| SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN A ACC EUR (HEDGED) | RENT. ABSOLUTA. | 3,16% | 17,13% | 2,10% | -6,12% |
| CANDRIAM BONDS EURO R CAP EUR | RF EURO | -2,98% | 8,00% | -11,29% | -6,13% |
| SCHRODER ISF EURO HIGH YIELD A QDIS USD (HEDGED) | RF EURO HIGH YIELD | -0,58% | 0,33% | -8,26% | -6,13% |
| FRANKLIN EUROPEAN TOTAL RETURN N (ACC) EUR | RFI EUROPA | -2,17% | 7,38% | -10,46% | -6,16% |
| PIMCO GLOBAL HIGH YIELD BOND E USD DIS | RFI GLOBAL HIGH YIELD | -0,74% | -0,63% | -6,70% | -6,16% |
| UBS (LUX) STRATEGY FUND - FIXED INCOME (EUR) P-ACC | RF EURO | -1,89% | 8,10% | -6,85% | -6,16% |
| BBVA DURBANA INTERNATIONAL FUND - BBVA FLEXIBLE FIXED INCOME PP USD H CAP | RFI GLOBAL | -3,07% | 8,59% | -9,56% | -6,17% |
| BNP PARIBAS EUROPE CONVERTIBLE N EUR DIS | RFI EUROPA CONVERTIBLES | 2,37% | 20,64% | -1,73% | -6,17% |
| FRANKLIN U.S. LOW DURATION A (MDIS) USD | RFI USA MEDIO PLAZO | 1,03% | -5,56% | -3,57% | -6,17% |
| AXA WORLD FUNDS-GLOBAL STRATEGIC INCOME E CAP EUR HEDGED | RFI GLOBAL | -1,48% | 9,86% | -10,46% | -6,18% |
| DWS INVEST GLOBAL REAL ESTATE SECURITIES FD | RVI INMOBILIARIO INDIRECTO | 1,01% | 5,19% | -18,10% | -6,18% |
| PIMCO LOW AVERAGE DURATION E USD DIS | RFI GLOBAL CORTO PLAZO | 0,90% | -4,42% | -3,27% | -6,18% |
| UBS (LUX) EQUITY SICAV - US INCOME (USD) (CHF HEDGED) P-DIST | RVI USA | 0,55% | 3,57% | -7,34% | -6,19% |
| DWS INVEST GLOBAL BONDS LC | RFI GLOBAL | -0,72% | 13,05% | -2,90% | -6,21% |
| DWS GLOBAL HYBRID BOND LD | RFI GLOBAL | -5,27% | 6,41% | -8,91% | -6,22% |
| AXA WORLD FUNDS-EURO GOVERNMENT BONDS I CAP EUR | DEUDA PÚBLICA EURO | -2,54% | 7,50% | -12,04% | -6,25% |
| CANDRIAM BONDS EURO HIGH YIELD CLASSIQUE DIS EUR | RF EURO HIGH YIELD | -4,42% | 1,75% | -8,27% | -6,25% |
| JANUS HENDERSON HF - ASIAN DIVIDEND INCOME A3Q USD | RVI ASIA EX-JAPÓN VALOR | 18,87% | 38,82% | 14,40% | -6,25% |
| MFS MERIDIAN U.S. GOVERNMENT BOND FUND N1-USD | DEUDA PÚBLICA USA | 0,32% | 1,70% | -7,84% | -6,25% |
| PIMCO GLOBAL HIGH YIELD BOND INSTITUTIONAL USD DIS | RFI GLOBAL HIGH YIELD | -0,67% | -0,62% | -6,73% | -6,25% |