"Independent asset management with more than 30 years of experience"

"We invest from a deep knowledge of the companies"

"Our results speak on our behalf"

Net Asset Value 05/19/2017

Gesconsult Renta Fija Flexible, FI

27,74 €

Net Asset Value 05/19/2017

Gesconsult León Valores Mixto Flexible, FI

27,35 €

Net Asset Value 05/19/2017

Gesconsult Crecimiento, FI

21,82 €

Net Asset Value 05/19/2017

Gesconsult Renta Variable, FI

45,95 €

Net Asset Value 05/19/2017

Gesconsult Corto Plazo, FI

712,36 €

Net Asset Values

FondoNAV* Return 04/17Return 10 yearsRating Morningstar
Gesconsult Renta Fija Flexible, FI27,74 €1,58 %20,29 %
Gesconsult León Valores Mixto Flexible, FI27,35 €7,62 %22,99 %
Gesconsult Crecimiento, FI21,82 €8,97 %5,35 %
Gesconsult Renta Variable, FI45,95 €13,70 %27,39 %
Gesconsult Corto Plazo, FI712,36 €0,39 %21,31 %

*Datos acumulados a cierre de mes.