30/10/2024 | 2,07% | 0,00% | * |
AB SICAV I-EUROZONE EQUITY PORTFOLIO A USD | RV EURO | 32,251503 | 30/10/2024 | 2,58% | 0,88% | * |
AB SICAV I-EUROZONE EQUITY PORTFOLIO AX EUR | RV EURO | 16,570000 | 30/10/2024 | 2,09% | 0,12% | * |
AB SICAV I-EUROZONE EQUITY PORTFOLIO AX USD | RV EURO | 16,643551 | 30/10/2024 | 2,63% | 1,02% | * |
AB SICAV I-EUROZONE EQUITY PORTFOLIO BX EUR | RV EURO | 12,850000 | 30/10/2024 | 1,26% | -2,87% | * |
AB SICAV I-EUROZONE EQUITY PORTFOLIO BX USD | RV EURO | 12,907998 | 30/10/2024 | 1,81% | -1,93% | * |
AB SICAV I-EUROZONE EQUITY PORTFOLIO C EUR | RV EURO | 30,130000 | 30/10/2024 | 1,69% | -1,37% | * |
AB SICAV I-EUROZONE EQUITY PORTFOLIO C USD | RV EURO | 30,263523 | 30/10/2024 | 2,20% | -0,43% | * |
AB SICAV I-EUROZONE EQUITY PORTFOLIO CX EUR | RV EURO | 11,740000 | 30/10/2024 | 1,73% | -1,26% | * |
AB SICAV I-EUROZONE EQUITY PORTFOLIO CX USD | RV EURO | 11,798428 | 30/10/2024 | 2,25% | -0,25% | * |
AB SICAV I-EUROZONE EQUITY PORTFOLIO I EUR | RV EURO | 35,970000 | 30/10/2024 | 2,77% | 2,45% | * |
AB SICAV I-EUROZONE EQUITY PORTFOLIO IX EUR | RV EURO | 20,430000 | 30/10/2024 | 2,87% | 2,92% | * |
AB SICAV I-EUROZONE EQUITY PORTFOLIO IX USD | RV EURO | 20,434582 | 30/10/2024 | 3,34% | 3,53% | * |
AB SICAV I-EUROZONE EQUITY PORTFOLIO S1 EUR | RV EURO | 37,500000 | 30/10/2024 | 2,99% | 3,28% | * |
AB SICAV I-EUROZONE EQUITY PORTFOLIO S1 USD | RV EURO | 37,651410 | 30/10/2024 | 3,49% | 4,22% | * |
AB SICAV I-EVENT DRIVEN PORTFOLIO S1 EUR H | GESTIÓN ALTERNATIVA | 95,640000 | 30/10/2024 | -0,25% | -5,33% | * |
AB SICAV I-GLOBAL CORE EQUITY PORTFOLIO A EUR H | RVI GLOBAL | 24,150000 | 30/10/2024 | 10,58% | -3,01% | ** |
AB SICAV I-GLOBAL CORE EQUITY PORTFOLIO A USD | RVI GLOBAL | 27,517337 | 30/10/2024 | 14,74% | 13,00% | ** |
AB SICAV I-GLOBAL CORE EQUITY PORTFOLIO I EUR H | RVI GLOBAL | 26,160000 | 30/10/2024 | 11,32% | -0,68% | ** |
AB SICAV I-GLOBAL CORE EQUITY PORTFOLIO I USD | RVI GLOBAL | 29,921405 | 30/10/2024 | 15,52% | 15,75% | *** |
AB SICAV I-GLOBAL CORE EQUITY PORTFOLIO IX EUR | RVI GLOBAL | 482,160000 | 30/10/2024 | 15,12% | 15,33% | *** |
AB SICAV I-GLOBAL CORE EQUITY PORTFOLIO RX EUR | RVI GLOBAL | 405,240000 | 30/10/2024 | 13,94% | 11,15% | ** |
AB SICAV I-GLOBAL REAL ESTATE SECURITIES PORTFOLIO A EUR | INMOBILIARIO INDIRECTO | 26,070000 | 30/10/2024 | 9,77% | -3,66% | **** |
AB SICAV I-GLOBAL REAL ESTATE SECURITIES PORTFOLIO A USD | INMOBILIARIO INDIRECTO | 26,176607 | 30/10/2024 | 10,36% | -2,78% | **** |
AB SICAV I-GLOBAL REAL ESTATE SECURITIES PORTFOLIO B USD | INMOBILIARIO INDIRECTO | 20,619510 | 30/10/2024 | 9,44% | -5,66% | *** |
AB SICAV I-GLOBAL REAL ESTATE SECURITIES PORTFOLIO C USD | INMOBILIARIO INDIRECTO | 20,000000 | 30/10/2024 | 9,90% | -4,11% | **** |
AB SICAV I-GLOBAL VALUE PORTFOLIO A EUR | RVI GLOBAL VALOR | 21,760000 | 30/10/2024 | 12,11% | 15,62% | ** |
AB SICAV I-GLOBAL VALUE PORTFOLIO A SGD | RVI GLOBAL VALOR | 21,836834 | 30/10/2024 | 12,59% | 16,51% | ** |
AB SICAV I-GLOBAL VALUE PORTFOLIO A SGD H | RVI GLOBAL VALOR | 15,946682 | 30/10/2024 | 10,54% | 13,65% | ** |
AB SICAV I-GLOBAL VALUE PORTFOLIO A USD | RVI GLOBAL VALOR | 21,858530 | 30/10/2024 | 12,71% | 16,75% | ** |
AB SICAV I-GLOBAL VALUE PORTFOLIO AD AUD H | RVI GLOBAL VALOR | 8,578372 | 30/10/2024 | 5,61% | -12,65% | * |
AB SICAV I-GLOBAL VALUE PORTFOLIO AD CAD H | RVI GLOBAL VALOR | 9,792994 | 30/10/2024 | 3,98% | -9,22% | * |
AB SICAV I-GLOBAL VALUE PORTFOLIO AD EUR H | RVI GLOBAL VALOR | 15,310000 | 30/10/2024 | 6,84% | -5,61% | * |
AB SICAV I-GLOBAL VALUE PORTFOLIO AD GBP H | RVI GLOBAL VALOR | 17,584657 | 30/10/2024 | 11,38% | -4,59% | * |
AB SICAV I-GLOBAL VALUE PORTFOLIO AD USD | RVI GLOBAL VALOR | 14,794267 | 30/10/2024 | 9,72% | 4,35% | * |
AB SICAV I-GLOBAL VALUE PORTFOLIO AD ZAR H | RVI GLOBAL VALOR | 5,125434 | 30/10/2024 | 14,02% | -13,67% | * |
AB SICAV I-GLOBAL VALUE PORTFOLIO B USD | RVI GLOBAL VALOR | 17,309293 | 30/10/2024 | 11,79% | 13,22% | * |
AB SICAV I-GLOBAL VALUE PORTFOLIO C EUR | RVI GLOBAL VALOR | 19,790000 | 30/10/2024 | 11,74% | 14,13% | ** |
AB SICAV I-GLOBAL VALUE PORTFOLIO C USD | RVI GLOBAL VALOR | 19,870550 | 30/10/2024 | 12,31% | 15,13% | * |
AB SICAV I-GLOBAL VALUE PORTFOLIO I EUR | RVI GLOBAL VALOR | 26,090000 | 30/10/2024 | 12,89% | 18,54% | ** |
AB SICAV I-GLOBAL VALUE PORTFOLIO I GBP | RVI GLOBAL VALOR | 20,964939 | 30/10/2024 | 13,73% | · | ND |
AB SICAV I-GLOBAL VALUE PORTFOLIO I SGD | RVI GLOBAL VALOR | 26,170703 | 30/10/2024 | 13,38% | 19,38% | ** |
AB SICAV I-GLOBAL VALUE PORTFOLIO I USD | RVI GLOBAL VALOR | 26,185853 | 30/10/2024 | 13,47% | 19,58% | ** |
AB SICAV I-GLOBAL VALUE PORTFOLIO S GBP | RVI GLOBAL VALOR | 31,525322 | 30/10/2024 | 14,58% | 22,18% | ** |
AB SICAV I-GLOBAL VALUE PORTFOLIO S GBP H | RVI GLOBAL VALOR | 30,794126 | 30/10/2024 | 16,10% | 11,48% | ** |
AB SICAV I-GLOBAL VALUE PORTFOLIO S USD | RVI GLOBAL VALOR | 31,511789 | 30/10/2024 | 14,32% | 22,76% | ** |
AB SICAV I-GLOBAL VALUE PORTFOLIO S1 EUR | RVI GLOBAL VALOR | 27,610000 | 30/10/2024 | 13,11% | 19,21% | ** |
AB SICAV I-GLOBAL VALUE PORTFOLIO S1 GBP | RVI GLOBAL VALOR | 27,701528 | 30/10/2024 | 13,88% | 19,65% | ** |
AB SICAV I-GLOBAL VALUE PORTFOLIO S1 USD | RVI GLOBAL VALOR | 27,702265 | 30/10/2024 | 13,63% | 20,22% | ** |
AB SICAV I-GLOBAL VALUE PORTFOLIO SD USD | RVI GLOBAL VALOR | 100,841424 | 30/10/2024 | 10,16% | 5,17% | * |
AB SICAV I-INDIA GROWTH PORTFOLIO A EUR | RVI ASIA EX-JAPÓN | 233,530000 | 30/10/2024 | 14,18% | 20,71% | **** |