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TORSAN VALUE (CLASE A)

ES0179423001
0037 - GESIURIS ASSET MANAGEMENT 0144 - BNP PARIBAS SECURITIES S. S. ESP.  
Type Strategy International Guaranteed
FI RENTA VARIABLE INTERNACIONAL No No

Comissions

Management Account Redemption Purchase
Max. Period Min. Period Max. Min.
1.35 % 0.06 %            
Date Asset value (€) Participants Yields Vol. Ratio
% Year 3M 6M 5Y 3Y 1Y 1Y M2
30/04/2025 197,971.75 98 -2.47 -3.25 -0.91 51.70 -5.82 5.53 14.88 n.d.