| BNP PARIBAS INSTICASH USD 1D LVNAV I DIS | MONETARIO USA | -9,04% | -10,38% | 2,98% | -8,61% |
| BNY MELLON U.S. DOLLAR LIQUIDITY ADMINISTRATIVE DIS | MONETARIO USA PLUS | -9,04% | -10,38% | 2,98% | -8,61% |
| BNY MELLON U.S. DOLLAR LIQUIDITY ADVANTAGE DIS | MONETARIO USA PLUS | -9,04% | -10,38% | 2,98% | -8,61% |
| BNY MELLON U.S. DOLLAR LIQUIDITY INSTITUTIONAL DIS | MONETARIO USA PLUS | -9,04% | -10,38% | 2,98% | -8,61% |
| BNY MELLON U.S. DOLLAR LIQUIDITY INVESTOR DIS | MONETARIO USA PLUS | -9,04% | -10,38% | 2,98% | -8,61% |
| BNY MELLON U.S. DOLLAR LIQUIDITY PARTICIPANT DIS | MONETARIO USA PLUS | -9,04% | -10,38% | 2,98% | -8,61% |
| BNY MELLON U.S. DOLLAR LIQUIDITY PREMIER DIS | MONETARIO USA PLUS | -9,04% | -10,38% | 2,98% | -8,61% |
| BNY MELLON U.S. DOLLAR LIQUIDITY SERVICE DIS | MONETARIO USA PLUS | -9,04% | -10,38% | 2,98% | -8,61% |
| BNY MELLON U.S.TREASURY ADMINISTRATIVE DIS | MONETARIO USA PLUS | -9,04% | -10,38% | 2,98% | -8,61% |
| BNY MELLON U.S.TREASURY ADVANTAGE DIS | MONETARIO USA PLUS | -9,04% | -10,38% | 2,98% | -8,61% |
| BNY MELLON U.S.TREASURY AGENCY DIS | MONETARIO USA PLUS | -9,04% | -10,38% | 2,98% | -8,61% |
| BNY MELLON U.S.TREASURY INSTITUTIONAL DIS | MONETARIO USA PLUS | -9,04% | -10,38% | 2,98% | -8,61% |
| BNY MELLON U.S.TREASURY INVESTOR DIS | MONETARIO USA PLUS | -9,04% | -10,38% | 2,98% | -8,61% |
| BNY MELLON U.S.TREASURY PARTICIPANT DIS | MONETARIO USA PLUS | -9,04% | -10,38% | 2,98% | -8,61% |
| BNY MELLON U.S.TREASURY PREMIER DIS | MONETARIO USA PLUS | -9,04% | -10,38% | 2,98% | -8,61% |
| BNY MELLON U.S.TREASURY SERVICE DIS | MONETARIO USA PLUS | -9,04% | -10,38% | 2,98% | -8,61% |
| FIDELITY ILF THE UNITED STATES DOLLAR FUND A FLEX DIST SERIE 1 | MONETARIO USA | -9,04% | -10,38% | 2,98% | -8,61% |
| FIDELITY ILF THE UNITED STATES DOLLAR FUND B FLEX DIST SERIE 1 | MONETARIO USA | -9,04% | -10,38% | 2,98% | -8,61% |
| FTGF WESTERN ASSET US GOVERNMENT LIQUIDITY A USD DIS (D) | MONETARIO USA | -9,04% | -10,38% | 2,98% | -8,61% |
| GOLDMAN SACHS US$ LIQUID RESERVES ADMINISTRATION DISTRIBUTION | MONETARIO USA | -9,04% | -10,38% | 2,98% | -8,61% |
| GOLDMAN SACHS US$ LIQUID RESERVES CAPITAL DISTRIBUTION | MONETARIO USA | -9,04% | -10,38% | 2,98% | -8,61% |
| GOLDMAN SACHS US$ LIQUID RESERVES INSTITUTIONAL DISTRIBUTION | MONETARIO USA | -9,04% | -10,38% | 2,98% | -8,61% |
| GOLDMAN SACHS US$ LIQUID RESERVES PREFERRED DISTRIBUTION | MONETARIO USA | -9,04% | -10,38% | 2,98% | -8,61% |
| GOLDMAN SACHS US$ LIQUID RESERVES VALUE DISTRIBUTION | MONETARIO USA | -9,04% | -10,38% | 2,98% | -8,61% |
| GOLDMAN SACHS US$ TREASURY LIQUID RESERVES INSTITUTIONAL DISTRIBUTION | DEUDA PÚBLICA USA | -9,04% | -10,38% | 2,98% | -8,61% |
| GOLDMAN SACHS US$ TREASURY LIQUID RESERVES PREFERRED DISTRIBUTION | DEUDA PÚBLICA USA | -9,04% | -10,38% | 2,98% | -8,61% |
| JPM USD LIQUIDITY LVNAV AGENCY (DIST) | MONETARIO USA | -9,04% | -10,38% | 2,98% | -8,61% |
| JPM USD LIQUIDITY LVNAV C (DIST) | MONETARIO USA | -9,04% | -10,38% | 2,98% | -8,61% |
| JPM USD LIQUIDITY LVNAV INSTITUTIONAL (DIST) | MONETARIO USA | -9,04% | -10,38% | 2,98% | -8,61% |
| JPM USD LIQUIDITY LVNAV MORGAN (DIST) | MONETARIO USA | -9,04% | -10,38% | 2,98% | -8,61% |
| JPM USD LIQUIDITY LVNAV PREMIER (DIST) | MONETARIO USA | -9,04% | -10,38% | 2,98% | -8,61% |
| JPM USD TREASURY CNAV AGENCY (DIST) | MONETARIO USA | -9,04% | -10,38% | 2,98% | -8,61% |
| JPM USD TREASURY CNAV C (DIST) | MONETARIO USA | -9,04% | -10,38% | 2,98% | -8,61% |
| JPM USD TREASURY CNAV INSTITUTIONAL (DIST) | MONETARIO USA | -9,04% | -10,38% | 2,98% | -8,61% |
| JPM USD TREASURY CNAV MORGAN (DIST) | MONETARIO USA | -9,04% | -10,38% | 2,98% | -8,61% |
| JPM USD TREASURY CNAV PREMIER (DIST) | MONETARIO USA | -9,04% | -10,38% | 2,98% | -8,61% |
| LORD ABBETT GLOBAL MULTI-SECTOR BOND FUND C USD DIS | RFI GLOBAL | -8,27% | -4,50% | -5,23% | -8,61% |
| VONTOBEL FUND-EURO CORPORATE BOND A DIS | DEUDA PRIVADA EURO | 0,18% | 6,11% | -11,04% | -8,65% |
| WAVERTON GLOBAL STRATEGIC BOND FUND I USD DIS | RFI GLOBAL | -7,97% | -3,45% | -1,25% | -8,65% |
| FIDELITY FUNDS-US HIGH YIELD Y-DIST-EUR | RFI USA HIGH YIELD | -8,37% | -5,74% | -1,37% | -8,66% |
| NORDEA 1-US TOTAL RETURN BOND FUND HB-EUR | RFI USA | 3,49% | 6,29% | -9,56% | -8,67% |
| BLACKROCK ICS US DOLLAR LIQUIDITY FUND HERITAGE DIS | MONETARIO USA | -9,11% | -10,45% | 2,90% | -8,68% |
| MFS MERIDIAN GLOBAL HIGH YIELD FUND W2-USD | RFI GLOBAL HIGH YIELD | -8,00% | -1,07% | -2,32% | -8,68% |
| QUALITY GLOBAL, FI | MIXTO FLEXIBLE | 1,65% | 5,43% | 14,34% | -8,68% |
| BNP PARIBAS EUROPE REAL ESTATE SECURITIES CLASSIC CAP | INMOBILIARIO INDIRECTO | 0,66% | 7,53% | -9,39% | -8,70% |
| AXA WORLD FUNDS-GLOBAL RESPONSIBLE AGGREGATE E CAP EUR | RFI GLOBAL | 0,75% | 2,30% | -14,53% | -8,71% |
| CHALLENGE SOLIDITY & RETURN S-A | RETORNO ABSOLUTO | 1,88% | 8,56% | -10,37% | -8,73% |
| TEMPLETON GLOBAL TOTAL RETURN W (ACC) EUR | RFI GLOBAL | 3,02% | 10,89% | 2,83% | -8,73% |
| SPDR BLOOMBERG 0-3 YEAR U.S. CORPORATE BOND UCITS ETF DIST | DEUDA PRIVADA USA | -8,61% | -7,04% | 0,93% | -8,74% |
| GOLDMAN SACHS GLOBAL MULTI-ASSET INCOME PORTFOLIO BASE (GROSS) USD MDIS | MIXTO FLEXIBLE | -7,83% | -3,05% | -1,19% | -8,76% |
| FIDELITY FUNDS-US HIGH YIELD A-MDIST-USD | RFI USA HIGH YIELD | -8,17% | -5,72% | -2,02% | -8,77% |
| DWS INVEST EURO-GOV BONDS NC | DEUDA PÚBLICA EURO | -1,06% | 2,82% | -17,75% | -8,78% |
| BGF GLOBAL GOVERNMENT BOND C2 USD | DEUDA PÚBLICA GLOBAL | -6,86% | -4,73% | -9,17% | -8,81% |
| DWS INVEST TOP DIVIDEND USD LDM | RVI GLOBAL VALOR | 3,48% | -0,14% | 10,73% | -8,81% |
| FIDELITY FUNDS-US HIGH YIELD Y-MDIST-USD | RFI USA HIGH YIELD | -8,12% | -5,70% | -2,05% | -8,82% |
| ISHARES GLOBAL HIGH YIELD CORP BOND CHF HEDGED UCITS ETF (DIST) | RFI GLOBAL HIGH YIELD | -3,06% | 1,92% | -3,15% | -8,83% |
| ISHARES GLOBAL HIGH YIELD CORP BOND UCITS ETF USD (DIST) | RFI GLOBAL HIGH YIELD | -3,59% | 1,22% | -3,62% | -8,84% |
| EDMOND DE ROTHSCHILD FUND-EMERGING CREDIT B USD DIS | RFI EMERGENTES | -8,64% | 4,51% | -9,13% | -8,85% |
| TEMPLETON GLOBAL TOTAL RETURN W (ACC) USD | RFI GLOBAL | 2,80% | 10,59% | 2,62% | -8,85% |
| BGF EURO SHORT DURATION BOND C2 EUR | RF EURO CORTO PLAZO | 2,09% | 6,64% | -2,98% | -8,86% |
| BLUEBAY FUNDS - BLUEBAY INVESTMENT GRADE BOND R-EUR(AIDIV) | RFI EUROPA | -0,94% | 4,03% | -13,13% | -8,87% |
| DPAM L BONDS EMERGING MARKETS SUSTAINABLE A DIS | RFI EMERGENTES | -1,58% | 2,16% | -4,10% | -8,88% |
| EDMOND DE ROTHSCHILD FUND-BOND ALLOCATION B EUR DIS | RFI GLOBAL | 0,09% | 4,88% | -6,90% | -8,89% |
| FIDELITY FUNDS-US HIGH YIELD A-DIST-EUR | RFI USA HIGH YIELD | -8,36% | -5,69% | -1,36% | -8,90% |
| FRANKLIN U.S. LOW DURATION N (MDIS) USD | RFI USA | -7,99% | -6,30% | 0,48% | -8,90% |
| AXA IM FIXED INCOME INVESTMENT STRATEGIES - US CORPORATE INTERMEDIATE BONDS I DIS USD | DEUDA PRIVADA USA | -6,86% | -4,68% | -6,21% | -8,91% |
| GOLDMAN SACHS TACTICAL TILT OVERLAY PORTFOLIO R DIS (EUR-HEDGED) | MIXTO FLEXIBLE | -0,69% | -1,37% | 3,86% | -8,91% |
| DWS INVEST MULTI OPPORTUNITIES PFDQ | MIXTO FLEXIBLE | 1,27% | 9,11% | 8,69% | -8,92% |
| NEUBERGER BERMAN EMERGING MARKET DEBT - LOCAL CURRENCY AUD T ACC (HEDGED) | RFI EMERGENTES | 4,44% | 7,94% | -13,63% | -8,92% |
| AMUNDI FUNDS GLOBAL INFLATION SHORT DURATION BOND I EUR (C) | RFI GLOBAL | 2,21% | 5,72% | -14,33% | -8,94% |
| SCHRODER ISF GLOBAL BOND B ACC USD | RFI GLOBAL | -4,00% | -2,22% | -14,50% | -8,94% |
| BGF EMERGING MARKETS BOND A3 USD | RFI EMERGENTES | -2,79% | 12,37% | -2,62% | -8,96% |
| BGF EMERGING MARKETS BOND D3 USD | RFI EMERGENTES | -2,91% | 12,31% | -2,61% | -8,96% |
| ISHARES GOVT BOND 7-10YR UCITS ETF EUR (DIST) | DEUDA PÚBLICA EURO | -1,34% | -0,57% | -19,25% | -8,97% |
| BGF EMERGING MARKETS BOND D3 EUR | RFI EMERGENTES | -2,67% | 12,47% | -2,44% | -9,00% |
| NORDEA 1-EUROPEAN HIGH YIELD BOND FUND AC-EUR | RFI EUROPA HIGH YIELD | 0,74% | 7,63% | -8,49% | -9,00% |
| NORDEA 1-EUROPEAN HIGH YIELD BOND FUND AC-USD | RFI EUROPA HIGH YIELD | 0,74% | 7,56% | -8,51% | -9,01% |
| BGF EMERGING MARKETS BOND A3 EUR | RFI EMERGENTES | -2,79% | 12,21% | -2,56% | -9,03% |
| ISHARES CORE GOVT BOND UCITS ETF EUR (DIST) | DEUDA PÚBLICA EURO | -1,78% | 0,22% | -18,00% | -9,04% |
| AXA WORLD FUNDS-GLOBAL INFLATION BONDS F CAP GBP HEDGED | RF EURO LARGO PLAZO | -2,03% | 1,10% | -6,34% | -9,05% |
| BGF EMERGING MARKETS BOND C1 USD | RFI EMERGENTES | -2,87% | 12,23% | -2,82% | -9,07% |
| MSIF GLOBAL BOND AH (EUR) | RFI GLOBAL | 4,03% | 5,72% | -19,01% | -9,09% |
| PICTET - GLOBAL BONDS P EUR | RFI GLOBAL | -3,59% | -4,43% | -20,48% | -9,10% |
| BNP PARIBAS EURO MEDIUM TERM INCOME BOND CLASSIC DIS | RF EURO LARGO PLAZO | -0,20% | -0,25% | -10,37% | -9,11% |
| M&G (LUX) SHORT DATED CORPORATE BOND FUND EUR A DIS | DEUDA PRIVADA GLOBAL | -1,41% | -0,60% | -5,86% | -9,12% |
| FRANKLIN U.S. GOVERNMENT I (ACC) EUR-H1 | DEUDA PÚBLICA USA | 4,03% | 5,05% | -9,47% | -9,13% |
| ROBECO FINANCIAL INSTITUTIONS BONDS B EUR | DEUDA PRIVADA EURO | 0,26% | 7,81% | -8,98% | -9,13% |
| SCHRODER ISF STRATEGIC CREDIT B QDIS EUR (HEDGED) | RFI GLOBAL | 0,53% | 7,80% | -5,11% | -9,13% |
| AXA WORLD FUNDS-EURO LONG DURATION BOND A CAP EUR | RF EURO LARGO PLAZO | -4,49% | -0,90% | -31,85% | -9,15% |
| SCHRODER ISF EUROPEAN SMALLER COMPANIES A DIS EUR | RVI EUROPA SMALL/MID CAP | 5,72% | 6,66% | -11,49% | -9,15% |
| BGF EMERGING MARKETS BOND A1 USD | RFI EMERGENTES | -2,87% | 12,23% | -2,82% | -9,17% |
| AMUNDI FUNDS VOLATILITY WORLD G USD (C) | ALTERNATIVOS. VOLAT.ALTA | -3,26% | -5,84% | 9,22% | -9,18% |
| T.ROWE DYNAMIC GLOBAL BOND FUND IN (GBP) | RFI GLOBAL | -2,19% | 1,19% | 10,10% | -9,18% |
| BGF EMERGING MARKETS BOND A1 EUR | RFI EMERGENTES | -2,77% | 12,10% | -2,77% | -9,23% |
| BLUEBAY FUNDS - BLUEBAY GLOBAL INVESTMENT GRADE CORPORATE BOND Q-CHF(QIDIV) | DEUDA PRIVADA GLOBAL | -3,41% | -1,66% | -15,51% | -9,24% |
| INVESCO EURO BOND A DIS SEMI-ANNUAL EUR | RF EURO LARGO PLAZO | -0,78% | 3,83% | -16,47% | -9,25% |
| SCHRODER ISF GLOBAL INFLATION LINKED BOND B ACC EUR | RFI GLOBAL | 0,33% | -3,52% | -18,95% | -9,25% |
| FTGF BRANDYWINE GLOBAL OPPORTUNISTIC FIXED INCOME E USD CAP | RFI GLOBAL | -3,53% | -5,31% | -15,23% | -9,30% |
| ISHARES EM DIVIDEND UCITS ETF USD (DIST) | RVI EMERGENTES | 5,30% | 17,24% | -7,35% | -9,31% |
| AXA IM FIXED INCOME INVESTMENT STRATEGIES - US CORPORATE INTERMEDIATE BONDS A DIS USD | DEUDA PRIVADA USA | -6,87% | -4,67% | -6,22% | -9,32% |