BOLETÍN DE COTIZACIÓN DAILY BULLETIN Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds Cód.ISIN ISIN Code Depositario Depositary Precedente Previous Último Last Fecha Date Patrimonio Assets NºPartícipes Units FIAMM ABANTE ASESORES GESTION ABANTE TESORERIA ES0190051039 RBC INVESTOR SERVICES ESPAÑA 12,2330 12,2329 23-01-15 8.482.910,36 243 12.446,1515 12.446,5639 23-01-15 7.728.945,30 118 AMUNDI IBERIA, SGIIC, S.A. AMUNDI CORTO PLAZO, CLASE I ES0126542036 CA-CIB SUCURSAL EN ESPAÑA ANDBANK WEALTH MANAGEMENT, SGIIC MEDCORRENT ES0161999034 BANCO INVERSIS NET 1.754,4571 1.754,3572 23-01-15 3.814.922,54 465 11,2041 863,0218 11,2029 23-01-15 863,0882 23-01-15 6.280.681,37 200.632.305,94 384 11.754 ES0126525031 BANKIA, S.A 1.461,0129 1.461,0055 23-01-15 67.849.798,37 3.843 ES0114863030 ES0113921037 ES0114801030 ES0115155030 ES0114868039 ES0114869037 1.426,1343 730,3953 896,1171 768,5140 1.800,2114 1.317,9300 1.426,2053 730,4388 896,1752 768,5668 1.800,1935 1.318,0166 52.171.277,03 97.245.580,69 295.368.593,01 493.762.292,71 22.584.384,69 30.553.479,45 1.432 6.632 10.134 3.082 954 1.750 2.142,5948 897,8299 12,5183 2.142,5095 22-01-15 1.084.981.243,72 897,8293 22-01-15 397.519.034,07 12,5182 22-01-15 530.145.804,33 54.671 10.433 5.833 BANCO MADRID GESTION DE ACTIVOS BMN MONETARIO LIBERBANK DINERO ES0138610037 CECABANK, S.A. ES0111046035 CECABANK, S.A. BANKIA FONDOS BANKIA FONDTESORO CORTO PLAZO BANKINTER GESTION DE ACTIVOS BANKINTER DINERO BANKINTER DINERO 1 BANKINTER DINERO 2 BANKINTER DINERO 3 BK FONDO MONETARIO CUENTA FISCAL ORO BANKINTER BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 BBVA ASSET MANAGEMENT, S.A. BBVA AHORRO CORTO PLAZO BBVA AHORRO CORTO PLAZO II BBVA AHORRO CORTO PLAZO III ES0113202032 BANCO DEPOSITARIO BBVA ES0110131036 BANCO DEPOSITARIO BBVA ES0145926038 BANCO DEPOSITARIO BBVA CAJA ESPAñA FONDOS FONDESPAÑA -DUERO REN. FIJA CORTO P ES0138723038 CAJA ESPAñA DE INVERSIONES,CAMP 90,4840 90,4921 22-01-15 60.616.636,10 1.100 ES0138858032 CATALUNYA BANC 1.782,2674 1.782,5283 25-01-15 61.450.256,30 3.708 ES0125783037 DEUTSCHE BANK, S.A. ES0125789034 DEUTSCHE BANK, S.A. 1.340,5840 888,5444 1.340,5848 23-01-15 888,5444 23-01-15 107.739.496,82 22.739.647,71 8.483 113 ES0138338035 RBC INVESTOR SERVICES ESPAÑA 4,8111 4,8112 23-01-15 11.147.492,39 205 ES0171629035 RBC INVESTOR SERVICES ESPAÑA 1.645,3972 1.645,4906 23-01-15 65.806.187,34 304 ES0140642036 BNP PARIBAS SECURITIES S. S. ESP. 1.366,5405 1.366,5405 23-01-15 6.209.444,30 725 ES0138793031 CECABANK, S.A. 600,0017 600,0076 22-01-15 50.544.585,43 4.995 ES0114262035 KUTXABANK 821,5527 821,6373 22-01-15 160.440.250,41 6.620 ES0138902038 MAPFRE INVERSION S.A. S.V. 1.518,6012 1.518,9508 23-01-15 79.475.457,05 9.008 ES0162331039 BNP PARIBAS SECURITIES S. S. ESP. 1.504,4065 1.504,4028 23-01-15 10.871.363,56 285 ES0147167037 RBC INVESTOR SERVICES ESPAÑA 1.219,4416 1.219,4758 23-01-15 12.144.544,78 692 129,2870 129,4371 21-01-15 23.182.872,64 100 1.275,7612 1.275,8528 23-01-15 128.858.050,57 6.881 ES0184683037 UBS ESPAÑA 11,1528 11,1528 23-01-15 4.018.135,82 139 ES0184954008 SANTANDER INVESTMENT 99,0801 99,2199 22-01-15 1.664.678,28 100 ES0109652034 ES0105011037 ES0109655037 ES0109655003 ES0105013033 ES0105013009 13,9993 12,3603 13,5839 12,0724 15,8648 13,1550 14,1720 12,5902 13,6901 12,1666 16,0741 13,3144 66.212.635,68 32.405.281,04 37.906.610,25 87.670.934,96 3.878.222,75 21.652.597,28 106 516 324 977 89 382 CATALUNYACAIXA INVERSIÓ, SGIIC CX LIQUIDITAT DWS INVESTMENTS SPAIN DWS AHORRO DWS AHORRO PATRIMONIAL FONDITEL GESTION FONDITEL DINERO GESPROFIT PROFIT DINERO GVC GAESCO GESTION GVC GAESCO FONDO FONDTESORO CORTO P INVERCAIXA GESTION FONCAIXA MONETARIO RENTAS KUTXABANK GESTION, SGIIC KUTXABANK MONETARIO MAPFRE INVERSION-DOS FONDMAPFRE CORTO PLAZO MERCHBANC MERCHBANC FONDTESORO POPULAR GESTION PRIVADA PBP DINERO FONDTESORO CORTO PLAZO SANTANDER ASSET MANAGEMENT SANTANDER GARAN.CONSOL. EURP. ES0166492001 SANTANDER INVESTMENT UNIGEST UNIFOND RENTA FIJA EURO ES0181074032 UNICAJA WELZIA MANAGEMENT WELZIA TESORERIA FONDOS DE FONDOS A & G FONDOS,SGIIC,S.A TALTRACK ALTERNATIVE INVESMENT ABANTE ASESORES GESTION ABANTE ASESORES GLOBAL ABANTE BOLSA ABANTE BOLSA ABSOLUTA A ABANTE BOLSA ABSOLUTA CLASE I ABANTE PATRIMONIO GLOBAL A ABANTE PATRIMONIO GLOBAL CLASE I lunes, 26 de enero de 2015 Monday, 26 January 2015 RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 1 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds ABANTE RENTA ABANTE RENTAB.ABSOLUTA CLASE I ABANTE RENTABILIDAD ABSOLUTA A ABANTE SELECCION ABANTE VALOR Cód.ISIN ISIN Code Depositario Depositary ES0162947032 ES0184837005 ES0184837039 ES0162946034 ES0190052037 BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA ES0133620031 ES0133620007 ES0133664005 ES0133664039 ES0133613002 ES0133613036 ES0133878001 ES0133878035 ES0133578007 ES0133578031 ES0133539033 ES0133478034 ES0133485005 ES0133486003 ES0133614034 ES0133743031 ES0133614000 BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. ES0133525032 ES0133555039 ES0133554032 ES0133579005 ES0133576035 ES0133663031 ES0133560039 ES0133561037 ES0169535038 ES0170417010 ES0170417002 BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. Precedente Previous 11,8864 10,3774 11,1147 12,4925 12,5090 Último Last 11,8982 10,4056 11,1451 12,6212 12,5694 Fecha Date Patrimonio Assets NºPartícipes Units 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 77.259.521,80 16.083.127,35 1.831.728,34 105.558.768,39 68.760.363,69 1.150 293 31 1.245 1.117 122,4260 123,2627 20-01-15 62.700.604,23 1.957 137,2443 138,7354 20-01-15 50.418.824,26 1.725 123,2762 123,8501 20-01-15 31.491.156,97 1.320 123,0545 123,7833 15-01-15 147.143.840,89 3.679 112,0272 241,0167 166,8771 126,5637 109,2895 121,9994 77,5360 122,0041 112,1858 241,7379 166,9584 126,6224 109,2972 122,0210 77,5429 122,0304 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 12-01-15 20-01-15 411.701.446,23 25.395.008,00 38.096.980,09 29.724.900,41 6.943.253,17 225.883.135,61 47.927.679,52 53.196.239,63 11.264 1.899 2.406 598 526 14.436 1.680 1.940 130,5051 129,2745 204,0930 124,8421 279,2250 62,8179 109,2816 128,2708 97,0989 111,9455 117,8423 131,3532 131,2967 204,2522 125,3880 278,8911 63,6749 109,9925 128,6414 97,0865 112,4445 118,3821 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 06-10-14 20-01-15 20-01-15 65.976.705,31 15.445.140,20 11.122.753,33 15.590.443,90 8.550.178,39 6.682.213,83 4.904.508,31 6.716.591,31 6.125.550,40 2.309.948,98 36.685.132,37 3.793 1.594 1.613 1.603 944 1.067 159 1.103 824 856 1 11,5992 11,6975 23-01-15 167.640.591,66 12.563 191,8420 192,4442 21-01-15 8.352.631,18 130 ES0111151009 BANKINTER S.A. 9,0022 9,0772 22-01-15 12.865.391,46 254 ES0112186004 CECABANK, S.A. 13,5149 13,6797 22-01-15 63.570.091,96 140 ES0114768007 BANCO DE MADRID ES0155527031 RBC INVESTOR SERVICES ESPAÑA ES0170893038 RBC INVESTOR SERVICES ESPAÑA 9,9041 13,7529 14,5716 9,9262 22-01-15 13,9142 22-01-15 14,5694 21-01-15 5.526.871,05 3.411.375,78 10.545.998,84 39 124 198 23-01-15 22-01-15 22-01-15 22-01-15 31-12-14 22-01-15 22-01-15 22-01-15 22.442.811,04 17.664.051,95 26.191.567,45 745.467.300,62 21.699.221,16 432.310.763,10 42.250.406,02 264.656.779,34 2.394 503 2.409 33.380 316 15.065 1.933 10.822 ALLIANZ POPULAR ASSET MANAGEM. CARTERA OPTIMA DECIDIDA CARTERA OPTIMA DECIDIDA CLASE A CARTERA OPTIMA DINAMICA CLASE A CARTERA OPTIMA DINAMICA CLASE B CARTERA OPTIMA FLEXIBLE CLASE A CARTERA OPTIMA FLEXIBLE CLASE B CARTERA OPTIMA MODERADA CLASE A CARTERA OPTIMA MODERADA CLASE B CARTERA OPTIMA PRUDENTE CLASE A CARTERA OPTIMA PRUDENTE CLASE B EUROVALOR ASIA EUROVALOR BONOS ALTO RENDIMIENTO EUROVALOR BONOS CORPORATIVOS EUROVALOR BONOS EMERGENTES EUROVALOR CONSERVACION DINAMICO B EUROVALOR CONSERVADOR DIN.PLUS EUROVALOR CONSERVADOR DINAMICO FI A EUROVALOR ESTADOS UNIDOS EUROVALOR EUROPA EUROVALOR EUROPA DEL ESTE EUROVALOR GLOBAL CONVERTIBLES EUROVALOR IBEROAMERICA EUROVALOR JAPON EUROVALOR RENTABILIDAD GLOBAL EUROVALOR RV EMERGENTES GLOBAL POPULAR PREMIUM DIVERSIFICACION POPULAR SELECCION CLASE A POPULAR SELECCION CLASE I AMUNDI IBERIA, SGIIC, S.A. ING DIR.F.NARANJ.STAN.&POOR´S500 ES0152769032 SANTANDER INVESTMENT ANDBANK WEALTH MANAGEMENT, SGIIC OPORTUNIDADES GLOBALES ES0173951031 BANCO INVERSIS NET ATL 12 CAPITAL GESTION ATL CAPITAL CARTERA TACTICA AVIVA GESTION AVIVA RENTA VARIABLE ZONA NO EURO BANCO MADRID GESTION DE ACTIVOS BMN CARTERA FLEXIBLE 30 RENTAS BPA GLOBAL FONDOS FIXED INCOME ASSET ALLOCATION FUND BANKIA FONDOS BANKIA BOLSA MUNDIAL BANKIA BONOS INTERNACIONAL BANKIA EMERGENTES BANKIA EVOLUCION PRUDENTE BANKIA GESTION DE AUTOR BANKIA SOY ASI CAUTO BANKIA SOY ASI DINAMICO BANKIA SOY ASI FLEXIBLE ES0159037037 ES0159178039 ES0158971038 ES0158965030 ES0113256004 ES0158976037 ES0158986036 ES0159084039 BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A 106,3117 9,7152 12,4391 128,5545 100,1939 126,2632 116,4426 111,4708 107,7313 9,7932 12,7459 128,8496 99,9510 126,9827 117,7009 112,4737 BANKINTER GESTION DE ACTIVOS BANKINTER MULTISELECCION 25 ES0180959035 BANKINTER S.A. 69,6958 70,1375 22-01-15 62.491.052,41 816 ES0105142030 BANCO DE SABADELL 11,4846 11,7366 23-01-15 44.001.210,49 12.299 ES0115252035 BARCLAYS BANK S.A.E. 11,3829 11,4264 23-01-15 7.979.060,67 118 5,7154 8,3667 5,7621 22-01-15 8,5643 22-01-15 140.698.646,04 235.022.358,24 9.795 9.887 24.096.736,14 8.062.138,34 55.755.056,69 3.714.941,82 585 129 100 104 BANSABADELL INVERSION SABADELL EMERGENTE MIXTO FLEXIBLE BARCLAYS WEALTH MANAG.ESPAÑA FONCAIXA FONDOS GLOBAL SELECCION, F BBVA ASSET MANAGEMENT, S.A. BBVA GESTION MODERADA QUALITY MEJORES IDEAS, ES0113993036 BANCO DEPOSITARIO BBVA ES0110119031 BANCO DEPOSITARIO BBVA BNP PARIBAS GESTIÓN DE INVERSIONES BNP PARIBAS CAAP DINAMICO BNP PARIBAS GESTION MODERADA BNP PARIBAS GLOBAL ASSET ALLOCAT BNP PARIBAS GLOBAL INVESTMENT lunes, 26 de enero de 2015 ES0171956032 ES0118532037 ES0118531039 ES0118502030 Monday, 26 January 2015 BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. 10,8430 12,9537 10,5378 13,7810 11,0339 13,0459 10,6681 13,9256 22-01-15 22-01-15 22-01-15 22-01-15 2 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds Cód.ISIN ISIN Code Depositario Depositary BNP PARIBAS MANAGEMENT FUND BNP PARIBAS MIXTO MODERADO BNP PARIBAS RENTA FIJA MIXTA GLOBAL BNP PARIBAS SELECCION ES0118553033 ES0160617033 ES0118552035 ES0160620037 BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. ES0138443033 ES0138173036 ES0182035032 ES0138046034 ES0138337037 CAJA ESPAñA DE INVERSIONES,CAMP CAJA ESPAñA DE INVERSIONES,CAMP CAJA ESPAñA DE INVERSIONES,CAMP CAJA ESPAñA DE INVERSIONES,CAMP CAJA ESPAñA DE INVERSIONES,CAMP Precedente Previous Último Last Fecha Date Patrimonio Assets NºPartícipes Units 13,0820 10,9698 5,4472 5,5700 13,2031 11,0818 5,4979 5,6216 22-01-15 22-01-15 22-01-15 22-01-15 6.642.654,17 27.857.751,83 15.563.314,42 9.562.792,89 103 119 144 102 124,3092 56,2272 67,9590 70,3999 61,9644 125,4234 56,5453 67,9939 70,3937 62,0918 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 8.556.059,70 16.029.659,69 64.017.128,75 139.460.230,93 32.407.780,39 780 995 2.870 6.251 1.526 CAJA ESPAñA FONDOS FONDESPAñA EMERGENTES FONDESPAÑA DUERO AUDAZ FONDESPAÑA MODERADO FONDESPAÑA-DUERO CONSERVADOR FONDESPAÑA-DUERO EMPRENDEDOR CATALUNYACAIXA INVERSIÓ, SGIIC CX BORSA EMERGENT CX MULTIACTIU 100 CX MULTIACTIU 70 ES0115344030 CATALUNYA BANC ES0117061038 CATALUNYA BANC ES0152181006 CATALUNYA BANC 8,7404 53,1540 5,9953 8,9003 25-01-15 53,8628 22-01-15 5,9946 23-01-15 7.432.429,67 32.237.881,31 299.731,91 722 2.433 1 ES0132214034 CREDIT SUISSE, SUCURSAL EN ESPAñA 11,8373 11,9821 22-01-15 20.333.413,79 201 7,4387 7,4340 23-01-15 23.724.326,44 278 646,6878 758,2854 823,3422 648,4186 22-01-15 758,3131 25-01-15 835,6098 22-01-15 4.624.064,30 26.701.835,61 15.659.881,18 213 1.543 654 ES0155817036 SANTANDER SECURITIES SERVICIES 4,8666 4,9423 22-01-15 3.371.257,58 118 ES0126553033 BANCO CAMINOS 9,2236 9,2359 22-01-15 7.096.227,15 209 CREDIT SUISSE GESTION CS.GLOBAL FONDOS GESTION ACTIVA G.I.I.C. FINECO FON FINECO GESTION II ES0164813034 SANTANDER SECURITIES SERVICIES GESCOOPERATIVO GESCOOPERATIVO MUL. ALTERNATIVAS RURAL CESTA CONSERVADORA 20 RURAL MULTIFONDO 75 ES0158602039 BANCO COOPERATIVO ESPAÑOL ES0174349037 BANCO COOPERATIVO ESPAÑOL ES0174432031 BANCO COOPERATIVO ESPAÑOL GESINTER INTERVALOR FONDOS GESTIFONSA DINVALOR GLOBAL GVC GAESCO GESTION 1 KESSLER CASADEVALL GVC GAESCO PATRIMONIALISTA A GVC GAESCO PATRIMONIALISTA I GVC GAESCO PATRIMONIALISTA P ES0156304000 ES0141114001 ES0141114027 ES0141114019 SANTANDER SECURITIES SERVICIES SANTANDER SECURITIES SERVICIES SANTANDER SECURITIES SERVICIES SANTANDER SECURITIES SERVICIES 10,1826 12,0682 10,2034 22-01-15 12,2111 22-01-15 3.819.190,72 50.856.172,01 15 1.395 12,3374 12,4837 22-01-15 1.044.433,85 2 ES0162883021 ES0147075032 ES0147075008 ES0147077038 ES0147197034 ES0147192035 ES0147149035 CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. 6,3217 10,3963 11,2232 9,7594 9,1326 12,1439 8,8081 6,4228 10,7780 11,6397 9,9427 9,2612 12,1791 8,8779 2.572.345,26 3.408.963,08 5,03 7.678.434,69 7.427.710,09 159.332.947,21 30.504.628,46 210 398 1 487 407 6.145 1.816 ES0138228038 ES0138172038 ES0138181039 ES0138189032 ES0137607000 ES0164539035 ES0138400033 ES0113750006 ES0164948038 ES0184922039 ES0162853008 CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. 112,1142 9,7230 11,5969 11,4614 6,2438 16,2330 147,0015 10,7625 13,5161 8,8864 7,3699 112,1135 9,7498 11,5861 11,5048 6,2379 16,2503 146,9757 10,7903 13,5686 8,8920 7,3807 22-01-15 2.732.989,51 21-01-15 63.614.363,39 21-01-15 97.217.479,10 21-01-15 34.390.328,36 21-01-15 43.514.828,12 21-01-15 2.296.478.251,37 22-01-15 10.259.574,17 21-01-15 10.273.581,06 21-01-15 190.543.633,75 21-01-15 6.714.012,63 21-01-15 4.616.281,16 272 6.896 6.362 2.109 9.461 24.913 566 102 1.853 1.579 580 100,7063 100,7764 21-01-15 8.722.898,09 169 ES0113192035 KUTXABANK 8,9087 9,0272 22-01-15 28.020.101,95 1.780 ES0138298031 MAPFRE INVERSION S.A. S.V. ES0138445038 MAPFRE INVERSION S.A. S.V. 7,4476 7,5551 7,6942 23-01-15 7,7652 21-01-15 36.858.827,09 42.388.555,11 585 1.962 11,3443 11,3794 23-01-15 72.596.974,81 1.386 5.680,20 21.458.918,22 30.139.521,17 2.539,87 25.524.624,55 119.138.595,29 202.386.451,70 114.880.836,63 190.685.711,95 2 998 1.389 4 183 485 1.295 1 1.622 IBERCAJA GESTION IBERCAJA ALL STAR CLASE 3 IBERCAJA LATINOAMERICA CLASE A IBERCAJA LATINOAMERICA, CLASE B IBERCAJA SELECCION BOLSA IBERCAJA SELECCION CAPITAL IBERCAJA SELECCION RENTA FIJA IBERCAJA SELECCION RENTA INTERNA 21-11-14 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 INVERCAIXA GESTION F. GARANTIZADO ELECCION OPTIMA 9 FONCAIXA 93 FON.BOLSAS MUNDIALES FONCAIXA BOLSA SELECCIÓ EUROPA FONCAIXA BOLSA SELECCIÓN USA FONCAIXA CARTERA RENTA ACTIVA FONCAIXA EQUILIBRIO CLASE PLUS FONCAIXA GARANTIZADO RENTA FIJA 2, FONCAIXA GLOBAL INVEST FONCAIXA OPORTUNIDAD CLASE PLUS FONCAIXA R.F. SELECCIÓN HIGH YIELD MICROBANK FONDO ECOLOGICO INVERSIS GESTION RURAL CAST.RETORNO ABSOLUTO ES0174186009 BANCO INVERSIS NET KUTXABANK GESTION, SGIIC KUTXABANK GESTION ACTIVA INVER. MAPFRE INVERSION-DOS FONDMAPFRE BOLSA ASIA FONDMAPFRE MULTISELECCION MARCH GESTION FONDOS MARCH PATRIMONIO DEFENSIVO ES0160921039 BANCA MARCH MUTUACTIVOS MUTUAFONDO BOLSAS EMERGE D MUTUAFONDO BOLSAS EMERGEN., SERIE A MUTUAFONDO FONDOS, SERIE A MUTUAFONDO FONDOS, SERIE D MUTUAFONDO GESTION OPT. DINAMICO MUTUAFONDO GESTION OPT. MODER. A MUTUAFONDO GESTION OPT.CONSERV. MUTUAFONDO GESTION OPT.MODER.E MUTUAFONDO HIGH YIELD, SERIE A lunes, 26 de enero de 2015 ES0175805003 ES0175805037 ES0165194038 ES0165194004 ES0165181035 ES0165268030 ES0131366033 ES0165268006 ES0165238033 Monday, 26 January 2015 SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT 322,1120 329,3236 135,9086 135,7277 133,2654 163,1859 157,3114 170,1636 26,1672 330,5811 337,2755 137,9851 137,9859 134,2675 163,9856 157,8117 171,0018 26,2534 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 3 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds MUTUAFONDO HIGH YIELD, SERIE D MUTUAFONDO INVER. Y COOPERACION MUTUAFONDO TECNOLOGICO, SERIE A MUTUAFONDO TECNOLOGICO, SERIE D Cód.ISIN ISIN Code ES0165238009 ES0165269004 ES0141222036 ES0141222002 Depositario Depositary SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT Precedente Previous 26,2117 114,6973 84,0417 85,1226 Último Last 26,3053 114,9752 85,5751 86,8131 Fecha Date Patrimonio Assets NºPartícipes Units 22-01-15 22-01-15 22-01-15 22-01-15 1.165.712,57 16.261.401,31 28.378.510,99 341.807,26 8 134 1.373 17 NOVO BANCO GESTION,S.G.I.I.C,S.A ESAF RENDIMIENTO 2018 ES0168669036 B. ESPIRITO SANTO SUCURSAL EN ESPAÑA 5,0663 5,0752 23-01-15 10.307.193,55 515 ES0147033031 RBC INVESTOR SERVICES ESPAÑA ES0110158039 RBC INVESTOR SERVICES ESPAÑA 5,3421 6,1179 5,3418 23-01-15 6,1278 23-01-15 12.465.613,95 89.300.178,47 647 1.227 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 8.123.240,70 15.493.300,23 44.619.680,00 65.159.410,31 14.818.495,55 100 100 100 100 100 POPULAR GESTION PRIVADA PBP ESTRATEGIAS PBP GESTION FLEXIBLE SANTANDER ASSET MANAGEMENT FONTIBREFONDO SANTANDER AHORRO ACTIVO C SANTANDER EQUILIBRIO ACTIVO SANTANDER REVALORIZACION ACTIVA SANTANDER REVALORIZACION ACTIVA 2 ES0138918034 ES0145803039 ES0175078031 ES0114271036 ES0113791034 SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT 16,9792 122,7894 68,7111 66,2632 56,7836 17,0190 122,8041 68,7131 66,2763 56,7892 TRESSIS GESTION SGIIC SA BOREAS CARTERA ACTIVA HARMATAN CARTERA CONSERVADORA ES0114902002 RBC INVESTOR SERVICES ESPAÑA ES0154974036 RBC INVESTOR SERVICES ESPAÑA 71,0379 12,0744 71,1581 21-01-15 12,0721 21-01-15 10.099.207,78 26.403.109,13 320 434 ES0158316002 UBS ESPAÑA ES0180931034 UBS ESPAÑA 28,8463 6,0649 29,0280 22-01-15 6,0990 22-01-15 15.552.629,33 151.810.123,74 114 953 ES0107292007 CECABANK, S.A. 12,9850 13,0280 30-11-14 4.728.918,62 10 ES0158289001 BANCO DE SABADELL 11,6093 11,7556 30-11-14 13.773.826,73 128 1.224,9982 1.228,7273 23-01-15 20.166.735,92 664 24,7567 25,3585 31-10-14 538.871,21 798 996,9059 981,5164 31-10-14 50.289.907,81 114 ES0158644007 BANCO DEPOSITARIO BBVA 9,4767 9,5041 30-11-14 40.792.473,40 91 ES0180935001 UBS ESPAÑA 4,7825 4,2996 30-09-14 1.552.893,79 1.046 ES0156873004 SANTANDER INVESTMENT ES0115114003 SANTANDER INVESTMENT ES0131304034 SANTANDER INVESTMENT 5,5778 5,7185 7,1903 5,5779 23-01-15 5,7551 23-01-15 7,2291 22-01-15 54.737.911,12 3.845.015,61 20.529.120,12 283 173 106 ES0140072002 UBS ESPAÑA ES0140074008 UBS ESPAÑA ES0140074016 UBS ESPAÑA 6,3762 4,9794 4,9873 6,4079 23-01-15 4,9759 23-01-15 4,9836 23-01-15 15.226.092,56 734.168,69 2.218.511,11 154 8 3 UBS GESTION UBS MIXTO GESTION ACTIVA CLASE P UBS RETORNO ACTIVO FONDOS DE FONDOS LIBRES AHORRO CORPORACION GESTION AC ALPHA MULTIESTRATEGIA BANSABADELL INVERSION SABADELL SELECCIÓN HEDGE TOP INTERMONEY GESTION CAJAMAR PATRIMONIO ES0114547039 CREDIT LYONNAIS INVERCAIXA GESTION FONCAIXA PRIVADA ESTRATEGIA HEDG ES0164463004 CECABANK, S.A. J.P. MORGAN GESTION JP MORGAN GLOBAL ALTERNATIVE FUN ES0156581003 BNP PARIBAS SECURITIES S. S. ESP. OMEGA GESTION DE INVERSIONES LAREDO INVERSION LIBRE UBS GESTION UBS (ES) ALPHA SELECT IICIICIL FONDOS DE INVERSIÓN A & G FONDOS,SGIIC,S.A A&G TESORERIA BSG PROMETEO GLOBAL MANAGERS FUND ABACO CAPITAL SGIIC ABACO RENTA FIJA MIXTA GLOBAL ABACO RENTA VARIABLE GLOBAL CLASE A ABACO RENTA VARIABLE GLOBAL CLASE B ABANTE ASESORES GESTION KALAHARI MARAL MACRO OKAVANDO DELTA FI CLASE I OKAVANGO DELTA A SMART-ISH FONDO DE GESTORES FI ES0160623007 ES0160741007 ES0167211004 ES0167211038 ES0152505006 BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. 13,9366 10,5076 18,0425 15,9632 11,5258 13,8885 10,5110 17,9263 15,8603 11,6317 23-01-15 23-01-15 23-01-15 23-01-15 22-01-15 47.407.801,03 52.695.564,08 48.065.412,41 43.128.557,55 11.520.632,17 1.367 871 638 359 350 ES0105243002 ES0105263000 ES0157934003 ES0157935000 BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. 1,1521 1,6000 1,3039 5,9816 1,1587 1,6264 1,3249 5,9900 23-01-15 23-01-15 23-01-15 23-01-15 10.453.265,65 7.552.482,34 8.030.999,52 10.408.216,97 145 116 128 113 ES0106927033 ES0106951033 ES0169082031 ES0107393037 ES0114992037 ES0119483008 ES0115411037 ES0115019004 ES0115137038 ES0115008031 ES0157082035 CECABANK, S.A. CECABANK, S.A. CAJA AH. MUNICIPAL DE BURGOS CECABANK, S.A. CAJA DE AHORROS DE GALICIA CAJA DE AHORROS DE GALICIA CAJA DE AHORROS DE GALICIA CAJA AH. MUNICIPAL DE VIGO CAJA DE AHORROS DE GALICIA CAJA DE AHORROS DE GALICIA CAJA DE AHORROS DE GALICIA 8,7553 11,8958 12,8430 12,3608 10,8463 11,9506 4,4407 11,6035 13,3340 12,8996 13,5479 8,7551 11,9272 12,9410 12,4142 10,8463 11,9506 4,4406 11,6036 13,3340 12,8996 13,5479 25-01-15 22-01-15 22-01-15 22-01-15 17-11-14 25-01-15 25-01-15 25-01-15 25-01-15 28-12-14 25-01-15 6.187.807,53 26.952.702,50 1.857.649,86 5.442.978,76 5.270.361,90 84.424.243,61 32.296.541,10 440.930.008,11 29.856.724,10 25.930.113,06 55.981.769,95 418 1.020 121 201 223 2.802 612 12.483 1.245 763 2.643 ACACIA INVERSION, SGIIC ACACIA BONOMIX ACACIA PREMIUM ACACIA REINVERPLUS EUROPA ACACIA RENTA DINAMICA AHORRO CORPORACION GESTION A C. STANDAR & POOR,S 500 INDICE A.C.G. GLOBAL CONSERVADOR A.C.G. GLOBAL DINAMICO A.C.G. GLOBAL MODERADO ABANCA GARANT. COMBINADO EURIB ABANCA CORTO PLAZO ABANCA EUROPA SELECCION ABANCA FONDEPOSITO ABANCA GARANTIA 1 ABANCA GARANTIA 2 ABANCA GARANTIA 3 lunes, 26 de enero de 2015 Monday, 26 January 2015 4 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds Cód.ISIN ISIN Code ABANCA GARANTIA 4 ABANCA GARANTIA 5 ABANCA GARANTIA 6 ABANCA GARANTIZADO PREMIUM I ABANCA GESTION CONSERVADO ABANCA MIX ABANCA RENTA FIJA MIXTA ABANCA RENTA VARIABLE ESPAÑA AHORRO CORP. CORTO PLAZO AHORRO CORP. CUENTA FONDT.C.P. AHORRO CORP. EUROMIX AHORRO CORP. EUROSTOXX 50 INDICE AHORRO CORP. FONDANDALUCIA MIXTO AHORRO CORP. FONDT.LARGO PLAZO AHORRO CORP. IBEROAMERICA AHORRO CORP. IBEX-35 INDICE AHORRO CORP.INVERSION SELEC.MODE AHORRO CORP.INVERSION SELECTIVA AHORRO CORPORACION BONOS FINANCI AHORRO CORPORACION DOLAR AHORRO CORPORACION FONDEPOSITO AHORRO CORPORACION GEST.GLOBAL R.J. AHORRO CORPORACION MONETARIO AHORRO CORPORACION RF FLEXIBLE AHORROFONDO AHORROFONDO 20 CAI BOLSA 10 CAI RENDIMIENTO 110 CAIXABANK BOLSA CAIXABANK BOLSA I CAIXABANK FONDPOSITO CAIXABANK GEST. CONSERVADOR, VAR 3 CAIXABANK GESTION MODERADO VAR 6 CAIXABANK RF EURO CCM FONDEPOSITO ETCHEVERRIA GES/R.V GLOBAL ETCHEVERRIA GEST.R.V. ESPAÑA ETCHEVERRIA GESTION DINAMICO ETCHEVERRIA GESTION FONDEPOSITO ETCHEVERRIA GESTION MODERADO FONDO 3 DEPOSITO FONDO 3 GARANTIZADO FONDO 3 GARANTIZADO II FONDO 3 GARANTIZADO III FONDO 3 GARANTIZADO IV FONDO 3 GARANTIZADO V FONDO 3 PATRIMONIO FONDO 3 RENTA FIJA FONDO 3 RENTA FIJA 2015 FONDO 3 RENTAS TRIMESTRALES RENTA FIJA 1 RENTA FIJA 21 SELECTIVA ESPAÑA, FI SELECTIVA EUROPA ES0113250031 ES0115081038 ES0117182032 ES0105577037 ES0147597035 ES0115418032 ES0140073000 ES0162948006 ES0107432033 ES0107519037 ES0106925037 ES0107365035 ES0107384036 ES0107531032 ES0107474035 ES0107262034 ES0106928031 ES0106949037 ES0107369003 ES0107436034 ES0106933031 ES0107368005 ES0107437008 ES0107516033 ES0107512032 ES0107475032 ES0115351035 ES0157081037 ES0115508030 ES0177860030 ES0128452036 ES0158950032 ES0117186033 ES0124546039 ES0115942031 ES0133400038 ES0133400046 ES0133400004 ES0133400012 ES0133400020 ES0114996038 ES0158014003 ES0164715007 ES0164716005 ES0164717003 ES0115106033 ES0115336036 ES0114844030 ES0158015000 ES0158016008 ES0115104038 ES0126517038 ES0107472039 ES0107492037 ES0125935009 ES0133462004 ES0133501033 ES0133867004 ES0133867038 ES0133506008 ES0133422016 ES0133445009 ES0133445017 ES0133465007 ES0133465015 ES0133468019 ES0133468001 ES0133469009 ES0133469017 ES0133422008 ES0133467003 Depositario Depositary Precedente Previous Último Last Fecha Date Patrimonio Assets NºPartícipes Units CAJA DE AHORROS DE GALICIA CAJA AH. MUNICIPAL DE VIGO CAJA DE AHORROS DE GALICIA CAJA AH. MUNICIPAL DE VIGO CAJA DE AHORROS DE GALICIA CAJA DE AHORROS DE GALICIA CAJA AH. MUNICIPAL DE VIGO CAJA AH. MUNICIPAL DE VIGO CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CAJA AH. INMACULADA DE ARAGON CAJA AH. INMACULADA DE ARAGON CAJA AH. MUNICIPAL DE BURGOS M.P.Y C.AH.DE HUELVA Y SEVILLA M.P.Y C.AH.DE HUELVA Y SEVILLA CAJA AH. MUNICIPAL DE BURGOS CAJA AH. MUNICIPAL DE BURGOS CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CAJA AH. INMACULADA DE ARAGON CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CAJA AH. INMACULADA DE ARAGON CAJA AH. INMACULADA DE ARAGON CAJA AH. INMACULADA DE ARAGON CECABANK, S.A. CECABANK, S.A. CAJA AH. INMACULADA DE ARAGON CAJA AH. MUNICIPAL DE VIGO CECABANK, S.A. CECABANK, S.A. 12,8906 12,5246 12,6930 13,3981 11,6567 627,6897 10,3126 10,8185 6,8770 1.414,7395 6,6502 17,3298 13,3926 14,0627 11,9059 24,5940 12,5092 21,5259 14,0560 11,6630 12,1935 11,6190 10,9963 1.734,4183 54,8046 8,8816 5,3696 12,2886 14,5019 211,7257 11,8508 12,6949 12,5707 1.122,1315 14,2204 10,4366 9,6495 10,5792 10,0792 10,3830 11,9365 10,9354 10,9409 11,0041 10,7230 12,1327 6,2141 1.171,8115 10,9664 10,8980 13,3145 3.202,8643 25,1447 7,2112 12,8911 12,5245 12,6930 13,3983 11,6985 627,6764 10,3700 10,8182 6,8770 1.414,7080 6,6499 17,3293 13,3924 14,0624 11,9051 24,5932 12,5091 21,5251 14,0564 11,6629 12,1936 11,6438 10,9963 1.741,3715 54,8029 8,8815 5,3692 12,2886 14,5009 211,7122 11,8507 12,7302 12,6269 1.122,1041 14,2206 10,5880 9,8175 10,6958 10,1173 10,4506 11,9366 10,9353 10,9408 11,0044 10,7239 12,1337 6,2139 1.171,8138 10,9665 10,8988 13,3174 3.200,8153 25,1433 7,2108 25-01-15 25-01-15 25-01-15 25-01-15 22-01-15 25-01-15 22-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 22-01-15 25-01-15 22-01-15 25-01-15 25-01-15 25-01-15 14-10-14 25-01-15 25-01-15 25-01-15 22-01-15 22-01-15 25-01-15 25-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 25-01-15 14-10-14 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 14-10-14 10-09-14 25-01-15 25-01-15 70.409.722,06 53.978.078,75 15.409.067,01 12.516.188,76 31.640.652,88 11.228.186,02 3.478.333,19 26.453.207,52 4.410.148,24 61.855.712,66 5.002.204,62 11.335.368,34 11.400.663,88 44.347.460,43 4.868.427,75 29.989.321,87 14.710.891,50 14.572.196,18 43.067.694,70 6.250.465,09 489.512.727,65 6.306.572,83 21.650.731,37 55.605.101,98 52.875.227,65 11.480.041,31 3.727.948,41 6.242.563,69 2.496.208,85 2.566.046,10 6.397.305,80 12.160.662,79 4.649.394,59 6.695.306,08 12.934.529,77 805.850,05 367.222,33 1.318.267,79 10.570.548,60 5.243.888,63 265.076.876,74 7.107.555,85 34.608.277,67 39.968.611,54 39.364.717,15 48.993.540,90 13.142.005,01 32.314.592,87 19.825.259,15 25.149.004,58 3.219.354,68 1.551.951,23 51.031.289,31 13.002.337,14 1.894 1.502 467 145 1.721 813 10 9 368 5.715 500 658 254 2.268 734 1.442 1.157 2.099 1.415 316 14.216 161 853 3.821 3.620 794 628 280 240 580 494 359 65 262 257 49 23 59 335 185 14.273 370 1.885 1.880 1.530 1.669 1.099 1.831 752 1.269 257 164 4.268 1.881 BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. 111,9836 113,6153 125,2786 111,9898 20-01-15 113,6119 20-01-15 125,4036 20-01-15 10.144.800,21 49.437.304,65 32.448.479,25 431 3.126 1.846 284.795.517,90 36.519.771,26 16.248.534,29 37.903.296,73 24.262.500,14 37.514.810,53 31.120.952,06 27.455.172,35 30.769.839,91 123.063.997,79 74.034.312,93 48.168.399,51 24.716.853,91 22.017 2.531 1.377 302 1.341 326 2.081 2.022 250 1.065 4.962 591 229 ALLIANZ POPULAR ASSET MANAGEM. BIENVENIDOS A POPULAR EUROVALOR AHORRO ACTIVO EUROVALOR AHORRO DOLAR EUROVALOR AHORRO EURO CLASE A EUROVALOR AHORRO EURO CLASE B EUROVALOR AHORRO EURO II EUROVALOR AHORRO GARANTIZADO 10 B EUROVALOR AHORRO GARANTIZADO 9, A EUROVALOR AHORRO GARANTIZADO 9, B EUROVALOR AHORRO GARANTIZADO IV, A EUROVALOR AHORRO GARANTIZADO IV, B EUROVALOR AHORRO GARANTIZADO VII B EUROVALOR AHORRO GARANTIZADO VII, A EUROVALOR AHORRO GRNTZD VIII, A EUROVALOR AHORRO GRNTZD VIII, B EUROVALOR AHORRO GRTZDO 10A EUROVALOR AHORRO GTZDO VI FI A lunes, 26 de enero de 2015 Monday, 26 January 2015 1.849,8786 104,0539 109,5951 111,5738 111,0259 115,6004 114,7160 110,0050 110,6833 111,6346 110,9936 110,0846 109,6198 1.850,0465 104,0573 109,6374 111,6217 111,0698 115,6387 114,7503 110,0352 110,7173 111,6537 111,0090 110,1307 109,6384 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 5 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds Cód.ISIN ISIN Code Depositario Depositary Precedente Previous Último Last Fecha Date Patrimonio Assets NºPartícipes Units EUROVALOR AHORRO GTZDO VI FI B EUROVALOR AHORRO OBJETIVO 2018, A EUROVALOR AHORRO OBJETIVO 2018, B EUROVALOR AHORRO TOP 2019 FI A EUROVALOR AHORRO TOP 2019, FI B EUROVALOR BOLSA EUROVALOR BOLSA ESPAñOLA EUROVALOR BOLSA EUROPEA EUROVALOR BONOS EURO LARGO PLAZO EUROVALOR DEU.PUBLICA EUROPA AAA EUROVALOR DIVIDENDO EUROPA EUROVALOR EMERGENTES EMPR. EUROP EUROVALOR EMPRESAS VOLUMEN EUROVALOR EUROPA PROTECCION EUROVALOR FONDEPOSITO PLUS EUROVALOR GAR. EXTRA MODA EUROVALOR GAR. PROGRES. EUROPA EUROVALOR GARAN. CESTA SELECCION EUROVALOR GARAN. EVOLUCC. EUROPA EUROVALOR GARAN. EXTRA LUXE EUROVALOR GARAN.RENTA FIJA II EUROVALOR GARANTIZADO BRIC II, FI EUROVALOR GARANTIZADO CESTA PLUS, A EUROVALOR GARANTIZADO CESTA PLUS, B EUROVALOR GARANTIZADO CRECIMIENTO EUROVALOR GARANTIZADO DOBLE SELECCI EUROVALOR GARANTIZADO DOLAR II EUROVALOR GARANTIZADO ENERGIA EUROVALOR GARANTIZADO EUROPA, FI EUROVALOR GARANTIZADO MUNDIAL EUROVALOR GARANTIZADO TELECOMUNICAC EUROVALOR GARANTIZADO TRIPLE OPORTU EUROVALOR GART. INDICES GLOBALES EUROVALOR GRNTZD REVALORIZACION MAX EUROVALOR GRNTZD SELECCION GLOBAL EUROVALOR MIXTO-15 EUROVALOR MIXTO-30 EUROVALOR MIXTO-50 EUROVALOR MIXTO-70 EUROVALOR PARTIC.VOLUMEN FI CLASE A EUROVALOR PARTICUL. VOLUMEN, CL. EUROVALOR PATRIMONIO EUROVALOR RECURSOS NATURALES EUROVALOR RENTA FIJA EUROVALOR RENTA FIJA CORTO EUROVALOR RENTA FIJA INTERNAC. OPTIMA AHORRO CORTO PLAZO CLASE B OPTIMA AHORRO CORTO PLAZO, FI A ES0133467011 ES0133446007 ES0133446015 ES0133563009 ES0133563033 ES0133871030 ES0133524035 ES0133661035 ES0133479032 ES0133528002 ES0127025031 ES0133612038 ES0169533033 ES0133542037 ES0127026005 ES0170260030 ES0133504037 ES0127027003 ES0133502031 ES0133557035 ES0133544009 ES0133507006 ES0133464000 ES0133464018 ES0133527038 ES0127028001 BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. 108,8957 113,1355 112,6577 122,8243 121,6530 306,7210 333,7830 61,6667 144,1652 102,4776 137,1097 107,7973 128,7938 116,5437 113,8907 109,7470 131,1649 105,2882 115,5043 155,9856 119,9255 111,5103 111,2997 110,4120 107,0421 107,1016 108,9106 113,2596 112,7776 122,8887 121,7128 314,3155 342,7505 62,6552 144,1245 102,4722 138,9490 109,7692 128,7989 116,5437 113,8930 109,7145 131,4689 105,2873 115,8173 156,1496 119,9463 111,2193 111,6734 110,7786 107,0504 109,7388 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 12-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 29.296.834,13 3.521.071,38 4.845.241,88 61.413.940,68 40.342.428,29 122.521.561,93 111.052.828,84 48.622.375,58 441.129.146,05 6.606.045,05 49.667.765,35 4.053.278,91 740.224.848,61 56.942.309,03 517.767.249,69 63.347.332,23 42.374.947,69 67.551.193,24 38.792.333,14 73.165.018,30 12.204.634,64 20.937.278,62 109.058.889,60 71.124.425,23 81.476.944,62 31.652.696,41 2.028 34 424 419 2.547 6.622 1.559 3.211 9.894 271 3.322 406 2.850 4.280 17.665 4.703 3.001 4.426 2.822 4.889 292 1.751 933 4.297 4.709 2.173 ES0127024034 ES0133516007 ES0170261004 ES0133543001 ES0170262002 BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. 131,4878 108,2634 112,1711 105,6159 105,5551 131,4865 108,3815 112,1784 105,5960 105,9418 20-01-15 20-01-15 20-01-15 20-01-15 20-01-15 28.124.823,29 79.329.048,96 75.752.416,39 53.941.946,55 21.423.778,27 2.299 4.286 4.483 3.607 782 ES0133545006 BNP PARIBAS SECURITIES S. S. ESP. 113,2151 113,3838 20-01-15 67.212.034,92 4.847 ES0133562035 BNP PARIBAS SECURITIES S. S. ESP. ES0133742033 BNP PARIBAS SECURITIES S. S. ESP. 131,3616 85,7270 131,7239 20-01-15 86,0079 20-01-15 61.935.233,04 76.925.595,76 4.098 4.140 ES0133662033 ES0138987039 ES0133745036 ES0133875031 ES0133865032 ES0133877037 ES0133877003 ES0133617037 ES0133623001 ES0133864035 ES0138986031 ES0138966033 ES0138985033 ES0138985009 BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. 82,7065 93,8958 89,4693 84,8478 3,4947 91,8593 93,5050 89,7213 73,4121 7,4202 94,5076 98,5580 956,4997 962,1085 82,7158 94,2184 90,1003 85,8486 3,5331 91,8631 93,5134 89,7280 73,9609 7,4169 94,5127 97,7397 956,4665 962,1235 20-01-15 115.771.212,63 20-01-15 405.562.031,17 20-01-15 113.082.451,65 20-01-15 50.335.420,11 20-01-15 65.838.213,72 20-01-15 1.597.162.924,88 20-01-15 222.526.959,42 20-01-15 729.010.008,55 20-01-15 2.912.659,26 20-01-15 131.780.057,28 20-01-15 162.611.507,02 06-10-14 4.252.220,75 20-01-15 266.327.247,49 20-01-15 7.387.885,47 6.563 12.526 3.627 2.250 5.863 14.186 44 11.017 246 6.595 5.917 463 34.653 116 ES0108701006 ES0108701014 ES0108686009 ES0108702012 ES0108702004 ES0109583015 ES0109583007 ES0112340031 ES0112340007 ES0133509036 ES0144886035 ES0108686017 ES0180792006 SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT BANCO INVERSIS NET SANTANDER INVESTMENT BNP PARIBAS SECURITIES S. S. ESP. SANTANDER INVESTMENT SANTANDER INVESTMENT 12,8458 12,7924 12,9156 10,2483 10,3531 9,7055 9,7343 5,5014 5,4561 64,2510 16,9765 12,7828 11,1829 12,8785 12,8249 12,9359 10,2450 10,3499 9,7055 9,7343 5,5325 5,4869 64,3857 17,2599 12,8027 11,3373 ALPHA PLUS GESTORA ALPHA PLUS GESTION FLEXIBLE A ALPHA PLUS GESTION FLEXIBLE B ALPHA PLUS RENTA FIJA DINAMICA ALPHA PLUS RENTABILIDAD ABSO. CL. B ALPHA PLUS RENTABILIDAD ABSOLUTA AP RENTABILIDAD ABSOLUTA PLUS CLB AP RENTABILIDAD ABSOLUTA PLUS, CL A AVANCE GLOBAL AVANCE GLOBAL CLASE B ETCHEVERRIA MIXTO HIGH RATE MUTUAL PLUS B TRUE VALUE 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 12-01-15 12-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 16-01-15 6.164.084,42 3.580.730,43 6.135.860,32 1.540.745,16 5.081.516,04 439.725,71 1.337.586,19 25.907.656,88 481.592,86 3.640.744,17 18.300.327,26 4.444.575,67 4.540.790,27 120 53 133 15 97 6 44 97 31 108 105 81 89 ,8835 1,0735 ,8872 23-01-15 1,0879 23-01-15 19.110.021,03 10.489.398,54 210 141 10,0373 1.030,0802 10,0376 23-01-15 1.040,0266 22-01-15 210.641,54 20.616.352,04 35 282 AMISTRA. SGIIC AMISTRA GLOBAL, FI AMISTRA PATRIMONIAL ES0109213001 RBC INVESTOR SERVICES ESPAÑA ES0109214009 RBC INVESTOR SERVICES ESPAÑA AMUNDI IBERIA, SGIIC, S.A. AMUNDI CORTO PLAZO, CLASE P ES0126542002 CA-CIB SUCURSAL EN ESPAÑA AMUNDI ESTRATEGIA GLOBAL ES0126545039 CA-CIB SUCURSAL EN ESPAÑA lunes, 26 de enero de 2015 Monday, 26 January 2015 6 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds AMUNDI FONDTESORO LARGO PLAZO BEST MANAGER SELECTION ING DIRECT F.NAR.EURO STOXX 50 ING DIRECT FONDO NARANJA CONSERV ING DIRECT FONDO NARANJA DINAMIC ING DIRECT FONDO NARANJA IBEX 35 ING DIRECT FONDO NARANJA MODERAD RURAL CASTILLA LA MANCHA Cód.ISIN ISIN Code ES0126531039 ES0145807006 ES0152771038 ES0152747004 ES0152743003 ES0152741031 ES0152739001 ES0174388035 Depositario Depositary CA-CIB SUCURSAL EN ESPAÑA CREDIT AGRICOLE LUXEMBOURG RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA SANTANDER INVESTMENT RBC INVESTOR SERVICES ESPAÑA CA-CIB SUCURSAL EN ESPAÑA Precedente Previous Último Last Fecha Date Patrimonio Assets NºPartícipes Units 222,1406 666,5863 12,2588 12,0224 13,3600 16,0216 12,5382 82,4624 222,3834 677,1393 12,4796 12,0469 13,4665 16,1296 12,6060 82,5978 23-01-15 22-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 22-01-15 137.561.919,60 59.950.899,63 122.740.230,21 235.336.952,70 145.143.766,66 342.190.271,01 301.583.490,30 23.081.433,73 1.597 813 12.367 13.484 10.478 28.987 18.579 781 1,1649 1,1852 1,1538 12,2490 2.384,7435 10,5647 10,3375 10,2803 10,2937 10,0599 10,7569 10,3966 10,6970 10,7518 10,6145 8,9431 11,9067 11,2930 10,4126 10,9812 10,1399 1,1651 1,1864 1,1543 12,2585 2.389,9592 10,6056 10,3531 10,2818 10,3009 10,0618 10,6816 10,4015 10,7049 10,7691 10,6194 8,9483 11,9114 11,3040 10,4125 10,9896 10,1412 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 41.834.834,71 43.467.539,92 31.186.364,08 14.864.246,63 7.428.518,29 4.525.951,73 725.005,39 648.584,98 1.693.721,78 1.721.053,96 2.795.718,18 30.197.043,29 9.343.758,30 1.293.673,62 3.706.672,65 3.054.107,06 10.716.167,78 31.925.363,68 42.186.694,88 76.778.865,22 13.079.798,24 1.238 1.066 892 464 120 36 27 31 25 34 38 89 62 30 53 33 145 380 472 860 145 ANDBANK WEALTH MANAGEMENT, SGIIC BEST CARMIGNAC BEST JPMORGAN AM BEST MORGAN STANLEY FONCESS FLEXIBLE FONVALCEM GEST.BOUTIQUE/ADAIA RV GESTION BOUTIQUE / B4A CART. DECIDI GESTION BOUTIQUE / B4A CART. EQUILI GESTION BOUTIQUE / EP EAFI. RET. AB GESTION BOUTIQUE / GINVEST MEDITERR GESTION BOUTIQUE BISSAN VALUE FUND GESTION BOUTIQUE C2 ESTR. EQUILIBRA GESTION BOUTIQUE C2 ESTRATEG. DINAM GESTION BOUTIQUE GCAP. TOTAL MARKET GESTION BOUTIQUE GINVEST SMART GESTION BOUTIQUE, FI GESTION MULTIPERFIL AGRESIVO GESTION MULTIPERFIL DINAMICO GESTION MULTIPERFIL EQUILIBRADO GESTION MULTIPERFIL INVERSION GESTION MULTIPERFIL MODERADO ES0114572003 ES0114524004 ES0145808004 ES0164949002 ES0138930039 ES0116831084 ES0116831100 ES0116831092 ES0116831076 ES0116831068 ES0116831001 ES0116831027 ES0116831019 ES0116831050 ES0116831035 ES0116831043 ES0125322042 ES0125322034 ES0125322018 ES0125322026 ES0125322000 BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET SDAD. ESPAñOLA BANCA NEGOCIOS BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET ES0110253038 ES0110247006 ES0110256007 ES0136083039 CAJA COOP. DE ARQUITECTOS CAJA COOP. DE ARQUITECTOS CAJA COOP. DE ARQUITECTOS CAJA COOP. DE ARQUITECTOS 22,4046 10,1410 12,1125 7,0403 22,4048 10,1404 12,1120 7,0405 24-01-15 24-01-15 24-01-15 24-01-15 59.821.842,55 6.207.351,15 21.818.836,04 4.844.476,02 1.918 240 880 315 ES0111127009 ES0111171031 ES0111127017 ES0111167005 ES0111128007 ES0111166031 ES0111152007 ES0111052009 ES0111168003 ES0133091035 ES0138876034 ES0138876000 BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANCO INVERSIS NET BANCO INVERSIS NET 11,5666 11,9875 10,6516 11,9056 10,8360 12,0531 10,9461 10,2009 13,1945 13,5802 15,9085 10,4384 11,5880 12,0600 10,6716 11,9735 10,9802 12,0532 11,1180 10,2293 13,2562 13,6363 16,0881 10,4740 23-01-15 22-01-15 23-01-15 22-01-15 22-01-15 23-01-15 23-01-15 23-01-15 22-01-15 23-01-15 22-01-15 22-01-15 16.016.831,23 21.982.970,12 14.971.700,06 55.758.999,28 4.737.033,03 51.338.780,84 6.307.101,38 7.375.105,42 16.660.479,65 29.121.891,48 16.689.474,78 1.785.814,52 337 287 17 595 97 480 156 116 219 212 187 122 ES0170156006 ES0170156030 ES0170147039 ES0170141032 ES0170136008 ES0170136032 ES0170138004 ES0170138038 CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. 14,1383 13,8249 25,1086 9,7742 14,7007 14,0677 18,0892 17,5368 14,1386 13,8250 25,2720 9,9070 14,8743 14,2334 18,1241 17,5702 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 333.796.207,08 86.022.763,21 194.622.541,44 76.248.527,07 75.908.423,56 29.025.596,98 20.219.743,82 60.242.214,64 80 824 1.100 305 30 242 21 627 ES0170613030 ES0113384004 ES0113112009 ES0113379004 ES0114903000 ES0170642039 ES0170602033 ES0170614004 ES0158324030 ES0138727039 ES0138499035 ES0114767009 ES0114705009 BANCO DE MADRID BANCO DE MADRID BANCO DE MADRID BANCO DE MADRID SANTANDER INVESTMENT BANCO DE MADRID BANCO DE MADRID BANCO DEPOSITARIO BBVA CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. 7,2327 10,0550 10,1401 10,1692 96,0611 5,1597 10,1322 11,1082 10,6421 4,3382 7,4760 10,4206 10,6455 7,2347 10,0968 10,2476 10,2316 95,8690 5,1897 10,2006 11,1509 10,6409 4,4064 7,5262 10,4376 10,6926 23-01-15 22-01-15 22-01-15 22-01-15 23-01-15 23-01-15 23-01-15 22-01-15 23-01-15 23-01-15 23-01-15 22-01-15 22-01-15 161.267.967,27 29.865.426,09 5.754.087,80 26.575.276,49 137.249.148,83 12.056.173,32 321.387.686,81 53.740.313,95 42.289.390,72 19.832.111,35 4.394.519,10 66.818.878,80 27.587.001,65 2.589 273 68 298 3.129 677 3.478 1.665 1.912 879 347 1.366 380 ARQUIGEST ARQUIUNO ARQUIUNO BOLSA ARQUIUNO RENTA VARIABLE MIXTA FAV-ARQUITECTOS ATL 12 CAPITAL GESTION ATL CAP.CARTERA DINAMICA CLASE A ATL CAPITAL BEST MANAGERS ATL CAPITAL CARTERA DINAMICA, I ATL CAPITAL CARTERA PATRIMONIO ATL CAPITAL CARTERA RENTA VARIABLE ATL CAPITAL LIQUIDEZ ATL CAPITAL QUANT 25 ATL CAPITAL QUANT 5 ATL CAPITAL RENTA FIJA ESPINOSA PARTNERS INVERSIONES FONGRUM FONGRUM RENTA FIJA MIXTA AVIVA GESTION AVIVA CORTO PLAZO CLASE A AVIVA CORTO PLAZO- CLASE B AVIVA ESPABOLSA AVIVA EUROBOLSA AVIVA FONVALOR EURO CLASE A AVIVA FONVALOR EURO-CLASE B AVIVA RENTA FIJA CLASE A AVIVA RENTA FIJA CLASE B BANCO MADRID GESTION DE ACTIVOS BANCO MADRID AHORRO BANCO MADRID CONFIANZA BANCO MADRID DINAMICO BANCO MADRID EQUILIBRIO BANCO MADRID IBERICO ACCIONES BANCO MADRID MUNDIAL BANCO MADRID RENTA FIJA BANCO MADRID SICAV SELECCION BMN BOLSA ESPAÑOLA BMN BOLSA EUROPEA BMN BOLSA USA BMN CARTERA FLEXIBLE 20 BMN CARTERA FLEXIBLE 50 lunes, 26 de enero de 2015 Monday, 26 January 2015 7 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds Cód.ISIN ISIN Code Depositario Depositary Precedente Previous Último Last Fecha Date Patrimonio Assets NºPartícipes Units BMN FONDEPOSITO BMN GARANTIZADO ACCIONES BMN GARANTIZADO SELECCION BMN GARANTIZADO SELECCION IX BMN GARANTIZADO SELECCION XI BMN GARNT. SELECCION X BMN HORIZONTE 2018 BMN INTERES GARANTIZADO 10 BMN INTERES GARANTIZADO 11 BMN INTERES GARANTIZADO 7 BMN INTERES GARANTIZADO 8 BMN INTERES GARANTIZADO 9 BMN MIXTO FLEXIBLE BMN RF CORPORATIVA BPERE FONDO IBERICO ADAGIO CAJAGRANADA FONDPLAZO GARANT.III ESPAÑA FLEXIBLE GLOBAL ESTRATEGIA INTERDIN PENTATHLON LIBERBANK ACCIONES EUROPA GTZDO. LIBERBANK AHORRO LIBERBANK CAMPEONES GARANTIZADO LIBERBANK CARTERA CONSERVADORA LIBERBANK CARTERA MODERADA LIBERBANK CARTERA RENDIMIENTO LIBERBANK CONTINENTAL GARANTIZADO LIBERBANK ESPAÑA 4 GARANTIZADO LIBERBANK EURO 6 GARANTIZADO LIBERBANK EURODOLAR GARANTIZADO LIBERBANK GARANTIA 7 LIBERBANK GLOBAL LIBERBANK INVER.MUNDIAL GARANTIZADO LIBERBANK MIX-RENTA FIJA LIBERBANK MIX-RENTA VARIABLE LIBERBANK MUNDIAL 6 GARANTIZADO LIBERBANK OBJETIVO I LIBERBANK PLATINUM LIBERBANK PLUS LIBERBANK RENTA 2014 GARANTIZADO LIBERBANK RENTA FIJA LIBERBANK RENTA FIJA III LIBERBANK RENTA VARIABLE ESPAÑA LIBERBANK RENTA VARIABLE EURO LIBERBANK RENTAS LIBERBANK SECTORIAL GARANTIZADO LIBERBANK TELECOMUNICACIONES 3X7 PREMIUM JB BOLSA EURO PREMIUM JB BOLSA INTERNACIONAL PREMIUM JB CONSERVADOR PREMIUM PLAN RENTABILIDAD PREMIUM PLAN RENTABILIDAD II PREMIUM PLAN RENTABILIDAD III PREMIUM PLAN RENTABILIDAD IV PREMIUM PLAN RENTABILIDAD V, FIM PREMIUM PLAN RENTABILIDAD VI PREMIUM PLAN RENTABILIDAD VII RENTA FIJA MIXTA ESPAÑOLA FLEXIBLE WORLD SOLIDARITY FUND ES0158949034 ES0141226037 ES0107438006 ES0138358033 ES0138080033 ES0139776035 ES0122077003 ES0138082005 ES0138091030 ES0114882006 ES0114543038 ES0138148038 ES0139010039 ES0138887031 ES0118503004 ES0114544036 ES0171002035 ES0107934038 ES0162858031 ES0111023034 ES0111037034 ES0158341000 ES0113701033 ES0115431035 ES0109227035 ES0111013035 ES0158342008 ES0110951037 ES0115319032 ES0115432009 ES0110952035 ES0119734004 CAJA DE AHORROS DE MURCIA CAJA GENERAL AH. DE GRANADA CECABANK, S.A. CAJA DE AHORROS DE MURCIA CAJA DE AHORROS DE MURCIA CAJA DE AHORROS DE MURCIA CECABANK, S.A. CAJA DE AHORROS DE MURCIA CAJA DE AHORROS DE MURCIA CECABANK, S.A. CAJA GENERAL AH. DE GRANADA CAJA DE AHORROS DE MURCIA CECABANK, S.A. CECABANK, S.A. SANTANDER INVESTMENT CAJA GENERAL AH. DE GRANADA BANCO DE MADRID RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA LIBERBANK CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. LIBERBANK CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. 12,2362 12,7995 11,4077 15,0547 13,0061 14,0119 11,1419 12,4495 14,9103 11,2924 13,8021 12,7951 24,9709 10,0157 117,5189 13,6834 6,4606 9,1461 95,8424 7,5054 9,8404 7,3817 7,2075 7,0456 7,0183 7,7029 6,6218 8,4480 8,1848 6,5568 8,5349 6,9298 12,2364 12,7993 11,4282 15,0394 13,0743 14,0612 11,1461 12,4506 14,9129 11,2950 13,8045 12,8041 25,2644 10,0317 118,4499 13,6915 6,4886 9,2713 97,2029 7,5054 9,8614 7,3987 7,2563 7,1146 7,1013 7,7029 6,6502 8,4706 8,1847 6,5571 8,6168 6,9317 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 22-01-15 23-01-15 23-01-15 22-01-15 23-01-15 26-09-14 23-01-15 23-01-15 22-01-15 22-01-15 22-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 159.107.615,71 7.960.765,25 3.093.437,81 5.577.428,49 17.759.045,71 7.077.647,75 5.578.890,09 18.975.113,93 43.502.988,17 27.877.125,87 8.391.708,46 17.178.600,98 16.918.197,79 64.205.100,49 28.944.690,87 7.641.226,51 10.808.638,03 1.203.539,01 30.131.291,35 5.023.728,82 310.829.551,23 47.165.899,95 83.271.493,94 21.454.516,72 7.556.703,39 13.453.359,76 32.136.223,27 51.273.467,07 12.990.197,85 45.370.212,17 110.601.673,16 32.325.924,21 5.036 684 185 282 768 302 165 774 1.396 786 452 797 751 2.575 118 548 148 22 195 273 9.974 2.623 2.670 794 307 658 1.322 2.584 547 2.155 3.141 1.229 ES0111028033 ES0111029031 ES0164737035 ES0110953009 ES0110929033 ES0110954007 ES0110961036 ES0111026037 ES0115380000 ES0111038032 ES0111011039 ES0111049039 ES0114604038 ES0114819032 ES0170643037 ES0170616033 ES0115217038 ES0170644001 ES0170651006 ES0170652004 ES0170653002 ES0170654000 ES0112819000 ES0112820008 ES0173366008 ES0170646030 CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. LIBERBANK CECABANK, S.A. CECABANK, S.A. LIBERBANK CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. LIBERBANK CECABANK, S.A. LIBERBANK CECABANK, S.A. BANCO DE MADRID BANCO DE MADRID BANCO DE MADRID BANCO DE MADRID BANCO DE MADRID BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DE MADRID BANCO DE MADRID BANCO DE MADRID BANCO DE MADRID 9,7280 8,6298 8,7081 7,1040 7,5412 5,9904 8,8291 10,0948 7,2976 10,5597 6,6901 9,5055 8,5027 8,2299 7,5188 7,6420 857,0986 12,9652 12,8434 11,4771 11,8851 11,9069 12,7054 10,6489 10,0509 6,1082 9,7913 8,7334 8,7214 7,1210 7,5423 5,9910 8,8291 10,0948 7,2980 10,5367 6,7915 9,5066 8,5009 8,2589 7,6330 7,8085 860,6531 12,9652 12,8434 11,4771 11,9150 11,9414 12,8102 10,7033 10,0748 6,1433 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 22-01-15 22-01-15 22-01-15 24-12-14 24-12-14 24-12-14 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 22-01-15 28.700.127,49 10.695.656,23 19.913.334,60 4.703.963,61 54.876.205,12 81.094.432,50 9.224.444,28 8.335.081,31 21.582.762,82 25.171.318,14 11.844.032,17 217.973.920,01 56.456.174,07 25.737.650,09 10.728.897,81 11.768.089,31 23.006.937,75 5.341.022,39 3.332.164,64 4.208.727,84 8.560.625,68 20.219.935,36 33.696.272,45 18.544.152,99 4.067.975,68 16.372.972,48 1.378 652 935 153 186 3.473 346 146 108 1.040 840 2.423 2.555 1.312 143 159 162 81 86 105 173 221 339 259 131 91 ES0159088030 ES0161937034 ES0113931002 ES0113226007 ES0113407003 ES0158964033 ES0109222036 ES0105580031 ES0164377006 ES0113227005 ES0108903032 ES0108847031 BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A 144,4673 6,0073 109,3570 103,2959 101,4182 132,6158 114,7615 105,9957 121,2280 100,1579 1.348,8834 170,4515 144,4672 6,0305 109,3570 103,9007 101,8940 133,1919 115,3321 106,4784 121,6574 100,4242 1.349,0825 172,4979 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 7.470.185,08 32.239.321,92 10.899.356,97 29.707.675,82 38.307.606,41 76.236.291,47 78.121.937,75 22.366.149,72 24.412.143,39 9.663.671,32 96.335.427,43 5.284.266,41 476 1.785 367 1.935 2.103 3.499 4.331 1.207 1.212 155 475 115 BANKIA FONDOS BAMKIA 2 EURO STOXX BANKIA BOLSA USA BANKIA 2015 GARANTIZADO BANKIA 2017 EUROSTOXX BANKIA 2017 EUROSTOXX II BANKIA 2018 EUROSTOXX BANKIA 2018 EUROSTOXX II BANKIA AFIANZA 5 AÑOS BANKIA AUTOCANCELABLES EUROSTOXX BANKIA B.P. FINANCIERO 2018 BANKIA B.PRIVADA CORTO PLAZO EURO BANKIA BANCA PRIV. EUROSTOXX50 2016 lunes, 26 de enero de 2015 Monday, 26 January 2015 8 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds Cód.ISIN ISIN Code BANKIA BANCA PRIVADA EUROSTOXX 2018 BANKIA BANCA PRIVADA INDICE S&P 500 BANKIA BANCA PRIVADA RENTA VAR. ESP BANKIA BANCA PRIVADA SELECCION BANKIA BANCA PRIVADATIPO FIJO GARAN BANKIA BCA. PRIV.TIPO FIJO GTZDO BANKIA BOLSA ESPAÑOLA BANKIA BOLSA JAPONESA BANKIA BONOS CP PRINCIPAL BANKIA BONOS DURACION FLEXIBLE BANKIA DIVIDENDO ESPAÑA BANKIA DIVIDENDO EUROPA BANKIA DOLAR BANKIA DURACION FLEXIBLE0-2 BANKIA EURO TOP IDEAS BANKIA EUROPA TOP GTZDO BANKIA EUROSTOXX 50 PPALES BANKIA EUROSTOXX GARANTIZADO I BANKIA EUROSTOXX GARANTIZADO II BANKIA EVOLUCION DECIDIDO BANKIA EVOLUCION MODERADO BANKIA FONDEPOSITOS BANKIA FONDLIBRETA 2015 BANKIA FONDTESORO LARGO PLAZO BANKIA FONDUXO BANKIA FONMIX 4 BANKIA FONMIX 5 BANKIA FONMIX TRES BANKIA GARANT. EURO STOXX 2016 BANKIA GARANT. RENTAS 3 BANKIA GARANTIZADO 13 BANKIA GARANTIZADO 14 BANKIA GARANTIZADO 15 BANKIA GARANTIZADO 20 BANKIA GARANTIZADO 2016 BANKIA GARANTIZADO BOLSA 1 BANKIA GARANTIZADO BOLSA 2 BANKIA GARANTIZADO BOLSA 3, FI BANKIA GARANTIZADO BOLSA 4 BANKIA GARANTIZADO BOLSA 5 BANKIA GARANTIZADO COMBINADO 1 BANKIA GARANTIZADO IBEX 1 BANKIA GARANTIZADO RENTA FIJA BANKIA GARANTIZADO RENTAS 1, FI BANKIA GARANTIZADO RENTAS 10 BANKIA GARANTIZADO RENTAS 11 BANKIA GARANTIZADO RENTAS 12 BANKIA GARANTIZADO RENTAS 14, FI BANKIA GARANTIZADO RENTAS 2 BANKIA GARANTIZADO RENTAS 4 BANKIA GARANTIZADO RENTAS 5 BANKIA GARANTIZADO RENTAS 6 BANKIA GARANTIZADO RENTAS 7 I BANKIA GARANTIZADO RENTAS 8 BANKIA GARANTIZADO RENTAS 9 BANKIA GOBIERNO EURO LARGO PLAZO BANKIA INDICE IBEX BANKIA ÍNDICE EUROSTOXX BANKIA MIXTO RENTA FIJA 15 BANKIA MIXTO RENTA FIJA, 30 BANKIA MIXTO RENTA VARIABLE 50 BANKIA MIXTO RENTA VARIABLE 75 BANKIA MONETARIO EURO DEUDA (I) BANKIA MONETARIO EURO DEUDA (II) BANKIA OBJETIVO 2019 I BANKIA RENTA FIJA LARGO PLAZO BANKIA RENTABILIDAD OBJETIVO C.P. BANKIA RENTABILIDAD OBJETIVO L.P BANKIA RENTABILIDAD OBJETIVO MP BANKIA RENTAS I 2038 BANKIA SMALL &MID CAPS ESPAÑA FONDLIBRETA III 2014 ES0113566006 ES0108851033 ES0108846033 ES0142343039 ES0113932000 ES0108834005 ES0113002036 ES0158983033 ES0141173031 ES0173441033 ES0159076035 ES0138840030 ES0159033036 ES0147507034 ES0159031030 ES0159077033 ES0158972036 ES0113933008 ES0113488003 ES0117184038 ES0105578035 ES0114036009 ES0158959033 ES0138873031 ES0138893039 ES0141227035 ES0141228033 ES0138525037 ES0118842006 ES0113448007 ES0112965001 ES0112894037 ES0112966009 ES0112968005 ES0169080035 ES0135702001 ES0113255006 ES0159078031 ES0113567004 ES0159081035 ES0113061008 ES0113446001 ES0156732002 ES0114022009 ES0114037007 ES0113489001 ES0113498002 ES0163612007 ES0113447009 ES0113449005 ES0112897030 ES0159128034 ES0179390002 ES0113934006 ES0113935003 ES0147508032 ES0158967036 ES0138661030 ES0159141037 ES0170271037 ES0181693039 ES0170167037 ES0130353032 ES0112899002 ES0135703009 ES0158178030 ES0158211039 ES0118914003 ES0158984031 ES0157088008 ES0138800034 ES0158013005 lunes, 26 de enero de 2015 Monday, 26 January 2015 Depositario Depositary BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A Precedente Previous Último Last Fecha Date 106,0177 121,2211 128,9446 12,3566 121,0909 114,1388 1.020,7396 4,3565 1,2971 11,6698 17,0959 19,8804 8,0941 10,6993 7,3754 7,1542 8,8779 108,7951 107,3772 107,1144 111,0749 102,0926 129,9343 169,9797 1.996,2657 14,7918 14,0902 15,2233 137,9867 121,0607 123,3176 1,1970 118,6206 104,7113 103,5038 103,4901 106,6748 8,8811 104,7117 11,4963 111,7905 113,9137 116,7788 124,0503 111,2652 115,7047 114,7116 116,8510 121,2298 114,5830 132,7071 9,5104 112,5068 111,7186 111,4577 11,3948 152,9699 69,5756 11,9024 10,9020 15,0937 7,0381 118,3866 111,4360 110,8567 17,3998 142,8372 174,7158 15,6775 108,8681 309,2262 113,4621 106,8405 120,5619 129,7411 12,4288 121,1217 114,1432 1.028,5485 4,4053 1,2973 11,6927 17,1896 20,2168 8,1546 10,7064 7,4940 7,1535 8,9677 109,1419 107,7293 108,7862 111,8779 102,0935 129,9356 170,0106 2.029,0474 14,7903 14,0901 15,2245 138,9504 121,0784 123,3175 1,1970 118,6203 104,7079 103,9664 103,7285 107,0138 8,9117 104,9198 11,5018 111,9751 114,9412 116,7785 124,0650 111,2922 115,7133 114,7201 116,7549 121,2606 114,6011 132,7613 9,5157 112,5337 111,7461 111,4868 11,4240 153,9805 70,8932 11,9333 10,9330 15,1768 7,1021 118,3830 111,4359 110,8654 17,4353 142,8373 174,8151 15,6776 108,8583 310,8893 113,4622 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 22-01-15 22-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 Patrimonio Assets 10.637.379,90 14.822.819,40 15.128.891,44 42.290.931,56 20.808.866,09 22.707.844,89 83.881.940,47 6.009.393,51 412.799.165,22 63.929.318,30 44.801.006,89 87.217.776,71 30.344.815,80 630.369.845,82 30.026.024,40 73.201.573,37 105.249.868,92 49.134.012,76 42.540.652,06 16.891.693,97 23.453.429,98 260.270.635,73 85.430.836,38 86.343.766,56 295.151.928,56 10.712.255,75 934.258,99 11.369.546,07 16.420.096,72 167.247.327,44 6.020.289,35 4.188.814,06 2.866.778,02 14.939.313,66 103.622.117,56 100.906.461,84 73.042.970,60 99.773.922,10 102.376.277,06 133.781.972,92 18.365.538,25 89.767.095,59 2.917.932,91 463.249.525,36 618.789.925,79 143.610.832,29 200.690.619,53 274.151.499,06 259.699.665,95 80.822.382,93 176.223.090,54 110.643.013,98 281.233.478,67 186.814.181,63 187.117.743,46 51.358.095,47 29.785.373,40 8.603.384,08 555.925.857,89 92.595.525,30 29.376.455,21 18.767.691,31 58.223.334,14 26.579.464,68 46.959.107,39 89.747.625,72 52.917.578,61 13.206.436,59 33.631.473,95 66.577.062,88 22.960.172,30 114.590.532,01 9 NºPartícipes Units 154 294 348 129 198 115 4.842 827 3 2.486 2.584 5.289 1.157 19.865 1.909 3.725 4.937 4.050 3.968 837 1.546 2.400 3.805 581 11.104 139 36 192 1.421 6.919 948 645 272 1.863 4.858 5.681 4.757 5.053 5.602 7.047 1.634 4.039 41 13.143 21.844 5.777 8.220 9.823 8.657 5.489 8.982 6.378 12.925 8.363 7.919 2.452 1.181 455 25.524 3.883 1.593 1.356 4.410 201 2.475 4.216 2.218 538 1.153 2.721 1.708 4.644 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds FONDO GARANTIZADO 21 LIBERTY EURO RENTA LIBERTY EURO STOCK MARKET LIBERTY SPANISH STOCK MARKET IND Cód.ISIN ISIN Code Depositario Depositary ES0112896032 ES0179171030 ES0179172038 ES0137999035 BANKIA, S.A BANKIA, S.A BANKIA, S.A BANKIA, S.A ES0114821038 ES0125621039 ES0130354006 ES0164542005 ES0127186031 ES0114802038 ES0114105036 ES0114795034 ES0113923033 ES0113815031 ES0113733002 ES0147624037 ES0114867031 ES0114873039 ES0114785035 ES0113585006 ES0114763032 ES0164950000 ES0179391000 ES0113983003 ES0114104039 ES0164528004 ES0164951008 ES0114878038 ES0114762034 ES0162940037 ES0114755038 ES0118844002 ES0113064002 ES0114860036 ES0114796032 ES0113816039 ES0130356001 ES0114876032 ES0114874037 ES0159143009 ES0114839030 ES0130355003 ES0115157036 ES0114791033 ES0113777033 ES0159142001 ES0114794037 ES0114832035 ES0113776035 ES0138954039 ES0114754031 ES0114871033 ES0113550034 ES0114877030 ES0114793039 ES0114102033 ES0114764030 ES0164529002 ES0114023007 ES0137722007 ES0114783030 ES0114024005 ES0114792031 ES0113936001 ES0110053032 ES0114837034 ES0113065009 ES0113066007 ES0114879036 ES0113063004 ES0119173005 BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. Precedente Previous Último Last Fecha Date Patrimonio Assets NºPartícipes Units 122,8414 13,4303 9,9697 16,6463 122,8412 13,4446 10,1504 16,7577 23-01-15 23-01-15 23-01-15 23-01-15 5.105.051,38 12.841.151,84 13.588.867,30 5.369.657,15 131 105 110 109 863,4214 1.259,9118 70,1185 72,8542 87,0308 1.188,3961 1.215,9998 998,5142 86,2330 87,5759 110,5817 163,1822 30,1818 989,3139 1.035,1122 75,1786 887,4501 64,5452 117,5904 68,9693 610,5914 84,6821 64,4491 922,5591 942,8916 1.009,2320 90,4183 114,7929 109,3313 1.247,8689 834,4795 79,9773 69,3228 979,9387 1.113,6500 118,1143 1.194,2614 67,9132 98,1225 1.100,1242 77,8100 75,8412 108,9240 895,3071 100,9514 1.347,4987 591,6876 1.955,9361 158,2390 1.109,5038 95,5462 669,1809 283,0780 68,5880 709,3850 66,8418 1.640,1058 65,9385 111,5534 113,0371 1.037,5160 1.345,2347 109,3264 103,0310 73,0255 115,2927 113,7373 863,4292 1.265,8974 70,6756 73,7444 87,0373 1.205,5820 1.218,8684 1.004,8517 86,2643 88,5393 111,4343 164,9232 30,2493 1.002,1319 1.048,5183 76,0977 883,3738 65,0221 118,7796 69,3216 617,9658 84,8113 64,9997 932,2599 955,7161 1.009,0761 91,0030 114,9686 109,4842 1.248,7121 834,9705 80,0041 69,3560 980,9872 1.121,4576 118,2707 1.194,6959 68,3863 99,7065 1.106,8504 78,2086 76,7137 109,6472 906,9011 102,1796 1.347,5000 602,8181 1.919,8224 158,4207 1.122,8729 96,0150 669,1714 285,4507 69,3505 716,4031 66,8417 1.639,7012 65,9240 111,7128 113,0917 1.037,9234 1.347,6102 109,3397 103,0320 73,4201 115,5231 113,9112 23-01-15 23-01-15 22-01-15 22-01-15 23-01-15 23-01-15 23-01-15 22-01-15 23-01-15 22-01-15 22-01-15 22-01-15 23-01-15 22-01-15 22-01-15 22-01-15 23-01-15 22-01-15 22-01-15 22-01-15 23-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 23-01-15 22-01-15 22-01-15 22-01-15 23-01-15 22-01-15 22-01-15 22-01-15 23-01-15 22-01-15 23-01-15 23-01-15 23-01-15 22-01-15 23-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 23-01-15 23-01-15 23-01-15 23-01-15 06-08-14 23-01-15 22-01-15 22-01-15 924.982.818,67 354.030.443,44 36.009.322,91 10.817.543,44 704.246.847,17 110.498.353,88 26.886.006,69 53.025.955,89 5.897.408,31 22.801.249,78 11.289.321,44 49.065.671,87 266.496.469,54 3.438.987,23 9.414.641,31 5.912.921,52 181.112.107,43 18.501.316,05 7.897.543,25 72.992.542,76 78.486.848,30 3.084.177,31 20.374.477,35 17.573.459,32 37.319.187,04 17.884.100,21 5.528.846,16 49.310.258,46 20.371.058,79 15.285.042,04 10.515.787,12 36.508.709,61 22.563.451,60 101.640.384,80 23.562.865,54 37.500.025,89 24.946.809,80 27.038.334,81 9.012.820,69 14.842.745,32 5.509.627,51 9.820.889,50 187.398.245,08 7.207.576,29 15.450.373,06 29.334.159,08 32.032.715,54 11.897.850,38 3.921.070,66 109.125.012,90 147.459.488,35 8.620.707,61 27.848.775,35 18.101.703,51 49.560.356,29 8.930.768,20 34.315.484,85 23.791.615,89 47.100.462,34 4.492.169,45 945.791.767,75 482.428.974,68 13.319.544,06 761.523,56 118.479.135,90 38.111.065,37 37.208.978,79 18.873 13.381 892 342 2.541 10.811 974 1.122 101 596 260 1.038 12.398 120 327 200 11.813 472 240 1.769 4.186 93 521 464 895 594 481 1.206 387 536 400 871 345 2.284 672 763 687 630 1.556 344 210 282 1.699 203 462 777 960 477 243 9.419 4.559 317 1.488 445 1.198 247 1.060 740 1.210 107 18.409 16.290 263 16 9.829 899 920 BANKINTER GESTION DE ACTIVOS BANKINTER AHORRO ACTIVOS EURO BANKINTER BOLSA ESPAÑA BANKINTER BOLSA EUOPEA 2019 GARANT BANKINTER CUMBRE 2017 GARANTIZADO BANKINTER DINERO 4 BANKINTER DIVIDENDO EUROPA BANKINTER EE.UU. NASDAQ 100 BANKINTER ESPAÑA 2020 II GTZDO FI BANKINTER ESTRATEGIA RENTA FIJA BANKINTER EUROSTOXX 2018 GARANT. BANKINTER EUROSTOXX 2018 II GT BANKINTER FONDT.40% CORTO PLAZO BANKINTER GESTION ABIERTA BANKINTER GRANDES CIAS II GTZDO BANKINTER IBEX 2016 GARANTIZADO BANKINTER IBEX 2017 GARANTIZADO BANKINTER INDICE AMERICA BANKINTER INDICE BOLSA ESPAÑ.GA.II BANKINTER INDICE ESPAÑA 2017 GTO. BANKINTER INDICE ESPAÑOL 2019 GARAN BANKINTER INDICE JAPON BANKINTER INDICE JAPON GTDO.CONCIER. BANKINTER MERCADO ESPAÑOL BANKINTER MERCADO EUROPEO BANKINTER MULTISELECCION DINAMICA BANKINTER PLUS 10 GARANTIZADO BANKINTER QUANT BANKINTER R.F. TITANIO 2017 GARANT. BANKINTER RENT. FI.COSMOS 2017 GTDO BANKINTER RENTA DINAMICA BANKINTER RENTA FIJA 2016 GARANT. BANKINTER RENTA FIJA 2016 II GARANT BANKINTER RENTA FIJA AMBAR GDO BANKINTER RENTA FIJA ATLANTIS 2017 BANKINTER RENTA FIJA IRIS GARANTI. BANKINTER RENTA FIJA JADE GZDO BANKINTER RF.A.MARINA BANKINTER RTA. FIJA 2014 V GTZ BANKINTER SOSTENIBILIDAD BK ESPAÑA 2020 GARANTIZADO BK EUROPA 55 GARANTIZADO BK EUROSTOXX 2015 GTZDO BK FUTURO IBEX BK GRANDES COMPAÑIAS GARANTIZADO BK IBEX 2015 GARANTIZADO BK INDICE ESPAÑOL 2019 GARANTIZADO BK INDICE EUROPEO 50 BK INDICE INDIA GARANTIZADO BK KILIMANJARO BK MIXTO FLEXIBLE BK MIXTO RENTA FIJA BK MULTICESTA GARANTIZADO BK PEQUENAS COMPANIAS BK RENTA FIJA 2014 GTDO.CONCIERTO BK RENTA FIJA 2014 II GARANTIZADO BK RENTA FIJA 2014 III GARANT. BK RENTA FIJA 2015 GARAN. BK RENTA FIJA 2015 II GTZDO BK RENTA FIJA 2017 GARANTIZADO BK RENTA FIJA ALAMO 2018 GARANTIZAD BK RENTA FIJA CORTO PLAZO BK RENTA FIJA LARGO PLAZO BK RENTA FIJA ROBLE 2019 BK RENTA SEMESTRAL 2019 BK RENTA VARIABLE EURO BK RTA FIJA ATLAS 2018 GTZDO. BK RTA FIJA OPALO 2017 GTDO lunes, 26 de enero de 2015 Monday, 26 January 2015 10 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds Cód.ISIN ISIN Code BK RTA. FIJA CUARZO 2017 GTDO BK RTA. FIJA ONIX 2018 GTZ. BK SECTOR ENERGIA BK SECTOR FINANZAS BK SECTOR TELECOMUNICACIONES BK SELECCION BONOS CORPORATIVOS FONDO BANKINTER EUROSTOXX 55 GAR. FONDO BANKINTER MULTIFONDO GARAN. FONDO BANKINTER RENTA FIJA 6 GAR. FONDO BK BRIC PLUS III GARANT. FONDO BK CESTA MUNDIAL GARAN. FONDO BK CONSOLIDACION AMERICA G. FONDO BK CONSOLIDACION BRASIL GAR. FONDO BK EEUU 55 GARANTIZADO FONDO BK EUROSTOXX INVERSO FONDO BK MULTIFONDO II GARAN. FONDO BK PODIUM GARANTIZADO FONDO BK RENTA FIJA 8 GARAN. FONDO IBEX GARANTIZADO 2010 ES0118843004 ES0179392008 ES0114806039 ES0114805031 ES0114797030 ES0114857032 ES0114880034 ES0125632036 ES0164541007 ES0114838032 ES0170276036 ES0138955036 ES0133594038 ES0114830039 ES0164585004 ES0114875034 ES0133595035 ES0113584009 ES0114833033 Depositario Depositary Precedente Previous Último Last Fecha Date Patrimonio Assets NºPartícipes Units BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. 118,8298 115,8464 1.085,4452 584,1191 526,6794 1.037,3494 755,3678 789,9669 70,1684 982,9542 97,8522 1.449,6317 932,4798 1.625,7738 32,2241 964,5416 77,7243 72,9929 128,6538 119,0112 116,0969 1.091,5858 586,9935 535,8197 1.044,6447 763,6720 789,9367 70,3342 982,9539 98,9340 1.449,8732 932,4798 1.625,7493 31,5788 964,3839 77,7049 73,5982 128,6537 22-01-15 22-01-15 23-01-15 23-01-15 23-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 23-01-15 22-01-15 22-01-15 22-01-15 22-01-15 33.457.642,51 48.975.308,51 3.792.037,67 9.457.985,03 14.705.874,95 33.446.928,88 16.669.840,32 10.450.943,59 32.536.927,66 7.522.338,40 20.260.301,64 5.197.236,28 10.505.702,05 14.392.149,45 14.535.624,94 20.538.532,61 5.578.182,59 49.363.028,05 8.848.305,14 759 1.220 772 451 1.939 733 314 347 804 306 533 138 346 431 116 737 248 1.038 271 ES0137631034 ES0137631000 ES0137631018 ES0184984039 ES0155008032 ES0177124031 ES0177124007 ES0177124015 ES0174391039 ES0174391005 ES0174391013 ES0174434037 ES0174434003 ES0174434011 ES0174310005 ES0174311003 ES0174312001 ES0173827033 ES0175083031 ES0158862039 ES0111146009 ES0111146017 ES0111146025 ES0183338039 ES0158862005 ES0158862013 ES0173828031 ES0144212034 ES0144212000 ES0144212018 BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL 1.811,3471 1.812,3652 1.811,5838 23-01-15 1.812,6170 23-01-15 14.677.189,51 2.039.293,05 2.819 8 ES0179606001 ES0174403032 ES0138950037 ES0174404030 ES0111092039 ES0138983038 ES0184976035 ES0111098036 ES0174416034 ES0111099034 ES0183339037 ES0158287039 ES0111093003 ES0111093011 ES0111093029 ES0111014009 ES0173830037 ES0140848039 ES0124557002 ES0107487037 ES0140982036 BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANSABADELL INVERSION FIDEFONDO BASE FIDEFONDO PLUS FIDEFONDO PREMIER INVERSABADELL 10 INVERSABADELL 10 PREMIER INVERSABADELL 25 BASE INVERSABADELL 25 PLUS INVERSABADELL 25 PREMIER INVERSABADELL 50 BASE INVERSABADELL 50 PLUS INVERSABADELL 50 PREMIER INVERSABADELL 70 BASE INVERSABADELL 70 PLUS INVERSABADELL 70 PREMIER SABADELL 90 CAPITAL BOLSA EURO 1 SABADELL 90 CAPITAL BOLSA EURO 2 SABADELL 90 CAPITAL BOLSA EURO 3 SABADELL AMÉRICA LATINA BOLSA SABADELL ASIA EMERGENTE BOLSA SABADELL BONOS ESPAÑA BASE SABADELL BONOS ALTO INTERÉS BASE SABADELL BONOS ALTO INTERÉS PLUS SABADELL BONOS ALTO INTERÉS PREMIER SABADELL BONOS EMERGENTES SABADELL BONOS ESPAÑA PLUS SABADELL BONOS ESPAÑA PREMIER SABADELL BONOS EURO SABADELL BONOS INTERNACIONAL BASE SABADELL BONOS INTERNACIONAL PLUS SABADELL BONOS INTERNACIONAL PREMIER SABADELL COMMODITIES SABADELL CORTO PLAZO EURO SABADELL DÓLAR FIJO SABADELL ESPAÑA BOLSA SABADELL ESPAÑA DIVIDENDO SABADELL ESTADOS UNIDOS BOLSA SABADELL EURO YIELD SABADELL EUROACCIÓN SABADELL EUROPA BOLSA SABADELL EUROPA EMERGENTE BOLSA SABADELL EUROPA VALOR SABADELL EVOLUCIÓN SABADELL FINANCIAL CAPITAL BASE SABADELL FINANCIAL CAPITAL PLUS SABADELL FINANCIAL CAPITAL PREMIER SABADELL FONDO DEPOSITO SABADELL FONDTESORO LARGO PLAZO SABADELL FUTURO 10 GAR. SABADELL FUTURO 15 GARANTIZADO SABADELL FUTURO GTZDO. 2014-XI SABADELL GARANTIA EXTRA 17, FI lunes, 26 de enero de 2015 Monday, 26 January 2015 7,2883 10,8805 11,1251 11,1264 11,1269 9,0285 9,0297 7,3126 10,9162 11,1828 11,1844 11,1849 9,1000 9,1013 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 243.242.031,18 87.553.693,77 430.773.464,64 135.727.797,65 10.459.825,76 90.127.180,91 19.964.884,05 7.911 421 17.117 792 7 3.902 116 8,9409 8,9420 8,9423 10,1043 10,3726 10,2019 9,1068 11,4534 18,2336 12,6956 12,7106 9,0292 9,0305 9,0309 10,1313 10,4094 10,2341 9,1102 11,9522 18,3258 12,7282 12,7434 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 40.365.238,04 8.265.600,60 2.380.977,21 25.404.205,97 26.092.141,16 31.995.540,69 13.327.921,07 25.534.076,97 48.550.437,21 5.552.054,20 885.951,65 2.659 46 1 311 315 388 1.086 4.534 1.789 167 6 14,7382 18,2360 18,2406 10,5628 13,6479 13,6535 15,0098 18,3283 18,3331 10,6117 13,8462 13,8506 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 112.454.716,32 17.595.842,25 1.916.663,46 164.720.252,39 12.978.821,96 5.419.853,56 15.736 99 1 5.358 786 26 9,4824 9,3969 15,6199 11,8653 16,6993 11,3042 18,3044 13,7157 4,0728 5,7956 9,9553 11,2156 11,7460 11,7594 11,6679 118,2164 8,5077 9,6544 11,4994 1,1655 9,4007 9,5564 9,4018 15,9162 11,9534 16,7220 11,3994 18,3691 13,8943 4,1333 5,8855 10,0421 11,2281 11,7686 11,7821 11,6690 118,2239 8,5095 9,6544 11,4995 1,1655 9,4334 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 17-12-14 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 5.137.074,74 368.618.184,02 128.465.874,61 213.113.781,53 106.734.844,26 143.485.671,70 69.871.136,43 120.304.843,51 56.949.477,97 2.100.145,51 90.960.213,54 39.359.282,85 6.559.570,04 799.755,75 2.662.397,56 330.322.628,92 279.555.541,60 4.932.889,05 2.936.029,34 2.678.635,93 17.140.354,64 273 3 17.282 7.896 4.867 18.065 12.677 18.149 14.431 382 16.593 1.598 341 6 1 5.458 15.370 248 93 182 1.023 11 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds Cód.ISIN ISIN Code SABADELL GARANTIZADO SELECCION II SABADELL GARANTIZADO SELECCION IV SABADELL GARANTIZADO SELECCION VI SABADELL GARANTIZADO SELECCION VII SABADELL GARANTIZADO SELECCIÓN I SABADELL GARANTÍA 130 ANIVERSARIO SABADELL GARANTÍA EXTRA 1 SABADELL GARANTÍA EXTRA 10 SABADELL GARANTÍA EXTRA 12 SABADELL GARANTÍA EXTRA 14 SABADELL GARANTÍA EXTRA 15 SABADELL GARANTÍA EXTRA 16 SABADELL GARANTÍA EXTRA 18 SABADELL GARANTÍA EXTRA 19 SABADELL GARANTÍA EXTRA 20 SABADELL GARANTÍA EXTRA 21 SABADELL GARANTÍA EXTRA 3 SABADELL GARANTÍA FIJA 10 SABADELL GARANTÍA FIJA 11 SABADELL GARANTÍA FIJA 12 SABADELL GARANTÍA FIJA 14 SABADELL GARANTÍA FIJA 15 SABADELL GARANTÍA FIJA 5 SABADELL GARANTÍA FIJA 6 SABADELL GARANTÍA FIJA 8 SABADELL GARANTÍA FIJA 9 SABADELL GARANTÍA SUPERIOR 3 SABADELL GARANTÍA SUPERIOR 4 SABADELL INTERES GARANTIZADO 1 SABADELL INTERES GARANTIZADO 5 SABADELL INTERÉS EURO 1 SABADELL INTERÉS EURO 3 SABADELL INVERSIÓN ÉTICA Y SOLIDARIA SABADELL JAPÓN BOLSA SABADELL PROGRESIÓN SABADELL PROGRESIÓN CARTERAS SABADELL PROGRESIÓN EURO SABADELL PROGRESIÓN INSTITUCIONAL SABADELL RENDIMIENTO SABADELL RENDIMIENTO CARTERAS SABADELL RENDIMIENTO EMPRESA SABADELL RENDIMIENTO EURO SABADELL RENDIMIENTO INSTITUCIONAL SABADELL RENDIMIENTO PYME SABADELL RENTABILIDAD OBJETIVO 2 SABADELL RENTAS 2 SABADELL RF MIXTA ESPAÑA BASE SABADELL RF MIXTA ESPAÑA PLUS SABADELL RF MIXTA ESPAÑA PREMIER SABADELL RV MIXTA ESPAÑA BASE SABADELL RV MIXTA ESPAÑA PLUS SABADELL RV MIXTA ESPAÑA PREMIER SABADELL SELECCIÓN ALFA 1 SABADELL SOLBANK BOLSA SABADELL SOLBANK PREMIUM CP SABADELL URQUIJO PATRIMONIO PRIVA 2 SABADELL URQUIJO PATRIMONIO PRIVA 5 ES0122075031 ES0115234033 ES0122076039 ES0168671032 ES0122074034 ES0175215039 ES0175221037 ES0175169004 ES0175090002 ES0114613005 ES0175091000 ES0175092008 ES0115231039 ES0175093006 ES0136786037 ES0178521037 ES0175168030 ES0175088006 ES0111094001 ES0175089004 ES0174377038 ES0174232035 ES0176093039 ES0144185032 ES0175086000 ES0175087008 ES0158285033 ES0175262031 ES0117015034 ES0138607033 ES0138843034 ES0161850039 ES0182543035 ES0174402034 ES0111096030 ES0182281008 ES0174376030 ES0174419038 ES0126544032 ES0107488001 ES0174435034 ES0173829039 ES0174418030 ES0174392037 ES0111147007 ES0158321036 ES0111145035 ES0111145001 ES0111145019 ES0111124030 ES0111124006 ES0111124014 ES0111187003 ES0158865032 ES0158866030 ES0161851037 ES0161847035 ES0184833038 ES0133551038 ES0138520038 ES0179393006 ES0114180039 ES0138596038 ES0124662034 ES0138943032 ES0114166038 ES0138602034 ES0113803037 ES0125624009 ES0184928036 ES0138216033 Depositario Depositary Precedente Previous Último Last Fecha Date Patrimonio Assets BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL 13,8279 18,0265 10,8502 17,6717 13,5882 12,2641 8,1934 11,7079 11,4030 12,4307 10,8884 10,6133 13,9755 10,3903 11,3286 13,2752 6,7816 11,3650 11,5340 12,4349 8,2096 9,1012 8,5654 8,8115 12,1496 11,9118 7,2185 11,5922 15,2453 12,9121 20,6571 19,7020 1.324,4607 1,9712 775,0749 10,5377 7,4533 7,1519 11,6707 10,2543 7,8608 9,2978 7,7764 7,7710 12,2264 8,4664 9,0369 9,0465 9,0537 11,5473 11,5604 13,8778 18,0292 10,8524 17,7017 13,6698 12,2669 8,1931 11,7511 11,5078 12,4693 10,9378 10,6765 13,9954 10,4522 11,3841 13,3075 6,7954 11,3658 11,5392 12,4408 8,2115 9,1014 8,5654 8,8114 12,1521 11,9110 7,2278 11,5917 15,2504 12,9121 20,6666 19,7114 1.331,1965 2,0479 775,0760 10,5375 7,4534 7,1519 11,6723 10,2558 7,8619 9,2994 7,7776 7,7720 12,2296 8,4665 9,0473 9,0570 9,0643 11,5921 11,6054 10,7673 26,7116 890,5947 22,2565 10,2397 10,8647 26,7388 890,7266 22,3455 10,3027 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 231.182.643,35 30.204.687,71 19.849.685,83 114.133.778,02 18.242.700,26 3.852 705 420 990 254 BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. 8,5650 986,4207 7,9281 7,3945 16,8353 570,7467 6,2822 1.251,9769 7,2814 1.065,1195 6,8637 5,5608 7,2305 8,1475 8,6125 986,4198 7,9445 7,4269 16,8552 582,4744 6,2601 1.252,1140 7,2832 1.068,0219 6,8651 5,5619 7,2332 8,1586 23-01-15 08-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 4.289.021,88 26.826.142,19 51.377.138,29 23.521.198,11 210.240.829,36 46.261.287,46 62.896.251,37 90.120.586,01 56.401.019,15 34.603.636,75 209.842.182,05 131.360.565,12 158.571.975,29 60.814.853,13 110 1.175 1.730 830 5.674 1.890 782 3.832 1.098 417 3.222 2.337 4.398 2.125 23-01-15 8.398.918,54 23-01-15 16.191.574,21 23-01-15 2.472.338,24 23-01-15 5.419.311,29 23-01-15 10.500.951,31 23-01-15 190.958.755,36 23-01-15 58.912.280,05 23-01-15 28.088.992,10 23-01-15 192.433.925,22 23-01-15 36.208.334,99 23-01-15 217.062.349,59 23-01-15 212.692.006,01 23-01-15 465.135.518,40 23-01-15 345.338.195,74 23-01-15 211.502.892,02 23-01-15 207.362.149,91 23-01-15 31.641.773,98 23-01-15 247.993.927,19 23-01-15 172.876.109,29 23-01-15 155.801.412,35 23-01-15 121.675.853,63 23-01-15 116.508.219,52 23-01-15 6.824.675,27 23-01-15 12.798.471,88 23-01-15 229.301.488,01 23-01-15 202.326.748,95 23-01-15 162.549.385,90 23-01-15 20.774.365,26 23-01-15 10.385.795,19 23-01-15 5.041.421,44 23-01-15 220.360.882,22 23-01-15 139.359.592,23 23-01-15 37.980.720,49 23-01-15 81.210.153,98 23-01-15 57.037.758,05 23-01-15 595.169,42 23-01-15 108.747.838,97 23-01-15 55.623.506,22 23-01-15 561.937.672,71 23-01-15 389.438.390,44 23-01-15 375.612.485,16 23-01-15 2.052.188.034,57 23-01-15 637.546.564,34 23-01-15 172.604.254,26 23-01-15 16.411.832,35 23-01-15 4.089.733,40 23-01-15 43.457.590,62 23-01-15 12.202.108,09 23-01-15 1.103.933,13 23-01-15 20.754.364,61 23-01-15 3.667.640,85 NºPartícipes Units 553 647 139 216 305 5.081 3.210 1.122 8.414 1.450 9.268 8.017 17.958 12.447 7.601 7.887 1.934 4.445 6.102 5.095 4.711 4.760 415 422 4.950 5.668 7.353 1.256 256 194 22.994 1.319 427 15.681 1.486 25 3 192 29.297 15.934 2.513 5 713 2.898 260 383 2.074 67 1 1.064 26 BARCLAYS WEALTH MANAG.ESPAÑA 30-70 INVERSION BARCLAYS GARANTIZADO BOLSA EEUU FONCAIXA I BOLSA ESPAÑA 2019, FI FONCAIXA I BOLSA ESPAÑA 2017, FI FONCAIXA I BOLSA ESPAÑOLA SELECCION FONCAIXA I BOLSA EUROPA FI FONCAIXA I BOLSA USA, FI FONCAIXA I BONOS CONSERVADOR, FI FONCAIXA I BONOS CORPORATIVOS, FI FONCAIXA I BONOS LARGO, FI FONCAIXA I DEUDA PUBLICA, FI FONCAIXA I ESPAÑA CORTO PLAZO, FI FONCAIXA I ESPAÑA RENTA FIJA 2019, FONCAIXA I ESPAÑA RENTA FIJA 2022,F lunes, 26 de enero de 2015 Monday, 26 January 2015 12 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds Cód.ISIN ISIN Code Depositario Depositary Precedente Previous Último Last FONCAIXA I EURIBOR PLUS, FI FONCAIXA I GARAN.GIGANTES MUNDIALES FONCAIXA I GARANT.BOLSA ZONA EURO 2 FONCAIXA I GARANT.BOLSA ZONA EURO,F FONCAIXA I GESTION 25, FI FONCAIXA I GESTION 50, FI FONCAIXA I GESTION RENTA FIJA, FI FONCAIXA I GESTION TOTAL, FI FONCAIXA I INFLACION PLUS, FI FONCAIXA I LIQUIDEZ, FI FONCAIXA I RENDIMIENTO EFECTIVO, FI FONCAIXA I RENTA 2015, FI FONCAIXA I RENTA FIJA 2016, FI FONCAIXA I RENTA FIJA 2018, FI FONCAIXA I TESORERIA, FI INVERTRES FONDO 1 PATRISA SEQUEFONDO ES0184846030 ES0138295037 ES0184824037 ES0184844035 ES0113422036 ES0110058031 ES0113802039 ES0114165030 ES0158322034 ES0113717005 ES0170456034 ES0113984001 ES0114025002 ES0118845009 ES0113986030 ES0156038038 ES0168812032 ES0132467038 BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. BARCLAYS BANK S.A.E. ES0138889037 ES0114146030 ES0118846007 ES0113455036 ES0145924033 ES0113855037 ES0110108034 ES0114129036 ES0159145004 ES0125629008 BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA 14,3529 13,6433 12,1618 13,7161 7,1463 14,5470 12,1317 7,7102 13,2654 9,3568 14,3847 13,6705 12,4598 13,8345 7,1454 14,6403 12,1319 7,7104 13,3149 9,3568 ES0138861036 ES0108929037 ES0113818001 ES0125459034 ES0110116037 ES0110101039 ES0114371034 ES0114277033 ES0110182039 ES0110098037 ES0110088038 ES0113925038 ES0147634036 ES0142332032 ES0113536009 ES0142451030 ES0147711032 ES0110122035 ES0134599036 ES0114132030 ES0113522009 ES0110001031 ES0159146002 ES0119176008 ES0114452032 ES0113276002 ES0114239033 ES0113278008 ES0114205034 ES0113752002 ES0176232033 ES0114341037 ES0114487038 ES0113203030 ES0113465001 ES0113994034 ES0110174036 ES0108926033 ES0162081030 ES0114026000 ES0130357009 ES0130358007 BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA 25,8928 22,5712 12,0691 14,6746 11,7666 7,4976 79,5212 305,6374 22,2836 8,1398 4,7348 13,7763 4,9507 1.229,6724 13,2137 1.508,2636 11,7985 17,1825 13,3816 12,7164 11,8237 13,4252 12,4151 11,8661 1.020,4742 10,3020 11,0618 10,8701 13,2111 10,6700 16,1475 71,9029 1.939,2767 189,1650 12,1902 17,3536 15,6870 14,9711 3,4707 11,1876 11,4636 11,3890 26,3012 23,0365 12,0202 15,0779 12,0474 7,6359 80,6569 313,3959 22,6598 8,2718 4,7498 13,9921 4,9559 1.268,2086 13,4638 1.529,3231 12,1773 17,8164 13,6424 12,7337 11,8233 13,4512 12,4647 11,9741 1.020,4502 10,3016 11,0612 10,8702 13,2299 10,6708 16,1586 73,3891 1.946,2928 189,5047 12,2367 17,3701 15,7509 15,0294 3,4791 11,1859 11,4709 11,3990 Fecha Date 8,5190 8,5202 23-01-15 6,7520 6,7520 23-01-15 8,5092 8,5536 23-01-15 9,3467 9,3896 23-01-15 6,9539 6,9792 23-01-15 7,2719 7,3259 23-01-15 6,8960 6,9004 23-01-15 6,9901 7,0756 23-01-15 10.447,0515 10.449,8001 23-01-15 5,5858 5,5859 23-01-15 6,1069 6,1069 23-01-15 6,1235 6,1241 23-01-15 5,9924 5,9952 23-01-15 6,9619 6,9672 23-01-15 891,8721 891,8661 23-01-15 11,6255 11,7483 23-01-15 19,0541 19,3080 23-01-15 8,9784 9,0250 23-01-15 Patrimonio Assets NºPartícipes Units 62.291.544,84 90.278.944,05 22.550.338,02 125.052.047,70 159.774.665,37 44.417.971,00 70.010.472,44 150.586.717,05 28.679.178,16 125.872.558,54 204.465.205,56 54.367.943,47 27.328.433,75 77.827.950,04 157.873.962,95 14.869.678,99 12.273.322,22 5.051.768,97 1.676 2.722 1.000 3.962 4.647 1.571 1.625 3.018 945 122 1.919 996 691 1.664 2.897 112 120 121 99.621.631,56 141.896.911,06 21.745.014,32 128.601.781,63 30.133.074,23 87.533.488,67 101.089.476,76 237.823.287,51 72.074.457,98 2.706.102,51 3.599 5.890 393 4.638 1.582 3.997 1.445 308 1.736 80 22-01-15 201.071.607,52 22-01-15 17.760.857,02 22-01-15 39.498.491,13 22-01-15 36.410.728,17 22-01-15 44.069.784,17 22-01-15 146.114.155,13 22-01-15 349.205.574,28 22-01-15 14.916.735,04 22-01-15 296.469.078,99 22-01-15 104.448.855,11 22-01-15 27.629.796,08 22-01-15 24.756.554,32 22-01-15 16.310.840,79 22-01-15 29.532.652,87 22-01-15 186.095.634,62 22-01-15 86.484.484,34 22-01-15 155.703.065,42 22-01-15 416.188.640,26 22-01-15 66.879.042,48 22-01-15 182.314.587,58 25-06-14 80.934.950,17 22-01-15 355.825.175,80 22-01-15 512.682.189,97 22-01-15 443.577.683,63 22-01-15 74.633.686,11 22-01-15 78.857.252,33 22-01-15 26.333.697,96 22-01-15 1.652.910.664,34 22-01-15 272.203.224,63 22-01-15 17.217.707,03 22-01-15 165.394.246,75 22-01-15 251.632.241,51 22-01-15 686.287.698,77 22-01-15 165.495.077,58 22-01-15 292.947.040,95 22-01-15 63.291.027,26 22-01-15 404.542.338,10 22-01-15 112.186.408,47 22-01-15 22.660.330,36 22-01-15 8.598.082,82 22-01-15 5.985.852,85 22-01-15 6.709.858,42 16.263 1.303 1.835 5.126 3.620 8.244 27.242 1.304 6.521 2.441 1.341 476 2.887 2.124 5.862 945 37.312 16.139 3.085 6.512 2.689 11.129 14.531 11.909 770 2.523 154 34.153 5.590 133 4.049 8.680 11.416 3.865 3.244 188 7.903 4.167 633 39 68 67 BBVA ASSET MANAGEMENT, S.A. BBVA PLAN RENTAS 2013 F BBVA PLAN RENTAS 2018 BBVA 100X95 EXPOSICION EUROPA BBVA 4 X 3 II BBVA 5-100 EUROSTOXX BBVA ACUMULACION EUROPA BBVA AHORRO BBVA AHORRO EMPRESAS BBVA AHORRO GARANTIA BBVA AUTOCANCELABLE DOBLE OPORT. BP, FI BBVA BOLSA BBVA BOLSA ASIA MF BBVA BOLSA CHINA BBVA BOLSA DESARROLLO SOSTENIGLE BBVA BOLSA EMERGENTES MF BBVA BOLSA EURO BBVA BOLSA EUROPA BBVA BOLSA EUROPA FINANZAS. BBVA BOLSA INDICE BBVA BOLSA INDICE EURO BBVA BOLSA INDICE JAPON BBVA BOLSA INDICE USA (CUBIERTO) BBVA BOLSA JAPON BBVA BOLSA LATAM BBVA BOLSA PLAN DIVIDENDO EUROPA BBVA BOLSA PLUS BBVA BOLSA TECNOLOG.Y TELECOM. BBVA BOLSA USA BBVA BOLSA USA (CUBIERTO) BBVA BONOS RENTAS III BBVA BONOS 2015 BBVA BONOS 2018 BBVA BONOS 2021 BBVA BONOS 2024 BBVA BONOS AHORRO PLUS II BBVA BONOS CASH BBVA BONOS CORE BP BBVA BONOS CORP. DURACION CUBIERTA BBVA BONOS CORP. LARGO PLAZO BBVA BONOS CORTO PLAZO GOBIERNO BBVA BONOS CORTO PLAZO PLUS BBVA BONOS DOLAR CORTO PLAZO BBVA BONOS DURACION BBVA BONOS DURACION FLEXIBLE BBVA BONOS ESPAÑA LARGO PLAZO BBVA BONOS EUSKOFONDO BBVA BONOS INTERNACIONAL FLEXIBLE BBVA BONOS L.P.FLEXIBLES BBVA BONOS LARGO PLAZO GOBIER.II BBVA BONOS PATRIMONIO BBVA BONOS PATRIMONIO II BBVA BONOS PATRIMONIO III lunes, 26 de enero de 2015 Monday, 26 January 2015 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 26-11-14 13 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds BBVA BONOS PATRIMONIO IV BBVA BONOS PATRIMONIO IX BBVA BONOS PATRIMONIO RENTAS I BBVA BONOS PATRIMONIO RENTAS II BBVA BONOS PATRIMONIO RENTAS III BBVA BONOS PATRIMONIO RENTAS VI BBVA BONOS PATRIMONIO V BBVA BONOS PATRIMONIO VI BBVA BONOS PATRIMONIO VII BBVA BONOS PATRIMONIO VIII BBVA BONOS PATRIMONIO X BBVA BONOS PATRIMONIO XI BBVA BONOS PATRIMONIO XII BBVA BONOS PATRIMONIO XIV BBVA BONOS PATRIMONIO XV BBVA BONOS PATRIMONIO XVI BBVA BONOS PATRIMONIO XVII BBVA BONOS PATRIMONIO XVIII BBVA BONOS PLAZO I BBVA BONOS PLAZO II BBVA BONOS PLAZO III BBVA BONOS PLAZO V BBVA BONOS PLAZO VII BBVA BONOS PLAZO VIII BBVA BONOS RENTAS I BBVA BONOS RENTAS II BBVA BONOS RENTAS V BBVA BONOS RENTAS VII BBVA BONOS VALOR RELATIVO BBVA CESTA GLOBAL BBVA CESTA GLOBAL II BBVA COMBINADO EUROPA BBVA COMBINADO EUROPA II BBVA COMBINADO EUROPA III BBVA COMBINADO EUROPA IV BBVA CONSOLIDACION DOBLE OPORT.BP BBVA CRECIMIENTO BOLSA BP BBVA CRECIMIENTO EUROPA BBVA CRECIMIENTO EUROPA DIVER.II BBVA CRECIMIENTO EUROPA DIVERS. BBVA DINERO FONDT. CORTO PLAZO BBVA DOBLE BENEFICIO BBVA EUROPA CONSOLIDADO BBVA EUROPA CONSOLIDADO II BBVA EUROPA OPTIMO BBVA FON-PLAZO 2014 J BBVA FON-PLAZO 2013 E BBVA FON-PLAZO 2013 F BBVA FON-PLAZO 2014 BBVA FON-PLAZO 2014 B BBVA FON-PLAZO 2014 C BBVA FON-PLAZO 2014 D BBVA FON-PLAZO 2014 E, FIN BBVA FON-PLAZO 2014 F BBVA FON-PLAZO 2014 G , FI BBVA FON-PLAZO 2014 H BBVA FON-PLAZO 2014 I BBVA FON-PLAZO 2015 BBVA FON-PLAZO 2015 B BBVA FON-PLAZO 2016 BBVA FON-PLAZO 2016 B BBVA FON-PLAZO 2016 C BBVA FON-PLAZO 2016 D BBVA FON-PLAZO 2016 E BBVA FON-PLAZO 2017 BBVA FON-PLAZO 2017 B BBVA FON-PLAZO 2018 BBVA FUSION CORTO PLAZO BBVA FUSION CORTO PLAZO II BBVA GESTION CONSERVADORA BBVA GESTION DECIDIDA BBVA GESTION PROTECCION 2020 BP lunes, 26 de enero de 2015 Cód.ISIN ISIN Code ES0130359005 ES0118847005 ES0118848003 ES0118849001 ES0118850009 ES0118853003 ES0159147000 ES0110008002 ES0159148008 ES0145927036 ES0116861008 ES0159149006 ES0110009000 ES0159150004 ES0159151002 ES0116862006 ES0116863004 ES0118854001 ES0114027008 ES0113819009 ES0115163000 ES0113553004 ES0159152000 ES0159153008 ES0114028006 ES0109998031 ES0116856032 ES0119177006 ES0113857033 ES0114300033 ES0114372032 ES0114226030 ES0125461030 ES0114175039 ES0113969036 ES0114229000 ES0113466009 ES0113817003 ES0114128038 ES0113753000 ES0113200036 ES0113821005 ES0110123033 ES0114151006 ES0113458030 ES0113538005 ES0114389036 ES0115164008 ES0142445008 ES0114099007 ES0113823001 ES0138704038 ES0113824009 ES0114364039 ES0113556007 ES0113856035 ES0113204038 ES0142444001 ES0114587001 ES0113959003 ES0113539003 ES0114588009 ES0169992007 ES0113927000 ES0114589007 ES0180662001 ES0115161004 ES0113467007 ES0159154006 ES0110178037 ES0113996039 ES0114097035 Monday, 26 January 2015 Depositario Depositary BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA Precedente Previous Último Last Fecha Date 11,3018 11,4900 10,9580 11,1386 10,9336 10,6373 11,3893 12,5673 11,3965 12,8186 11,8796 11,1561 11,9788 10,9940 10,9880 10,8758 10,7335 10,6390 11,3027 13,0657 11,4236 12,3008 10,9945 10,8445 11,2894 13,8700 12,9712 10,7681 11,2562 795,4947 1.091,5079 13,4981 9,8724 17,7529 12,2873 8,8135 13,7946 12,8612 12,5132 12,2948 1.469,7256 9,5436 9,3057 10,3334 11,5522 10,8098 1.128,4062 11,6723 10,8219 10,9418 10,8847 1.578,1583 10,8495 1.214,1882 10,7942 12,4777 1.278,6276 11,4346 11,2391 12,2328 11,6188 11,2768 11,6391 13,1606 11,4384 12,6101 13,1743 9,9823 9,9585 10,7824 6,7686 13,2013 11,3191 11,5166 10,9786 11,1664 10,9617 10,6756 11,4103 12,5898 11,4222 12,8483 11,8986 11,1826 12,0079 11,0226 11,0227 10,9147 10,7627 10,6968 11,3282 13,0918 11,4389 12,3313 11,0291 10,8832 11,3128 13,8976 13,0038 10,8008 11,2628 795,3800 1.091,4891 13,4981 9,8724 17,7639 12,2899 8,8135 14,0103 12,9841 12,6012 12,3957 1.469,7869 9,6266 9,3372 10,3534 11,5506 10,8098 1.131,0710 11,7027 10,8220 10,9419 10,8847 1.578,1578 10,8495 1.214,1912 10,7940 12,4777 1.278,6254 11,4365 11,2408 12,2350 11,6210 11,2836 11,6487 13,1756 11,4572 12,6361 13,2042 9,9821 9,9585 10,8338 6,8607 13,2553 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 10-09-14 26-11-14 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 26-11-14 22-01-15 22-01-15 23-07-14 23-07-14 22-01-15 22-01-15 23-07-14 23-07-14 10-09-14 26-11-14 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 Patrimonio Assets 22.521.087,72 169.864.783,41 56.352.165,54 65.185.657,80 75.096.451,15 225.167.285,87 37.641.011,99 111.394.727,52 48.752.999,11 428.446.677,64 891.080.394,88 148.060.234,47 341.246.676,72 123.265.182,47 368.826.201,57 303.021.149,67 283.943.272,24 156.439.596,57 20.578.032,66 85.351.528,26 47.667.174,10 22.600.465,20 47.591.332,23 60.807.833,94 20.929.709,79 136.346.576,60 114.507.315,43 37.253.943,54 22.030.375,04 106.774.448,62 33.053.301,06 58.899.139,39 48.412.147,32 61.402.939,83 38.041.135,27 4.070.668,38 15.366.840,23 60.467.193,69 48.380.886,22 109.375.164,62 173.924.056,41 11.704.832,83 90.921.783,38 27.902.524,81 62.458.343,95 20.756.356,39 89.605.860,33 39.326.766,30 9.200.315,95 7.284.783,74 2.470.202,68 94.285.441,44 8.792.633,21 71.784.434,27 1.835.080,89 41.000.281,03 7.781.522,70 231.722.107,94 48.684.613,10 97.598.182,44 39.112.106,34 26.819.717,69 138.915.106,29 161.656.629,64 162.810.774,63 225.572.318,54 96.419.084,98 171.466.886,80 99.803.302,88 264.668.670,69 84.974.987,54 53.352.460,77 14 NºPartícipes Units 151 1.525 916 1.113 1.353 5.365 289 1.432 651 9.626 14.770 2.748 5.278 2.198 6.472 5.196 7.746 3.872 832 3.567 3.166 1.456 3.053 3.231 588 3.576 4.577 1.657 219 6.667 1.777 3.243 2.236 2.622 1.949 132 271 2.414 2.324 4.174 8.378 326 5.044 1.701 3.378 724 3.417 2.449 211 319 72 3.666 380 3.092 91 1.392 269 7.239 1.351 4.140 1.769 734 4.512 5.717 2.776 4.398 3.026 8.237 4.611 18.203 6.564 1.039 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds BBVA GLOBAL AUTOCANCELABLE BP BBVA INVERSION EUROPA BBVA INVERSION EUROPA II BBVA MEJORES IDEAS (CUBIERTO) MF BBVA MI INVERSION BOLSA BBVA MULTIACTIVO CONSERVADOR BBVA MULTIACTIVO DECIDIDO BBVA MULTIACTIVO MODERADO BBVA OPORTUNIDAD 5X3 BBVA OPORTUNIDAD ACCIONES II BBVA OPORTUNIDAD ACCIONES III BBVA OPORTUNIDAD ACCIONES IV BBVA OPORTUNIDAD EUROPA GARANT. BBVA PLAN RENTAS 2013 G BBVA PLAN RENTAS 2014 B BBVA PLAN RENTAS 2014 C BBVA PLAN RENTAS 2014 D BBVA PLAN RENTAS 2014 E BBVA PLAN RENTAS 2014 F BBVA PLAN RENTAS 2014 G BBVA PLAN RENTAS 2014 H BBVA PLAN RENTAS 2014 I BBVA PLAN RENTAS 2014 J BBVA PLAN RENTAS 2014 K BBVA PLAN RENTAS 2014 L BBVA PLAN RENTAS 2014 M BBVA PLAN RENTAS 2014 N BBVA PLAN RENTAS 2015 BBVA PLAN RENTAS 2015 B BBVA PLAN RENTAS 2016 BBVA PLAN RENTAS 2016 B BBVA PLAN RENTAS 2016 C BBVA PLAN RENTAS 2016 D BBVA PLAN RENTAS 2016 E BBVA PLAN RENTAS 2017 BBVA PLAN RENTAS 2017 B BBVA RANKING BBVA RANKING II BBVA RENDIMIENTO EUROPA II, FI BBVA RENDIMIENTO EUROPA III BBVA RENDIMIENTO EUROPA IV BBVA RENDIMIENTO EUROPA V BBVA RENDIMIENTO EUROPA VI BBVA RENDIMIENTO EUROPA VII BBVA RENDIMIENTO EUROPA VIII BBVA RENDIMIENTO MULTIPLE 21 BBVA RENTABILIDAD EUROPA GARANT. II BBVA RENTABILIDAD EUROPA GARANTIZAD BBVA RENTABILIDAD RENOVABLE BBVA REVALORIZACION EUROPA BBVA REVALORIZACION EUROPA II BBVA SELECCION BOLSA BBVA SELECCION BOLSA II BBVA SELECCION EMPRESAS PLUS BP BBVA SELECCION ENERGIA BBVA SOLIDARIDAD BBVA SOLIDEZ VII BBVA SOLIDEZ VIII BP BBVA SOLIDEZ X BP BBVA SOLIDEZ XI BP, FI BBVA SOLIDEZ XII BP BBVA SOLIDEZ XIV BP BBVA SOLIDEZ XV BP BBVA SOLIDEZ XVI BP BBVA SOLIDEZ XVII BP BBVA SOLIDEZ XVIII BP FONDO DE PERMANENCIA FONDO LIQUIDEZ HERCULES PATRIMONIO LEASETEN RENTA FIJA CORTO METROPOLIS RENTA lunes, 26 de enero de 2015 Cód.ISIN ISIN Code Depositario Depositary Precedente Previous Último Last ES0113825006 ES0113554002 ES0113854030 ES0141754038 ES0119178004 ES0114207030 ES0113988036 ES0113555009 ES0113535001 ES0113826004 ES0113827002 ES0113828000 ES0114211008 ES0110000033 ES0108930035 ES0108931033 ES0177865039 ES0108932031 ES0169986033 ES0147709036 ES0169987031 ES0113425039 ES0113426037 ES0138490034 ES0169988039 ES0147629036 ES0133764037 ES0133765000 ES0114455035 ES0113428033 ES0116855034 ES0133766008 ES0133767006 ES0113429007 ES0133768004 ES0125465031 ES0110167030 ES0115162002 ES0110187038 ES0133769002 ES0133770000 ES0133771008 ES0133772006 ES0133773004 ES0133774002 ES0133775009 ES0114142039 ES0108934003 BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA 8,5227 10,1179 10,7772 7,1671 10,2158 10,5486 751,0054 11,3717 11,2772 9,7682 9,8021 9,9973 11,5932 12,3098 12,0548 11,9547 8,6513 11,9376 12,0150 9,9596 11,9985 12,0428 12,1172 920,8504 12,0061 10,1902 12,1748 10,9258 1.253,7094 12,8722 13,6637 11,1521 11,1967 12,7235 11,4762 13,4650 12,8577 10,8313 12,2782 10,9838 10,9411 10,6110 10,5550 10,4590 10,2139 10,0485 9,3058 11,5503 8,5227 10,1179 10,7772 7,2478 10,3801 10,5586 757,2601 11,4200 11,3220 9,8069 9,8992 10,0844 11,6856 12,3098 12,0548 11,9544 8,6511 11,9376 12,0150 9,9596 11,9985 12,0425 12,1172 920,8520 12,0061 10,1900 12,1748 10,9261 1.253,7831 12,8762 13,6663 11,1579 11,2060 12,7366 11,4960 13,4920 12,8577 10,8299 12,3577 11,0730 11,0451 10,7403 10,6918 10,5332 10,3256 10,1616 9,4782 11,7406 ES0110091032 ES0109995037 ES0114189006 ES0113957031 ES0113552030 ES0116859002 ES0116860000 ES0114279039 ES0110010008 ES0110011006 ES0110012004 ES0110013002 ES0110014000 ES0110015007 ES0110016005 ES0110017003 ES0110006006 ES0110018001 ES0147609038 ES0137987006 ES0144083039 ES0158022030 ES0162819033 BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA 9,2391 10,9822 13,1803 13,3267 12,8207 11,0863 10,1455 900,1944 10,8826 10,9984 11,2438 11,2118 11,2012 11,1644 11,2704 11,2297 12,3423 11,7476 15,1175 10,9036 11,4651 9,4033 15,7123 9,2433 11,1047 13,4402 13,3739 12,8450 11,1462 10,2316 904,2715 10,8826 10,9984 11,2438 11,2117 11,2012 11,1641 11,2726 11,2305 12,3460 11,7512 15,1506 10,9036 11,4651 9,4033 15,8388 Monday, 26 January 2015 Fecha Date Patrimonio Assets 23-07-14 6.274.171,59 23-07-14 5.474.443,01 23-07-14 8.279.431,82 22-01-15 26.301.281,66 22-01-15 48.155.316,92 22-01-15 338.038.372,32 22-01-15 158.036.905,13 22-01-15 1.422.523.485,12 22-01-15 29.856.111,13 22-01-15 36.271.980,33 22-01-15 52.068.018,70 22-01-15 92.482.352,19 22-01-15 200.450.812,82 08-01-14 10.333.884,34 23-07-14 15.612.684,03 10-09-14 8.490.367,38 10-09-14 6.446.513,94 22-01-15 13.927.564,53 23-07-14 6.671.681,48 23-07-14 7.182.028,90 23-07-14 5.879.145,12 10-09-14 15.006.410,16 22-01-15 8.206.565,81 23-07-14 10.411.210,00 23-07-14 5.231.962,73 10-09-14 18.964.177,98 23-07-14 8.090.889,66 22-01-15 16.632.896,04 22-01-15 101.142.391,95 22-01-15 143.708.483,24 22-01-15 150.208.603,36 22-01-15 20.424.568,69 22-01-15 36.327.400,60 22-01-15 76.290.713,59 22-01-15 44.184.811,51 22-01-15 86.015.496,27 22-01-15 111.673.608,69 22-01-15 32.131.130,49 22-01-15 86.809.734,30 22-01-15 94.552.170,70 22-01-15 64.719.542,37 22-01-15 123.244.712,10 22-01-15 169.044.960,87 22-01-15 309.952.698,57 22-01-15 489.410.120,95 22-01-15 265.974.038,72 22-01-15 167.281.885,84 22-01-15 14.653.042,36 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 23-07-14 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 264.977.597,98 138.823.847,09 19.092.568,72 26.508.580,33 45.126.073,75 16.140.666,05 10.898.371,88 12.386.370,36 33.646.543,64 11.919.110,55 39.524.905,72 66.496.723,03 24.486.715,45 118.068.170,55 197.245.480,72 75.990.943,40 318.413.564,88 147.895.616,39 5.848.365,63 3.907.932,49 10.360.149,43 16.172.456,56 13.593.437,79 15 NºPartícipes Units 182 274 479 880 884 14.879 11.056 64.433 1.521 1.657 1.929 2.804 5.582 402 740 445 433 701 374 301 304 826 336 527 218 772 315 536 3.031 4.133 4.998 548 891 2.733 737 3.263 5.969 1.768 3.124 2.778 2.475 4.377 5.603 9.686 14.792 7.700 6.477 234 409 5.468 829 1.469 2.926 382 395 406 680 113 381 632 223 897 2.512 518 2.727 1.339 124 168 104 102 115 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds MULTIACTIVO GLOBAL QUALITY BRIC QUALITY CARTERA CONSERVADORA BP QUALITY CARTERA DECIDIDA BP QUALITY CARTERA MODERADA BP QUALITY COMMODITIES QUALITY SELECCION EMERGENTES QUALITY VALOR UNNIM GARANTIT 10 UNNIM GARANTIT 11 UNNIM GARANTIT 12 UNNIM GARANTIT 13 UNNIM GARANTIT 4 UNNIM GARANTIT 5 UNNIM GARANTIT 6 UNNIM GARANTIT 7 UNNIM GARANTIT 8 UNNIM GARANTIT 9 Cód.ISIN ISIN Code ES0164977037 ES0172272033 ES0172273007 ES0157663008 ES0172242002 ES0172243000 ES0172262000 ES0114122031 ES0182135006 ES0182136004 ES0182137002 ES0182138000 ES0125129009 ES0125130007 ES0125131005 ES0125132003 ES0125133001 ES0125134009 Depositario Depositary BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA Precedente Previous 756,9817 10,4644 10,9475 11,0340 11,8157 7,8783 11,3240 708,0409 11,1682 11,3003 11,2688 11,4951 11,9371 11,8294 12,8310 11,6673 11,2292 11,6597 Último Last 762,4233 10,5218 10,9570 11,1197 11,8613 8,0513 11,5210 709,9136 11,1704 11,3075 11,2823 11,5164 11,9371 11,8294 12,8375 11,6673 11,2271 11,6640 Fecha Date Patrimonio Assets 22-01-15 20.646.989,43 22-10-14 7.218.603,95 22-01-15 404.046.154,87 22-01-15 387.267.619,58 22-01-15 1.906.605.907,46 22-01-15 3.004.517,97 22-01-15 9.674.446,15 22-01-15 126.302.145,50 22-01-15 12.823.221,89 22-01-15 6.086.503,20 22-01-15 8.054.716,18 22-01-15 10.955.393,40 23-07-14 3.361.011,23 23-07-14 3.875.955,28 22-01-15 18.700.240,22 22-01-15 15.929.898,60 22-01-15 37.121.150,37 22-01-15 58.780.242,65 NºPartícipes Units 149 240 4.289 6.677 23.751 146 216 6.614 651 489 548 582 91 59 405 340 1.009 1.442 BELGRAVIA CAPITAL BELGRAVIA EPSILON ES0114353032 SANTANDER INVESTMENT 2.034,7132 2.057,3064 23-01-15 37.734.131,15 537 23-01-15 1.357.348.579,26 23-01-15 325.474.991,29 23-01-15 59.231.823,95 23-01-15 1.166.265.859,93 23-01-15 47.573.772,72 23-01-15 82.007.946,91 23-01-15 382.682.548,22 23-01-15 491.747.873,10 13.149 4.601 110 11.689 1.461 1.685 1.665 588 BESTINVER GESTION BESTINFOND BESTINVER BOLSA BESTINVER GRANDES COMPAÑIAS BESTINVER INTERNACIONAL BESTINVER MIXTO BESTINVER MIXTO INTERNACIONAL BESTINVER RENTA BESTVALUE ES0114673033 ES0147622031 ES0114561006 ES0114638036 ES0114664032 ES0114618038 ES0114675038 ES0114579008 SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT 161,0410 49,5534 160,1832 34,4812 26,0117 8,5929 11,9660 148,6281 162,6026 49,5890 161,9105 34,8753 26,0216 8,6567 11,9787 150,0549 BMN GESTION DE ACTIVOS CAJAGRANADA GARANTIZADO MES A MES ES0159183005 CECABANK, S.A. 10,3672 10,3672 08-08-14 1.452.617,20 209 BNP PARIBAS GESTIÓN DE INVERSIONES BETA DEUDA FONDT.LARGO PLAZO BNP PARIBAS BOLSA ESPAñOLA BNP PARIBAS CAAP EQUILIBRADO BNP PARIBAS CAAP MODERADO BNP PARIBAS DIVERSIFIED BNP PARIBAS EURO BNP PARIBAS GLOBAL DINVER BNP PARIBAS RENTA FIJA CORTO PLAZO COMPROMISO FONDO ETICO SEGUNDA GENERACION RENTA ES0114671037 ES0125471039 ES0171955034 ES0171954037 ES0118581034 ES0125472037 ES0160615037 ES0150037036 ES0121091039 ES0175426032 BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. 16,8678 19,0576 16,0889 11,0421 10,2274 9,6293 11,6229 897,7546 5,9193 8,2500 16,8414 19,1148 16,3169 11,1318 10,3566 9,6315 11,7846 898,0100 5,9693 8,2889 23-01-15 23-01-15 22-01-15 22-01-15 22-01-15 23-01-15 22-01-15 23-01-15 22-01-15 22-01-15 45.372.816,06 70.182.503,28 68.392.485,79 41.483.994,21 28.633.632,94 58.974.511,27 35.497.562,96 47.553.637,74 8.995.039,66 35.656.608,67 114 924 965 732 184 151 101 778 146 108 ES0138039039 ES0164713002 ES0138078037 ES0138598034 ES0138514031 ES0182037038 ES0138386034 ES0138666039 ES0137813004 ES0122065032 ES0147496030 ES0164584007 ES0164714000 ES0137939031 ES0164525000 ES0138079035 ES0138657038 ES0140896038 ES0122066030 ES0138054038 ES0138588035 ES0138021003 ES0138055035 ES0137909000 ES0164834006 ES0182038036 ES0127073031 ES0138539038 CAJA ESPAñA DE INVERSIONES,CAMP CAJA ESPAÑA DE INV. SALAMANCA Y SORIA CAJA ESPAñA DE INVERSIONES,CAMP CAJA ESPAñA DE INVERSIONES,CAMP CAJA ESPAñA DE INVERSIONES,CAMP CAJA ESPAñA DE INVERSIONES,CAMP CAJA ESPAñA DE INVERSIONES,CAMP BANKIA, S.A BANKIA, S.A CAJA ESPAñA DE INVERSIONES,CAMP CAJA ESPAÑA DE INV. SALAMANCA Y SORIA CAJA ESPAñA DE INVERSIONES,CAMP CAJA ESPAÑA DE INV. SALAMANCA Y SORIA CAJA ESPAñA DE INVERSIONES,CAMP CAJA ESPAñA DE INVERSIONES,CAMP CAJA ESPAñA DE INVERSIONES,CAMP CAJA ESPAñA DE INVERSIONES,CAMP CAJA ESPAÑA DE INV. SALAMANCA Y SORIA CAJA ESPAñA DE INVERSIONES,CAMP CAJA ESPAñA DE INVERSIONES,CAMP BANCO DE CASTILLA CAJA ESPAÑA DE INV. SALAMANCA Y SORIA CAJA ESPAñA DE INVERSIONES,CAMP CAJA ESPAÑA DE INV. SALAMANCA Y SORIA CAJA ESPAÑA DE INV. SALAMANCA Y SORIA CAJA ESPAñA DE INVERSIONES,CAMP CAJA ESPAÑA DE INV. SALAMANCA Y SORIA CAJA ESPAñA DE INVERSIONES,CAMP 90,9944 61,9534 68,0674 75,7086 87,2633 77,7463 91,1507 65,9683 72,7307 84,3729 10,5114 71,7068 68,6184 69,2317 61,3879 67,6056 110,9886 9,5044 109,5941 67,7738 100,9254 64,2678 88,4252 62,5051 70,4830 84,5176 8,3001 76,5950 91,0120 62,0667 68,1044 75,7895 87,3222 77,7457 91,1845 66,6885 72,7303 84,7541 10,6722 71,7089 68,6196 69,2337 61,3562 67,5671 111,0721 9,5049 109,4323 67,7895 101,1899 64,5395 88,5489 62,7647 70,5050 84,5327 8,2822 76,8299 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 22-01-15 22-01-15 22-01-15 29-12-14 22-01-15 22-01-15 21-01-15 21-01-15 21-01-15 03-12-13 21-01-15 21-01-15 22-01-15 21-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 21-01-15 22-01-15 24.118.876,42 83.622.354,46 32.556.015,42 24.067.267,93 52.517.530,35 117.481.666,37 46.435.653,60 6.678.191,36 7.142.975,06 19.827.316,47 24.451.275,53 33.073.756,78 39.577.232,09 57.127.242,37 184.585,12 103.146.071,08 9.839.458,48 24.281.032,12 69.459.465,67 2.078.133,08 165.441.574,24 16.190.508,50 70.435.831,38 72.976.760,00 68.798.442,89 203.556.674,68 11.612.076,42 76.143.158,71 1.037 4.010 1.765 1.384 2.367 5.064 2.285 535 409 431 1.137 1.492 1.803 2.610 5 6.710 529 935 2.690 154 1.257 725 2.960 2.662 3.508 7.602 597 3.720 CAJA ESPAñA FONDOS FONDESPAÑA BOLSA AMERICANA GARANT. FONDESPAÑA BOLSA EUROPEA GAR. FONDESPAÑA BOLSA EUROPEA GARANT.2 FONDESPAÑA BOLSA EUROPEA GARANT.3 FONDESPAÑA BOLSA INTERNAC. GARANT. FONDESPAÑA CONSOLIDA 1 FONDESPAÑA CONSOLIDA 2 FONDESPAÑA DINAMICO FONDESPAÑA DOLAR GARANTIZADO FONDESPAÑA DUERO DIVISA FONDESPAÑA DUERO RENTA V. EUROPA FONDESPAÑA GARANT.RENTA FIJA 3 FONDESPAÑA GARANTIZADO RENTA FIJA 4 FONDESPAÑA GESTION ACTIVA GAR.4 FONDESPAÑA PREMIER FONDESPAÑA-DUERO ALTERNATIVA CP FONDESPAÑA-DUERO ALTERNATIVO PLUS FONDESPAÑA-DUERO DEPOSITO FONDESPAÑA-DUERO DOLAR GARANT. FONDESPAÑA-DUERO FONDT.C.P. FONDESPAÑA-DUERO FONDTESORO L. P. FONDESPAÑA-DUERO GAR.RV IV/2020 FONDESPAÑA-DUERO GARA. R.F VII/2017 FONDESPAÑA-DUERO GARAN.RF IMPULSO FONDESPAÑA-DUERO GARANT. R.F 1/2016 FONDESPAÑA-DUERO GARANT.R.F. 5 FONDESPAÑA-DUERO GLOBAL MACRO FONDESPAÑA-DUERO HORIZ.2019 lunes, 26 de enero de 2015 Monday, 26 January 2015 16 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds Cód.ISIN ISIN Code Depositario Depositary Precedente Previous Último Last Fecha Date Patrimonio Assets NºPartícipes Units FONDESPAÑA-DUERO HORIZONTE 2018 FONDESPAÑA-DUERO MONETARIO FONDESPAÑA-DUERO PREMIER RENT.FIJA FONDESPAÑA-DUERO R.V.ESPAÑOLA FONDESPAÑA-DUERO RENTA FIJA ESTATAL FONDESPAÑA-DUERO RENTA FIJA MIXTA FONDESPAÑA-DUERO RF LP FONDUERO ACCIONES GARANTIZADO FONDUERO CAPITAL GARANTIZADO 4 FONDUERO CAPITAL GARANTIZADO 9 FONDUERO EUROBOLSA GARANTIZADO FONDUERO EUROPEO GARANTIZADO ES0138562030 ES0138891033 ES0138679032 ES0138628039 ES0164494009 CAJA ESPAÑA DE INV. SALAMANCA Y SORIA CAJA ESPAÑA DE INV. SALAMANCA Y SORIA CAJA ESPAÑA DE INV. SALAMANCA Y SORIA CAJA ESPAÑA DE INV. SALAMANCA Y SORIA CAJA ESPAÑA DE INV. SALAMANCA Y SORIA 379,2923 1.215,1508 374,4793 385,6401 66,4208 380,1512 1.215,2611 374,8073 392,1367 66,4332 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 28.160.259,14 71.647.708,47 6.741.802,53 40.048.522,73 57.765.826,07 1.415 3.841 167 2.019 1.966 ES0175858036 ES0138656030 ES0138522034 ES0138563038 ES0138567039 ES0138568037 ES0141225039 CAJA ESPAÑA DE INV. SALAMANCA Y SORIA CAJA ESPAñA DE INVERSIONES,CAMP CAJA ESPAÑA DE INV. SALAMANCA Y SORIA CAJA ESPAÑA DE INV. SALAMANCA Y SORIA CAJA ESPAÑA DE INV. SALAMANCA Y SORIA CAJA ESPAÑA DE INV. SALAMANCA Y SORIA CAJA ESPAÑA DE INV. SALAMANCA Y SORIA 14,2294 106,4346 389,6298 476,5389 381,6367 409,4149 377,8816 14,2983 106,6712 389,7575 477,0575 383,1280 410,3161 377,8850 22-01-15 22-01-15 21-01-15 21-01-15 21-01-15 21-01-15 03-12-13 31.313.759,89 72.562.806,83 70.334.969,10 10.449.750,98 50.261.444,10 74.803.313,23 9.664.940,81 1.703 1.385 3.578 575 2.306 3.315 502 ES0115426035 ES0115442032 ES0118508003 ES0119486001 ES0119487009 ES0164375000 ES0118509001 ES0157327000 ES0118510009 ES0115531032 ES0115443030 ES0115359038 ES0109221038 ES0114887039 ES0142547035 ES0119488007 ES0114988035 ES0122708037 ES0115532030 ES0114986039 ES0138885035 CAIXA DE CREDIT DELS ENGINYERS CAIXA DE CREDIT DELS ENGINYERS CAIXA DE CREDIT DELS ENGINYERS CAIXA DE CREDIT DELS ENGINYERS CAIXA DE CREDIT DELS ENGINYERS CAIXA DE CREDIT DELS ENGINYERS CAIXA DE CREDIT DELS ENGINYERS CAIXA DE CREDIT DELS ENGINYERS CAIXA DE CREDIT DELS ENGINYERS CAIXA DE CREDIT DELS ENGINYERS CAIXA DE CREDIT DELS ENGINYERS CAIXA DE CREDIT DELS ENGINYERS CAIXA DE CREDIT DELS ENGINYERS CAIXA DE CREDIT DELS ENGINYERS CAIXA DE CREDIT DELS ENGINYERS CAIXA DE CREDIT DELS ENGINYERS CAIXA DE CREDIT DELS ENGINYERS CAIXA DE CREDIT DELS ENGINYERS CAIXA DE CREDIT DELS ENGINYERS CAIXA DE CREDIT DELS ENGINYERS CAIXA DE CREDIT DELS ENGINYERS 7,6108 10,9595 110,1564 7,4058 7,0673 7,7854 102,8674 6,9643 102,6330 9,1983 6,0533 9,1202 11,3792 912,8186 6,3322 99,5855 6,3917 8,3815 704,9500 12,7942 12,4392 7,6116 10,9577 110,2777 7,4140 7,0741 7,7940 103,2957 7,0147 103,4131 9,2067 6,1300 9,4028 11,6313 913,3535 6,3643 99,9015 6,5369 8,4849 707,2334 12,9484 12,5452 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 25.878.879,99 28.552.646,57 44.365.344,84 30.456.221,91 21.003.557,88 54.511.977,00 13.385.762,75 26.251.416,61 13.778.304,02 5.688.019,47 14.486.637,95 23.453.331,76 17.736.291,60 12.128.493,47 10.426.246,15 4.611.384,11 50.731.931,56 22.769.761,90 12.172.354,68 22.376.884,10 77.225.319,74 1.027 950 1.565 1.134 913 1.900 738 1.088 507 239 1.020 1.125 1.325 526 508 131 2.438 1.350 271 1.454 3.397 ES0115466031 ES0115467039 ES0164731038 ES0115310031 ES0115477038 ES0115396030 ES0164734032 ES0115304034 ES0114812037 ES0115468037 ES0115489033 ES0114928031 ES0115469035 ES0115463038 ES0115487037 ES0114891031 ES0125112039 ES0147428009 ES0115312037 ES0164735039 ES0114890033 ES0164733034 ES0164732036 ES0115311039 ES0115476030 ES0114984034 ES0114888037 ES0140611007 ES0114948039 ES0115478036 ES0114889035 ES0119489005 ES0157328008 ES0158674004 ES0147396008 ES0147412003 CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO CAJA LABORAL POPULAR COOP.CTO 10,8929 20,9266 8,8768 9,9320 9,6632 6,1808 6,5088 8,5821 7,0848 12,4928 1.169,3033 9,0600 14,6587 8,6048 14,9585 9,5487 12,8378 11,5043 9,2403 7,3217 11,5642 7,3800 7,5368 7,2676 9,4041 10,6900 9,1043 6,4651 7,5906 10,7254 10,5379 7,0526 7,2546 7,2180 11,1037 11,2729 10,8933 21,0605 8,8948 9,9648 9,7045 6,2522 6,5552 8,6152 7,2645 12,6382 1.169,3088 9,1679 14,7094 8,6232 14,9591 9,5486 12,8464 11,4939 9,3225 7,3224 11,5681 7,3808 7,5381 7,2676 9,4081 10,6953 9,1047 6,4658 7,5905 10,7255 10,5431 7,1244 7,4209 7,3247 11,1028 11,2717 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 24.105.133,64 43.188.389,73 31.414.693,08 36.478.772,61 22.101.581,59 5.574.289,29 14.775.851,00 8.623.883,55 29.719.787,69 7.647.111,16 35.840.761,85 3.983.689,14 29.218.893,85 2.419.708,95 32.762.266,05 64.043.992,39 7.183.900,98 7.752.571,63 4.570.341,99 43.383.121,63 98.606.054,66 31.980.150,09 12.119.784,59 24.598.369,89 16.412.831,88 61.267.252,90 45.291.018,90 37.707.076,37 66.935.531,49 150.697.332,75 60.060.047,15 268.015.175,20 13.484.561,35 105.647.715,92 21.149.763,28 27.980.602,73 2.123 3.489 2.500 2.989 1.992 463 1.659 722 2.676 1.142 2.743 738 2.349 170 1.220 3.023 322 302 227 311 4.198 1.540 605 1.473 1.148 3.059 2.522 1.846 2.520 6.651 3.033 10.642 514 3.550 581 853 CAJA INGENIEROS GESTION CAJA INGENIEROS 2015 2E GARANTIZADO CAJA INGENIEROS 2015 GARANTIZADO CAJA INGENIEROS 2016 2E GARANTIZADO CAJA INGENIEROS 2016 GARANTIZADO CAJA INGENIEROS 2017 2E GARANTIZADO CAJA INGENIEROS 2017 GARANTIZADO CAJA INGENIEROS 2018 INFLACIÓN GARA CAJA INGENIEROS 2019 BOLSA EUROPA G CAJA INGENIEROS 2019 IBEX GARANTIZA CAJA INGENIEROS A. GARANTIZADO CAJA INGENIEROS BOLSA EURO PLUS CAJA INGENIEROS BOLSA USA CAJA INGENIEROS EMERGENTES CAJA INGENIEROS FONDT.CORTO PLAZ CAJA INGENIEROS GESTION ALTERNAT CAJA INGENIEROS GESTION DINAMICA CAJA INGENIEROS GLOBAL CAJA INGENIEROS IBERIAN EQUITY CAJA INGENIEROS PREMIER CAJA INGENIEROS RENTA FONEGIN ISR CAJA LABORAL GESTION CAJA LABORAL AHORRO CAJA LABORAL BOLSA CAJA LABORAL BOLSA GAR. CAJA LABORAL BOLSA GARANT. IX CAJA LABORAL BOLSA GARANT. VI CAJA LABORAL BOLSA JAPON CAJA LABORAL BOLSA UNIVERSAL CAJA LABORAL BOLSA USA CAJA LABORAL BOLSAS EUROPEAS CAJA LABORAL CRECIMIENTO CAJA LABORAL DINERO CAJA LABORAL MERCADOS EMERGENT CAJA LABORAL PATRIMONIO CAJA LABORAL RENDIMIENTO CAJA LABORAL RENTA CAJA LABORAL RENTA ASEGURADA I CAJA LABORAL RENTA ASEGURADA IV CAJA LABORAL RENTA ASEGURADA V CAJA LABORAL RENTA FIJA A LARGO CAJA LABORAL RENTA FIJA EURO CAJA LABORAL RENTA FIJA GAR. III CAJA LABORAL RENTA FIJA GARAN. VIII CAJA LABORAL RENTA FIJA GARAN. X CAJA LABORAL RENTA FIJA GARAN. XII CAJA LABORAL RENTA FIJA GARAN.XI CAJA LABORAL RENTA FIJA GARANT, V CAJA LABORAL RENTA FIJA GARANT, VI CAJA LABORAL RENTA FIJA GARANT, VII CAJA LABORAL RF GARANTIZADO 1 CAJA LABORAL RF GARANTIZADO II CAJA LABORAL RF GARANTIZADO IX CAJA LABORAL SELEK BASE CAJA LABORAL SELEK EXTRAPLUS CAJA LABORAL SELEK PLUS IK RENDIMIENTO 10 IK RENDIMIENTO SEGURO II lunes, 26 de enero de 2015 Monday, 26 January 2015 17 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds IK RENTA FIJA GARANTIZADO VI IK TRIPLE 5 PLUS GARANTIZADO IK TRIPLE 6 GARANTIZADO Cód.ISIN ISIN Code Depositario Depositary Precedente Previous Último Last Fecha Date Patrimonio Assets NºPartícipes Units ES0125164030 CAJA LABORAL POPULAR COOP.CTO ES0125166035 CAJA LABORAL POPULAR COOP.CTO ES0149043038 CAJA LABORAL POPULAR COOP.CTO 10,0576 10,3240 11,1307 10,0580 23-01-15 10,3349 23-01-15 11,1308 23-01-15 15.794.922,69 13.776.498,16 14.702.817,66 703 542 915 ES0116567035 BNP PARIBAS SECURITIES S. S. ESP. ES0182527038 BNP PARIBAS SECURITIES S. S. ESP. 1.767,6181 1.989,7648 1.777,5632 23-01-15 2.011,0116 23-01-15 335.432.890,50 204.962.125,28 3.273 1.698 CARTESIO INVERSIONES,SGIIC,S.A. CARTESIO X CARTESIO Y CATALUNYACAIXA INVERSIÓ, SGIIC CAIXA CATALUNYA BORSA 14 CAIXA CATALUNYA PREVISIO CX BORSA DIVIDENDS CX BORSA ESPANYA CX BORSA EUROPA CX CREIXEMENT CX DINER CX EVOLUCIO 6 CX EVOLUCIO FEBRER 2017 CX EVOLUCIO MARÇ 2017 CX EVOLUCIO RENDES 5 CX EVOLUCIÓ BORSA CX EVOLUCIÓ ÍNDEX BORSA CX EVOLUCIÓ RENDES MAIG 2020 CX EVOLUCIÓ RENDES NOVEMBRE 2018 CX FONDIPÒSIT CX FONDTRESOR LLARG TERMINI CX GARANTIT 3 CX GARANTIT 4 CX GARANTIT 5 CX GARANTIT 6 CX GARANTIT 7 CX GARANTIT 8 CX MIXT INTERNACIONAL CX MIXT INTERNACIONAL PLUS CX MONETARI OCDE CX MULTIACTIU 30 CX MUNDIBORSA CX PATRIMONI CX PATRIMONI PLUS CX PROPIETAT (EN LIQUIDACIÓN) CX RENDA FIXA INTERNACIONAL MANRESA GARANTIT 10 MANRESA GARANTIT 11 MANRESA GARANTIT V ES0115107031 ES0138842036 ES0125269003 ES0159529033 ES0133802035 ES0159504036 ES0115209035 ES0125270001 ES0160105005 ES0159506007 ES0115456032 ES0125271009 ES0117064008 ES0105574034 ES0159507005 ES0118558008 ES0114990031 ES0122701032 ES0152176006 ES0152177004 ES0152178002 ES0152179000 ES0152180008 ES0155827035 ES0173447030 ES0122702030 ES0159505033 ES0115413033 ES0115285035 ES0117091035 ES0113248035 ES0115417034 ES0160102002 ES0160103000 ES0117063000 CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC CATALUNYA BANC 6,1068 24,4280 8,0435 49,5951 8,5153 55,1821 7,4901 6,4695 36,7529 37,6635 12,7353 6,1019 39,6871 7,6228 6,7654 6,6795 12,9258 8,5075 6,4106 6,6572 6,8308 6,6326 6,8328 17,4758 11,9213 7,3473 32,7536 28,4471 7,3199 131,4741 3,4707 11,4270 36,9066 39,2018 36,7261 6,1068 24,4320 8,2093 49,9180 8,6173 55,8987 7,4905 6,4733 36,7731 37,6902 12,7431 6,1571 39,9515 7,6323 6,7661 6,6797 13,0223 8,5075 6,4105 6,6570 6,8329 6,6341 6,8342 17,5871 11,9946 7,3522 32,9471 29,3721 7,3325 131,7100 3,3807 11,6095 36,9153 39,2230 36,7323 23-01-15 25-01-15 23-01-15 25-01-15 25-01-15 25-01-15 25-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 25-01-15 23-01-15 23-01-15 23-01-15 22-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 22-01-15 22-01-15 25-01-15 22-01-15 25-01-15 25-01-15 25-01-15 31-12-14 22-01-15 23-01-15 23-01-15 23-01-15 8.353.545,76 27.862.251,19 41.424.092,79 42.152.529,54 21.547.857,59 45.620.689,35 86.630.864,68 11.446.313,29 20.327.947,94 17.774.324,85 54.702.611,76 20.523.063,85 8.000.424,00 26.236.700,49 32.569.280,27 74.323.203,52 34.546.730,90 7.812.152,25 2.439.375,35 17.390.110,05 7.837.516,29 32.271.090,91 7.673.258,01 18.210.155,88 37.004.400,77 9.978.796,05 40.559.421,78 14.932.506,50 33.502.802,75 57.151.022,77 61.734.547,83 10.230.451,83 30.275.050,37 65.740.019,04 3.664.190,39 788 2.300 1.713 2.628 1.892 1.946 5.804 375 453 536 1.422 700 134 1.038 777 4.576 1.525 383 55 143 101 412 101 1.942 262 179 1.678 1.933 2.374 582 3.409 629 662 1.638 99 ES0113691036 ES0113418034 ES0164593032 ES0180655039 ES0182793036 ES0113966032 ES0124513005 ES0171961008 ES0126499005 ES0124503006 ES0124514003 ES0126499039 ES0123743033 ES0162230033 ES0162231031 ES0138869039 BANKOA BANKOA BANKOA BANKOA BANKOA BANKOA BANKOA BANKOA BANKOA BANKOA BANKOA BANKOA BANKOA BANKOA BANKOA BANKOA 113,0550 1.387,1824 970,4209 855,0522 1.045,1619 1.291,8657 111,7401 110,9183 926,3403 104,1594 112,0241 1.267,1217 6,1889 16,5978 6,8900 259,7964 113,0851 1.406,4640 978,9000 855,0522 1.045,1896 1.292,6323 111,8240 110,8582 926,5719 104,2481 112,0837 1.267,4367 6,2618 16,6838 6,8975 261,9925 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 22-01-15 23-01-15 23-01-15 22-01-15 23-01-15 22-01-15 23-01-15 35.751.420,65 14.748.032,78 18.512.512,39 4.513.408,04 12.115.961,02 5.841.198,71 8.693.317,08 24.815.590,30 30.607.365,09 969.668,49 8.437.761,49 36.761.616,24 8.609.996,42 44.436.801,22 28.836.932,61 29.225.706,69 242 308 367 90 340 130 213 450 155 39 132 1.676 223 1.015 400 570 CREDIT SUISSE, SUCURSAL EN ESPAñA CREDIT SUISSE, SUCURSAL EN ESPAñA CREDIT SUISSE, SUCURSAL EN ESPAñA CREDIT SUISSE, SUCURSAL EN ESPAñA CREDIT SUISSE, SUCURSAL EN ESPAñA CREDIT SUISSE, SUCURSAL EN ESPAñA CREDIT SUISSE, SUCURSAL EN ESPAñA CREDIT SUISSE, SUCURSAL EN ESPAñA CREDIT SUISSE, SUCURSAL EN ESPAñA CREDIT SUISSE, SUCURSAL EN ESPAñA CREDIT SUISSE, SUCURSAL EN ESPAñA CREDIT SUISSE, SUCURSAL EN ESPAñA 169,8303 7,7748 12,8328 8,7903 15,7264 24,0799 12,9603 1.094,6291 1.095,3850 6,8526 5,0217 864,1178 170,1186 7,8162 12,8339 8,8692 15,9588 24,5314 13,0614 1.097,2706 1.098,0388 6,9365 5,0793 868,9450 23-01-15 23-01-15 23-01-15 22-01-15 22-01-15 22-01-15 22-01-15 23-01-15 23-01-15 22-01-15 22-01-15 23-01-15 79.245.745,33 13.168.001,16 495.167.662,60 11.050.890,90 20.590.334,46 18.503.594,59 11.569.117,29 114.128.123,84 35.008.874,12 9.088.689,21 3.668.290,32 197.808.808,05 852 143 1.082 208 209 247 200 581 2 184 120 843 CREDIT AGRICOLE MERCAGES. BANKOA AHORRO FONDO BANKOA BOLSA BANKOA GESTION GLOBAL BANKOA INTERES GARANTIZADO 2 BANKOA INTERES GARANTIZADO 3 C.A. BANKOA OBJETIVO 2017 C.A. BANKOA OBJETIVO 2017 II CA BANKOA OBJETIVO 2019 CREDIT AGRI.BANK.RF PLAZO B CREDIT AGRICOLE BANKOA MIXTO INTER. CREDIT AGRICOLE BANKOA OBJET. 2018 CREDIT AGRICOLE BANKOA RF CORTO PLA CREDIT AGRICOLE MERCAEUROPA EURO CREDIT AGRICOLE MERCAPATRIMONI CREDIT AGRICOLE SELECCION FONDGESKOA CREDIT SUISSE GESTION CREDIT SUISSE BOLSA ES0113286035 CREDIT SUISSE EQUITY YIELD ES0113288031 CS CORTO PLAZO ES0155598032 CS DIRECTOR BOND FOCUS ES0165121031 CS DIRECTOR FLEXIBLE, FI ES0125102030 CS DIRECTOR GROWTH ES0143673038 CS DIRECTOR INCOME ES0125126039 CS DURACION FLEXIBLE A ES0126547035 CS DURACIÓN FLEXIBLE B ES0126547001 CS ESTRATEGIA GLOBAL ES0127021030 CS GLOBAL AFI ES0142537036 CS RENTA FIJA 0-5 ES0124880032 lunes, 26 de enero de 2015 Monday, 26 January 2015 18 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds Cód.ISIN ISIN Code CS RENTA VARIABLE INTER, CLASE B CS RENTA VARIABLE INTERNACIONAL, C-A PATRIBOND PATRIVAL ES0142538000 ES0142538034 ES0168745034 ES0142404039 Depositario Depositary CREDIT SUISSE, SUCURSAL EN ESPAñA CREDIT SUISSE, SUCURSAL EN ESPAñA CREDIT SUISSE, SUCURSAL EN ESPAñA CREDIT SUISSE, SUCURSAL EN ESPAñA Precedente Previous 11,7601 12,2236 16,7008 10,2859 Último Last 11,8250 12,2914 16,8795 10,4259 Fecha Date Patrimonio Assets NºPartícipes Units 23-01-15 23-01-15 23-01-15 23-01-15 3.363.493,44 1.125.300,60 56.650.062,55 39.327.114,14 71 58 199 175 1.271,1814 23-01-15 1.345,6920 23-01-15 1.123,6834 23-01-15 13.144.201,45 2.152.892,46 14.145.555,33 250 14 47 CYGNUS ASSET MANAGEMENT CYGNUS VALUE CLASE A CYGNUS VALUE CLASE S CYGNUS VALUE, CLASE I ES0117092009 BNP PARIBAS SECURITIES S. S. ESP. ES0117092017 BNP PARIBAS SECURITIES S. S. ESP. ES0117092025 BNP PARIBAS SECURITIES S. S. ESP. 1.263,1792 1.337,1749 1.116,5867 DUX INVERSORES ABANDO EQUITIES DUX INTERNATIONAL STRATEGY DUX MIXTO VARIABLE DUX RENTA VARIABLE EUROPEA DUX RENTINVER RENTA FIJA SELECTOR GLOBAL ES0109656001 ES0127062000 ES0128067008 ES0127107037 ES0127097030 ES0175450032 BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. BANKINTER S.A. 12,8805 14,9457 13,6981 13,9771 12,8148 19,7584 12,9503 15,1480 13,8537 14,1699 12,8277 20,0019 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 6.754.071,68 9.026.417,30 12.558.030,52 8.934.232,80 18.654.837,00 15.968.656,70 159 131 286 190 223 159 ES0125746000 ES0145553006 ES0125756009 ES0145554004 ES0139012001 ES0114085030 ES0127063008 ES0128068006 ES0127098004 ES0127098012 ES0127099002 ES0127108001 ES0127100008 ES0125776031 ES0125776007 ES0125805004 ES0125805012 ES0125755001 ES0145552008 ES0138535036 ES0136787035 ES0136787001 ES0125785032 ES0125785008 ES0125784035 ES0125784001 ES0139012035 ES0126894007 ES0127337006 ES0127337014 ES0127338004 ES0138687001 ES0121051033 DEUTSCHE BANK, S.A. DEUTSCHE BANK, S.A. DEUTSCHE BANK, S.A. DEUTSCHE BANK, S.A. DEUTSCHE BANK, S.A. DEUTSCHE BANK, S.A. DEUTSCHE BANK CREDIT, S.A. DEUTSCHE BANK CREDIT, S.A. DEUTSCHE BANK CREDIT, S.A. DEUTSCHE BANK CREDIT, S.A. DEUTSCHE BANK CREDIT, S.A. DEUTSCHE BANK CREDIT, S.A. DEUTSCHE BANK CREDIT, S.A. DEUTSCHE BANK, S.A. DEUTSCHE BANK CREDIT, S.A. DEUTSCHE BANK CREDIT, S.A. DEUTSCHE BANK CREDIT, S.A. DEUTSCHE BANK CREDIT, S.A. DEUTSCHE BANK CREDIT, S.A. DEUTSCHE BANK, S.A. DEUTSCHE BANK, S.A. DEUTSCHE BANK CREDIT, S.A. DEUTSCHE BANK, S.A. DEUTSCHE BANK CREDIT, S.A. DEUTSCHE BANK, S.A. DEUTSCHE BANK CREDIT, S.A. DEUTSCHE BANK, S.A. DEUTSCHE BANK, S.A. DEUTSCHE BANK CREDIT, S.A. DEUTSCHE BANK CREDIT, S.A. DEUTSCHE BANK CREDIT, S.A. DEUTSCHE BANK CREDIT, S.A. DEUTSCHE BANK, S.A. 10,2565 10,6458 10,2795 22-01-15 10,6419 23-01-15 264.999.271,12 135.809.854,44 6.969 3.084 32,3039 10,5727 10,8432 11,7428 11,8775 11,2271 10,5674 11,4453 10,7986 10,8742 6,0807 32,5117 10,5784 10,8518 11,7570 11,8920 11,2271 10,5674 11,4541 10,9311 11,0077 6,0808 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 22-01-15 22-01-15 29-01-14 78.530.972,29 5.627.207,53 7.489.588,51 16.812.080,56 9.861.453,98 45.318.333,76 9.288.713,06 68.483.049,04 72.578.101,91 85.161.792,20 5.905.921,24 2.787 249 222 243 7 1.864 535 1.845 676 18 616 10,6519 10,4948 9,7393 7,9518 8,0605 28,5618 29,7720 14,9703 10,6794 10,5515 9,7811 7,9519 8,0605 28,6858 29,9020 14,9705 22-01-15 22-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 29-01-14 4.540.476,35 5.891.826,47 22.178.733,26 529.434.564,29 25.539.733,48 46.722.025,26 796.817,79 11.094.001,48 316 298 123 27.223 8 1.410 1 682 10,2726 10,9692 12,8235 13,3230 11,1716 12,3546 7,3789 10,3158 10,9926 12,8351 13,3354 11,1709 12,3546 7,3929 22-01-15 23-01-15 23-01-15 23-01-15 15-09-14 10-12-14 22-01-15 10.104.964,23 148.475.069,74 15.654.687,30 2.276.485,90 3.874.263,22 10.096.817,08 31.182.622,51 113 3.057 353 3 573 708 1.701 ES0168673038 ES0128331008 ES0127795039 ES0128271006 ES0127796037 ES0168674002 ES0168674036 ES0172603005 BANKINTER S.A. RBC INVESTOR SERVICES ESPAÑA BANKINTER S.A. RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA BANKINTER S.A. BANKINTER S.A. UBS ESPAÑA 25,2834 1,5043 10,6197 11,8112 15,2432 54,5492 55,1984 1,2390 25,3176 1,5234 10,6204 11,9170 15,2948 54,7652 55,4150 1,2467 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 124.485.110,03 15.338.686,60 23.377.960,23 13.865.220,35 10.801.333,06 157.709.475,94 191.049.080,12 39.244.493,80 1.191 422 613 120 104 6 3.363 399 10,8927 255,5456 10,9086 23-01-15 258,4221 23-01-15 15.733.075,23 16.220.241,54 163 263 12,4921 13,8710 9,5025 12,4649 23-01-15 13,8733 23-01-15 9,4976 23-01-15 3.527.317,44 3.147.438,17 9.091.164,34 102 103 210 9,5171 7,9659 9,5665 23-01-15 7,9978 23-01-15 21.159.623,57 20.259.761,33 218 93 17,4038 7,3185 17,4612 23-01-15 7,3319 23-01-15 12.738.078,44 16.520.282,73 245 163 DWS INVESTMENTS SPAIN DB BEST MANAGER DB MULTIESTRELLAS DB TALENTO BOLSA GLOBAL DB TALENTO GESTION CONSERVADORA DEUTSCHE CRECIMIENTO CONSERVADOR A DWS ACCIONES ESPAÑOLAS DWS BIENVENIDA 2016 DWS BIENVENIDA 2017 DWS BONOS 2016 A DWS BONOS 2016 B DWS CARTERA RENTA FIJA 2016 DWS CESTA BONOS 2015 DWS CESTA BONOS 2017 DWS CRECIMIENTO A DWS CRECIMIENTO B DWS DINERO GOBIERNOS AAA A DWS DINERO GOBIERNOS AAA B DWS EVOLUTION DEFENSIVE DWS EVOLUTION ONE DWS FONCREATIVO DWS FONDEPOSITO PLUS A DWS FONDEPOSITO PLUS B DWS MIXTA A DWS MIXTA B DWS RENTA FIJA EURO A DWS RENTA FIJA EURO B DWS RENTA MIXTA DWS RENTA PLUS 2019 DWS RENTAS EMERGENTES 2015 A DWS RENTAS EMERGENTES 2015 B DWS RENTAS SEMESTRALES 2014 DWS RENTAS SEMESTRALES 2016 DWS SELECCION ALTERNATIVA EDM GESTION EDM AHORRO EDM CARTERA EDM RENTA EDM RENTA VARIABLE INTERNACIONAL EDM VALORES UNO EDM-INVERSION I EDM-INVERSION R RADAR INVERSION EGERIA ACTIVOS, SGIIC EGERIA AHORRO EGERIA COYUNTURA ES0128311000 UBS ESPAÑA ES0138806031 UBS ESPAÑA EUROAGENTES GESTION EUROAGENTES BOLSA EUROAGENTES RENTA EUROAGENTES UNIVERSAL ES0133797037 DEUTSCHE BANK, S.A. ES0133798035 DEUTSCHE BANK, S.A. ES0133569030 DEUTSCHE BANK, S.A. FONDITEL GESTION FONDITEL ALBATROS FONDITEL RENTA FIJA MIXTA INTER. ES0138184033 RBC INVESTOR SERVICES ESPAÑA ES0138047032 RBC INVESTOR SERVICES ESPAÑA G.I.I.C. FINECO FON FINECO AHORRO FON FINECO BEST lunes, 26 de enero de 2015 ES0175605031 BNP PARIBAS SECURITIES S. S. ESP. ES0137881035 SANTANDER SECURITIES SERVICIES Monday, 26 January 2015 19 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds FON FINECO DINERO FON FINECO EURO LIDER FON FINECO EXCEL FON FINECO GESTION FON FINECO I FON FINECO INFLACION FON FINECO INTERES A FON FINECO INTERES I FON FINECO RENTA FIJA INTERN. A FON FINECO RENTA FIJA INTERN. I FON FINECO TOP RENTA FIJA A FON FINECO TOP RENTA FIJA I FON FINECO VALOR MILLENIUM FUND MILLENIUM FUND II MULTIFONDO AMERICA MULTIFONDO EUROPA Cód.ISIN ISIN Code Depositario Depositary Precedente Previous Último Last Fecha Date Patrimonio Assets NºPartícipes Units ES0107499032 ES0138584034 ES0137651008 ES0138382033 ES0138783032 ES0137604007 ES0164814008 ES0164814016 ES0114592001 ES0114592035 ES0137639003 ES0137639011 ES0176236034 ES0162915039 ES0162916037 ES0165092034 ES0138614039 BNP PARIBAS SECURITIES S. S. ESP. SANTANDER SECURITIES SERVICIES SANTANDER SECURITIES SERVICIES SANTANDER SECURITIES SERVICIES BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. SANTANDER SECURITIES SERVICIES SANTANDER SECURITIES SERVICIES BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. SANTANDER SECURITIES SERVICIES BNP PARIBAS SECURITIES S. S. ESP. SANTANDER SECURITIES SERVICIES SANTANDER SECURITIES SERVICIES SANTANDER SECURITIES SERVICIES 958,6557 11,3911 10,1949 18,5182 13,4939 11,4134 13,2180 13,4121 8,3997 8,4271 11,0390 11,1870 10,2380 12,9924 16,1610 15,7794 17,0819 958,6595 11,4941 10,5075 18,5475 13,5945 11,4295 13,2264 13,4207 8,4073 8,4347 11,0395 11,1876 10,3830 13,4037 16,1590 15,8479 17,4976 23-01-15 22-01-15 22-01-15 23-01-15 23-01-15 22-01-15 23-01-15 23-01-15 22-01-15 22-01-15 23-01-15 23-01-15 23-01-15 22-01-15 23-01-15 23-01-15 23-01-15 97.713.402,37 58.209.441,25 60.800.354,90 156.049.791,60 77.998.958,77 27.362.475,64 7.665.941,00 30.496.719,96 60.949.892,96 446.475.793,80 51.576.582,59 102.291.235,84 35.383.789,05 50.941.986,49 59.211,19 37.187.656,20 75.921.826,72 1.183 384 411 1.191 968 220 121 71 811 814 869 211 509 319 1 603 802 ES0107696033 ES0107692032 ES0107693030 ES0112781036 ES0174013005 ES0174039034 ES0156905004 ES0107703037 ES0138932035 ES0178220036 SOCIETE GENERALE SUC.ESPAñA SOCIETE GENERALE SUC.ESPAñA ARGENTARIA C.POSTAL Y B.HIPOTE. RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA MEDIACION BURSATIL, S.V.B. MEDIACION BURSATIL, S.V.B. RBC INVESTOR SERVICES ESPAÑA 10,7580 13,8547 10,6005 9,1206 11,3386 1.457,8528 6,2201 15,8889 31,9567 20,5150 10,7898 13,9265 10,6584 9,1668 11,3504 1.459,2236 6,2523 15,8969 32,1781 20,5939 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 7.477.360,91 18.388.203,46 14.828.571,60 1.603.835,46 25.293.886,70 5.264.109,00 2.356.785,49 11.179.547,64 17.858.184,41 13.808.672,86 97 101 106 99 93 421 157 158 103 156 17.319.090,71 25.612.251,90 29.048.734,55 182 163 183 GESALCALA ALCALA AHORRO ALCALA BOLSA MIXTO ALCALA GLOBAL ALCALA GLOBAL 2 ALCALA INSTITUCIONAL ALCALA RENTA FIJA ALCALA SELECCION CONSERVADORA ALCALA-UNO FONALCALA RIVA Y GARCIA ACCIONES I GESBUSA FONBUSA FONBUSA FONDOS FONBUSA MIXTO ES0138784030 CREDIT SUISSE, SUCURSAL EN ESPAñA ES0138438033 CREDIT SUISSE, SUCURSAL EN ESPAñA ES0138592037 CREDIT SUISSE, SUCURSAL EN ESPAñA 175,9643 73,1165 119,0972 176,4807 23-01-15 74,2247 22-01-15 119,5869 23-01-15 ES0142097007 ES0138922036 ES0138911039 ES0175604000 ES0175604034 ES0138217031 ES0137381036 ES0141991002 85,9177 706,0498 19,9762 23,4514 23,1885 27,4256 37,3070 10,5534 85,9186 706,3535 20,2109 23,6611 23,3955 27,6521 37,4195 10,5851 16-09-14 23-01-15 23-01-15 22-01-15 22-01-15 22-01-15 23-01-15 21-01-15 2.161.782,83 135.722.091,85 9.967.924,45 34.086.166,73 11.475.376,97 115.395.795,31 44.147.739,81 17.184.416,52 1 3.109 457 103 368 2.001 797 605 670,6176 535,9178 521,5399 1.004,9677 803,9727 671,8856 1.280,8189 330,4196 736,3939 709,8397 7.346,2972 902,5387 725,7427 1.156,3233 915,1148 729,0965 586,5512 313,6585 1.035,9299 749,0669 1.202,6318 883,3279 636,7538 733,8854 658,8538 893,2454 741,0822 300,0042 336,9504 1.263,7002 670,6502 535,9383 521,5049 1.004,9676 804,0023 671,9369 1.280,9444 330,4531 736,4506 709,9034 7.346,8277 902,6297 725,7904 1.156,4079 915,0958 746,5392 586,5116 313,6813 1.036,0032 749,0587 1.202,6966 883,4163 636,7959 733,9426 658,9239 893,3178 741,0821 300,0042 336,9503 1.263,7838 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 22-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 115.699.924,55 23.394.597,82 20.469.906,71 25.535.821,89 118.605.451,69 85.707.560,78 46.366.058,32 30.394.961,42 45.571.903,18 66.600.365,72 45.164.936,58 41.821.944,28 19.527.821,11 91.937.916,68 6.889.273,43 6.151.669,71 34.073.633,54 19.386.223,13 20.852.301,44 67.134.063,01 31.400.304,25 16.771.539,43 27.177.288,53 83.602.404,43 55.445.442,24 105.129.247,17 11.048.446,05 22.529.496,45 4.830.611,85 64.129.266,80 5.050 1.155 1.995 1.212 5.561 4.499 2.138 1.311 2.103 2.861 355 1.920 1.042 3.494 353 887 3.128 811 1.166 3.369 1.278 749 1.391 3.269 2.460 3.617 882 712 196 2.809 GESCONSULT GESCONSULT CONSERVADOR CLASE B GESCONSULT CORTO PLAZO GESCONSULT CRECIMIENTO GESCONSULT LEON VALO. MIX. FL-B GESCONSULT LEON VALORES MIXT FLEX-A GESCONSULT RENTA FIJA FLEXIBLE GESCONSULT RENTA VARIABLE GESCONSULT TALENTO BANCO INVERSIS NET BANCO CAMINOS BANCO CAMINOS BANCO INVERSIS NET BANCO INVERSIS NET BANCO CAMINOS BANCO CAMINOS BANCO INVERSIS NET GESCOOPERATIVO GESCOOPERATIVO DEU.SOBERANA EURO ES0174344038 GESCOOPERATIVO DEUDA CORPORATIVA ES0158603037 GESCOOPERATIVO SMALL CAPS EURO ES0141986002 RURAL 10,60 GARANTIZADO RENTA FIJA ES0174414039 RURAL 13 GARANTIZADO RF FI ES0156832000 RURAL 14 GARANTIZADO RENTA FIJA ES0174229031 RURAL 2017 GARANTIA ES0174407033 RURAL 2018 GARANTIA ES0174185001 RURAL 9 GARANTIZADO RENTA FIJA ES0174224032 RURAL 9,51 GARANTIA RF ES0174343030 RURAL AHORRO PLUS ES0174305039 RURAL BOLSA ESPAÑOLA GARANTIZADO ES0174433039 RURAL BOLSA EURO GARANTIA ES0156831036 RURAL BONO 2 AÑOS ES0174372039 RURAL CESTA DECIDIDA 60 ES0174304032 RURAL EMERGENTES RENTA VARIABLE ES0174365033 RURAL EURO RENTA VARIABLE ES0174367039 RURAL EUROPA 2018 GARANTIZADO ES0156834006 RURAL EUROPA GARANTIA ES0174399032 RURAL GARANT. 10,70 RENTA FIJA ES0174389033 RURAL GARANT.RENTA VARIABLE IV ES0174350035 RURAL GARANTIA 2016 ES0175737032 RURAL GARANTIA EUROBOLSA ES0174265001 RURAL GARANTIA RENTA FIJA 2015 ES0174266009 RURAL GARANTIZADO 14,50 RENTA FIJA ES0174382038 RURAL GARANTIZADO 9,70 ES0174371031 RURAL GARANTIZADO BRIC ES0174364036 RURAL GARANTIZADO EUROPA 20 ES0156835003 RURAL GARANTIZADO RENTA FIJA 2014 ES0174267007 RURAL GARANTIZADO RENTA FIJA I ES0123974034 lunes, 26 de enero de 2015 Monday, 26 January 2015 BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL 20 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds RURAL GARANTIZADO RENTA FIJA II RURAL INTERESES GARANTIZADO 2017 RURAL MIXTO 15 RURAL MIXTO 25 RURAL MIXTO 50 RURAL MIXTO 75 RURAL MIXTO INTERNACIONAL 25 RURAL PEQUEÑAS COMPAÑIAS IBERIA RURAL RENDIMIENTO RURAL RENTA FIJA 1, FI RURAL RENTA FIJA 3 RURAL RENTA FIJA 5 RURAL RENTA FIJA INTERNACIONAL RURAL RENTA VARIABLE ESPAÑA RURAL RENTA VARIABLE INTER. RURAL RENTAS GARANTIZADO RURAL TECNOLOGICO RENTA VARIABLE Cód.ISIN ISIN Code Depositario Depositary Precedente Previous Último Last Fecha Date Patrimonio Assets NºPartícipes Units 996,2993 977,5856 769,5621 860,9981 1.453,0627 858,0456 878,4252 305,4537 8.403,4021 1.275,7367 1.318,7638 932,4104 615,1351 651,5169 595,2034 812,2978 365,2318 996,3907 977,6725 769,6059 861,0267 1.453,0952 858,0414 878,4277 305,4241 8.404,1133 1.275,8209 1.318,8524 932,4505 615,1429 651,4735 595,1628 812,3561 365,2070 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 25-01-15 105.286.733,46 56.798.694,67 127.176.819,16 421.654.150,01 36.383.207,05 12.438.116,09 17.478.772,29 410.732,77 20.462.196,38 285.608.974,54 128.345.267,46 67.913.899,79 6.900.244,27 94.035.015,49 10.803.577,19 144.988.327,37 14.172.645,00 4.040 2.618 4.898 17.979 1.456 751 573 6 988 13.661 5.265 2.181 560 5.187 913 4.980 957 ES0138553039 ES0174383036 ES0174227035 ES0174431033 ES0174398034 ES0174387037 ES0174406035 ES0123979009 ES0174394033 ES0126535030 ES0123971030 ES0175735036 ES0174368037 ES0175734039 ES0175736034 ES0174339038 ES0175738030 BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL BANCO COOPERATIVO ESPAÑOL ES0155715032 ES0155853031 ES0155852033 ES0157633001 SANTANDER SECURITIES SERVICIES SANTANDER SECURITIES SERVICIES SANTANDER SECURITIES SERVICIES SANTANDER SECURITIES SERVICIES 4,5163 9,6057 11,5053 9,5696 4,5350 9,6469 11,4939 9,7727 23-01-15 23-01-15 23-01-15 22-01-15 4.919.032,45 4.760.216,92 3.753.760,67 3.901.599,94 124 137 112 121 ES0109298002 ES0109874000 ES0116901036 ES0116881030 ES0116903032 ES0116889033 ES0133461030 ES0141987000 ES0116829039 ES0109695033 ES0170863031 ES0105234001 ES0156322036 ES0105235008 ES0141988008 ES0116845035 ES0116832009 ES0114633003 ES0170900031 ES0170862033 ES0182769002 RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA SANTANDER SECURITIES SERVICIES SANTANDER SECURITIES SERVICIES SANTANDER SECURITIES SERVICIES SANTANDER SECURITIES SERVICIES RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA SANTANDER SECURITIES SERVICIES SANTANDER SECURITIES SERVICIES RBC INVESTOR SERVICES ESPAÑA SANTANDER SECURITIES SERVICIES SANTANDER SECURITIES SERVICIES RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA SANTANDER SECURITIES SERVICIES RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA 12,7447 10,1396 28,9376 10,9817 16,0874 11,8044 23,7564 11,2766 19,4507 12,6483 84,7871 10,9427 22,1157 10,6295 10,0165 16,5716 10,2477 11,2658 106,2347 113,1564 10,7666 12,8313 10,1815 29,0914 11,1002 16,2064 11,8052 23,9211 11,2985 19,7494 12,6540 84,9102 10,9289 22,1947 10,6433 10,0368 16,6627 10,3297 11,3427 106,4799 113,3141 10,8829 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 5.165.892,97 1.114.954,94 24.730.174,79 11.708.454,67 17.827.446,94 15.087.629,57 7.222.769,97 8.733.446,26 6.296.157,60 73.721.497,24 4.428.738,91 3.522.948,81 3.154.045,34 6.667.503,13 32.553.658,08 18.314.683,64 1.272.730,76 3.450.100,51 8.858.381,74 27.022.948,32 6.931.093,87 118 5 1.601 738 1.295 1.823 100 1.207 138 115 123 104 98 1.744 871 240 21 118 103 103 85 4,1730 6,3333 4,1732 25-01-15 6,3331 25-01-15 481.716.879,55 62.042.458,36 375 183 ES0138929031 RBC INVESTOR SERVICES ESPAÑA ES0171571039 RBC INVESTOR SERVICES ESPAÑA 1.964,8542 1.125,7578 1.973,7841 23-01-15 1.136,7755 23-01-15 247.588.893,88 11.158.050,08 429 174 ES0138168036 ES0138253036 ES0116371008 ES0116565039 ES0126551037 ES0126536038 ES0138712031 ES0138623030 ES0173856032 BANCO CAMINOS BANCO CAMINOS BANCO CAMINOS BANCO CAMINOS BANCO CAMINOS BANCO CAMINOS BANCO CAMINOS BANCO CAMINOS BANCO CAMINOS 4,2958 64,8794 1,3021 3.444,4471 1.253,0405 824,7239 1.871,1970 9,2265 14,7041 4,3689 65,0736 1,3110 3.451,3651 1.253,1272 825,4689 1.873,8759 9,2383 14,7349 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 6.283.737,14 15.693.967,54 4.303.887,68 17.465.005,55 67.627.391,17 23.544.005,70 53.493.672,29 24.209.151,83 35.210.739,70 243 491 117 519 1.192 498 866 372 711 ES0113319000 ES0115091037 ES0115272033 ES0124541030 ES0121082038 ES0169009034 ES0147607032 ES0115223036 ES0139957031 ES0136788033 BANCO DE SABADELL BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. SANTANDER SECURITIES SERVICIES BNP PARIBAS SECURITIES S. S. ESP. S.COOP.CTO. RURAL DE GUISSONA S.COOP.CTO. RURAL DE GUISSONA SANTANDER SECURITIES SERVICIES BANCO DE SABADELL 10,0866 8,9615 156,4440 56,0046 8,0000 21,1911 12,8120 21,4573 11,7379 9,9232 10,0862 9,0374 157,2838 55,9111 8,0867 21,3814 12,8120 21,7378 11,8151 9,9792 28-09-14 23-01-15 26-02-14 27-02-14 22-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 748.810,91 5.772.002,59 2.183.959,02 5.202.010,12 4.734.253,87 10.815.237,76 3.553.752,78 33.462.668,04 7.898.817,81 14.457.404,46 1 275 96 208 110 139 115 683 127 115 GESINTER INTERVALOR ACCS. INTERNACIONAL INTERVALOR BOLSA MIXTO INTERVALOR RENTA MIXTO LAGUNA NEGRA GESIURIS ASSET MANAGEMENT ANNUALCYCLES STRATEGIES BIOTECH & TECHMEDIA CATALANA OCCIDENTE BOLSA ESP. CATALANA OCCIDENTE BOLSA MUNDIAL CATALANA OCCIDENTE PATRIMONIO CATALANA OCCIDENTE RENTA FIJA CP GESIURIS BALANCED EURO GESIURIS EQUITY STRATEGIES GESIURIS EURO EQUITIES GESIURIS FIXED INCOME GESIURIS FIXED INCOME SHORT TERM GESIURIS GLOBAL STRATEGY GESIURIS IURISFOND GESIURIS MIXED CONSERVATIVE GESIURIS MIXED CONSERVATIVE LONG TE GESIURIS PATRIMONIAL GESTIÓN DEL CICLO PANDA AGRICULTURE & WATER FUND PRIVARY F1 DISCRECIONAL PRIVARY F2 DISCRECIONAL VALENTUM GESNORTE FONDONORTE FONDONORTE EUROBOLSA ES0138828035 DEUTSCHE BANK, S.A. ES0138494036 DEUTSCHE BANK, S.A. GESPROFIT FONPROFIT PROFIT BOLSA GESTIFONSA CAMINOS BOLSA EURO CAMINOS BOLSA OPORTUNIDADES CARTERA SELECCION CARTERA VARIABLE DINERCAM DINFONDO FONCAM FONDO SENIORS R.V. 30 FOND GVC GAESCO GESTION GVCGAESCO SMALL CAPS CLASE P BONA RENDA CAHISPA EMERGENTES MULTIFONDO CAHISPA EUROPA COMPOSITUM GESTION FINANCIALFOND FONDGUISSONA FONDGUISSONA GLOBAL BOLSA FONRADAR INTERNACIONAL FONSGLOBAL RENTA lunes, 26 de enero de 2015 Monday, 26 January 2015 21 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds Cód.ISIN ISIN Code Depositario Depositary FONSVILA-REAL GVC GAES.OPORT.EMPRESAS INMOBI RV A GVC GAESCO 300 PLACES WORLDWIDE A GVC GAESCO 300 PLACES WORLDWIDE I GVC GAESCO 300 PLACES WORLDWIDE P GVC GAESCO CONSTANTFONS GVC GAESCO EMERGENTFOND GVC GAESCO EUROPA GVC GAESCO FONDO DE FONDOS GVC GAESCO JAPÓN GVC GAESCO MULTINACIONAL GVC GAESCO OPORT. EMP. INM. RV P GVC GAESCO OPORT.EMPRE.INM. R.V. I GVC GAESCO R.V. OBJETIVO ZONA EURO GVC GAESCO RENTA FIJA GVC GAESCO RENTA VALOR A GVC GAESCO RENTA VALOR B GVC GAESCO RETORNO ABSOLUTO GVC GAESCO T.F.T. GVCGAESCO BOLSALIDER A GVCGAESCO BOLSALIDER I GVCGAESCO BOLSALIDER P GVCGAESCO SMALL CAPS CLASE A GVCGAESCO SMALL CAPS CLASE I IM 93 RENTA MODERADO RENTA FIJA CLASE A MODERADO RENTA FIJA CLASE B NOVAFONDISA ES0165206006 ES0143628008 ES0157638000 ES0157638018 ES0157638026 ES0121776035 ES0140628035 ES0140643034 ES0140633035 ES0141113037 ES0140634033 ES0143628016 ES0143628024 ES0143630004 ES0169764034 ES0143629006 ES0143629014 ES0138233038 ES0138984036 ES0115068035 ES0115068001 ES0115068019 ES0113319034 ES0113319018 ES0130588033 ES0164240006 ES0164240014 ES0166453037 SANTANDER SECURITIES SERVICIES BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL SANTANDER INVESTMENT BANCO DE SABADELL BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL SANTANDER SECURITIES SERVICIES BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO INVERSIS NET BANCO INVERSIS NET SANTANDER SECURITIES SERVICIES ES0146822004 ES0147173035 ES0184002030 ES0184002006 ES0162883005 ES0162883013 ES0146756004 ES0146756020 ES0146756012 ES0147186037 ES0130705033 ES0130705017 ES0130705009 ES0146842036 ES0147641031 ES0147034039 ES0147034005 ES0147186003 ES0146757002 ES0146822012 ES0144252006 ES0144253004 ES0144253012 ES0146791001 ES0146791019 ES0146758018 ES0146758000 ES0146758026 ES0147165031 ES0102563030 ES0146742004 ES0144254002 ES0146762002 ES0146742012 ES0146743002 ES0146759008 ES0146792009 ES0146792017 ES0146792025 ES0146843000 ES0146843034 ES0146843018 Precedente Previous Último Last Fecha Date Patrimonio Assets NºPartícipes Units 6,4619 15,3709 11,2701 11,4221 6,4769 15,6676 11,4023 11,5564 23-01-15 23-01-15 23-01-15 23-01-15 3.748.287,41 5.908.978,61 4.631.565,69 1.052.606,36 100 398 224 1 9,1638 191,3557 4,1924 11,0575 7,8593 60,9406 15,5404 16,0003 104,5264 21,8846 107,2944 101,7622 142,9050 9,4973 9,3555 9,4245 9,1638 195,3356 4,2466 11,2769 8,0499 61,9851 15,8407 16,3096 104,5391 21,9172 107,6194 102,0783 143,7597 9,6542 9,4257 9,4243 23-01-15 22-01-15 23-01-15 22-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 11-05-14 86.280.849,15 19.130.823,56 30.313.374,51 21.706.816,07 12.336.275,65 8.695.116,49 737.413,00 1.189.175,08 5.571.718,95 11.991.655,84 33.466.411,46 1.471.488,39 68.045.366,93 21.311.498,53 16.255.726,62 13.181,27 16.052 1.233 1.441 963 643 338 1 1 248 319 909 38 1.448 1.081 861 1 9,8841 10,3092 13,0244 10,3804 10,4395 10,0927 10,0209 10,4522 13,0250 10,3801 10,4401 10,1385 23-01-15 23-01-15 23-01-15 15-12-14 04-03-14 23-01-15 26.698.438,78 5.874.122,89 16.508.980,44 803.869,01 410.845,80 3.661.385,96 1.499 2 97 50 1 117 CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. 6,6447 19,8353 7,5630 7,3729 6,6943 6,6937 7,9454 8,1264 7,9378 22,7498 6,8647 7,0868 6,8643 6,2984 9,5469 9,7659 10,6214 22,7032 5,7956 6,6320 7,2084 6,6749 6,6657 7,0781 7,0544 6,4340 6,4386 6,6798 23,8699 9,8823 6,2259 6,8527 6,6606 6,4460 5,9900 6,5159 6,6691 19,8418 7,5644 7,3729 6,8541 6,8535 8,0165 8,1180 8,0088 22,9591 6,9709 7,1000 6,9705 6,2982 9,6746 9,8536 10,7156 22,9120 5,7955 6,6564 7,2089 6,6757 6,6664 7,0804 7,0566 6,4645 6,4691 6,6773 24,0426 9,9779 6,2318 6,9148 6,7167 6,4812 5,9940 6,5179 22-01-15 23-01-15 23-01-15 23-01-15 22-01-15 22-01-15 23-01-15 26-11-14 23-01-15 23-01-15 22-01-15 25-11-14 22-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 25-11-14 22-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 22-01-15 22-01-15 20-11-14 23-01-15 23-01-15 20-11-14 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 48.542.444,01 132.366.239,59 380.220.865,34 6,14 58.516.137,25 42.039.518,90 121.097.620,59 2.056.013,56 80.553.113,77 96.679.237,17 113.806.971,80 4.270.454,25 81.119.388,32 21.823.868,96 15.093.095,60 28.791.064,69 11,37 11.802.117,29 993.697,37 69.992.711,80 16.377.885,66 24.101.875,29 497,02 131.566.660,56 380.986.274,40 77.304.943,08 103.638.217,65 1.361.669,38 46.031.912,33 18.818.400,08 ,01 66.308.851,00 19.761.157,69 26.815.657,46 36.461.104,92 14.865.463,06 2.101 6.234 16.071 1 3.406 29.905 6.819 132 29.897 7.070 6.245 328 29.786 2.061 1.107 1.182 1 5.983 72 28.944 932 1.184 2 2.585 29.733 28.946 2.371 71 3.347 1.318 228 4.163 750 1.274 1.410 1.009 CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. 6,8055 6,9067 6,7423 7,4693 7,2849 7,6047 6,8060 6,9071 6,7428 7,4712 7,2868 7,6054 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 25-11-14 6.863.002,96 5.036,14 11.201.096,42 126.715.033,58 151.152.788,03 5.967.514,84 21 3 186 24.216 6.312 352 IBERCAJA GESTION IBERCAJA BP GLOBAL BONDS CLASE A IBERCAJA AHORRO IBERCAJA AHORRO DINAMICO IBERCAJA AHORRO DINAMICO, CLASE B IBERCAJA ALL STAR IBERCAJA ALL STAR CLASE B IBERCAJA ALPHA IBERCAJA ALPHA CLASE 3 IBERCAJA ALPHA, CLASE B IBERCAJA BOLSA IBERCAJA BOLSA EUROPA IBERCAJA BOLSA EUROPA CLASE 3 IBERCAJA BOLSA EUROPA, CLASE B IBERCAJA BOLSA GARANTIZADO IBERCAJA BOLSA INTERNACIONAL IBERCAJA BOLSA USA IBERCAJA BOLSA USA, CLASE B IBERCAJA BOLSA, CLASE B IBERCAJA BP ACCIONES EUROPA, FI IBERCAJA BP GLOBAL BONDS, CLASE B IBERCAJA BP HIGH YIELD 2015 IBERCAJA BP HIGH YIELD 2015-2 IBERCAJA BP HIGH YIELD 2015-2 B IBERCAJA BP RENTA FIJA IBERCAJA BP RENTA FIJA, CLASE B IBERCAJA BP SELEC. GLOBAL, CL. B IBERCAJA BP SELECCION GLOBAL IBERCAJA BP SELECCION GLOBAL 3 IBERCAJA CAPITAL IBERCAJA CAPITAL EUROPA IBERCAJA CAPITAL GARANT 3 CLASE 3 IBERCAJA CAPITAL GARANTIZADO IBERCAJA CAPITAL GARANTIZADO 2 IBERCAJA CAPITAL GARANTIZADO 3 IBERCAJA CAPITAL GARANTIZADO 4 IBERCAJA COMUNIDADES AUTONOMAS 2017 IBERCAJA CONSERVADOR CLASE A IBERCAJA CONSERVADOR, CLASE B IBERCAJA CONSERVADOR, CLASE C IBERCAJA CRECIMIENTO DINAM., CL. B IBERCAJA CRECIMIENTO DINAMICO IBERCAJA CRECIMIENTO DINAMICO 3 lunes, 26 de enero de 2015 Monday, 26 January 2015 22 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds IBERCAJA DIN CLASE 3 IBERCAJA DIN CLASE A IBERCAJA DIVIDENDO IBERCAJA DIVIDENDO CLASE 3 IBERCAJA DIVIDENDO, CLASE B IBERCAJA DOLAR IBERCAJA DOLAR CLASE 3 IBERCAJA DOLAR, CLASE B IBERCAJA EMERGENTES IBERCAJA EMERGENTES, CLASE B IBERCAJA EUROPA GARANTIZADO IBERCAJA FINANCIERO IBERCAJA FINANCIERO CLASE B IBERCAJA FONDTESORO CORTO PLAZO IBERCAJA FUTURO IBERCAJA FUTURO, CLASE B IBERCAJA GEST. GARAN. 6 CLASE 3 IBERCAJA GESTION EUROPA IBERCAJA GESTION GARANTI 5 CLASE A IBERCAJA GESTION GARANTI. 5 CLASE 3 IBERCAJA GESTION GARANTIZADO 3 IBERCAJA GESTION GARANTIZADO 6 IBERCAJA GESTION GARANTIZADO 7 IBERCAJA GESTION GARANTIZADO 8 IBERCAJA HIGH YIELD CLASE A IBERCAJA HIGH YIELD, CLASE B IBERCAJA HORIZONTE IBERCAJA INTERNACIONAL IBERCAJA INTERNACIONAL, CLASE B IBERCAJA JAPON IBERCAJA JAPON, CLASE B IBERCAJA MIXTO FLEXIBLE 15 IBERCAJA NUEVAS OPORTUNID. CLASE B IBERCAJA NUEVAS OPORTUNIDADES IBERCAJA OBJETIVO 2015 IBERCAJA OBJETIVO 2016 IBERCAJA OPORTUNIDAD R.F., CL. B IBERCAJA OPORTUNIDAD RENTA FIJA IBERCAJA OPORTUNIDAD RENTA FIJA 3 IBERCAJA PATRIMONIO DINAMICO IBERCAJA PETROQUIMICO IBERCAJA PETROQUIMICO CLASE B IBERCAJA PLUS CLASE C IBERCAJA PLUS CLSE D IBERCAJA PLUS, CLASE A IBERCAJA PREMIER IBERCAJA RENTA IBERCAJA RENTA EUROPA IBERCAJA RENTA EUROPA CLASE 3 IBERCAJA RENTA FIJA 1 AÑO 2 IBERCAJA RENTA FIJA 1 AÑO 3 IBERCAJA RENTA FIJA 1 AÑO 4 IBERCAJA RENTA FIJA 2014 IBERCAJA RENTA FIJA 2014-2 IBERCAJA RENTA FIJA 2014-3 IBERCAJA RENTA FIJA 2015 IBERCAJA RENTA FIJA 2015-2 IBERCAJA RENTA FIJA 2016 IBERCAJA RENTA FIJA 2016-2 IBERCAJA RENTA FIJA 2017 IBERCAJA RENTA FIJA 2021 IBERCAJA RENTA FIJA 2021 CLASE 3 IBERCAJA RENTA INTERNACIONAL IBERCAJA RENTA PLUS IBERCAJA SANIDAD IBERCAJA SANIDAD CLASE B IBERCAJA SECTOR INMOBIL., CL. B IBERCAJA SECTOR INMOBILIARIO IBERCAJA SMALL CAPS IBERCAJA TECNOLOGICO IBERCAJA TECNOLOGICO CLASE B IBERCAJA UTILITIES lunes, 26 de enero de 2015 Cód.ISIN ISIN Code ES0147174009 ES0147174033 ES0146824000 ES0146824026 ES0146824018 ES0146942034 ES0146942018 ES0146942000 ES0102562032 ES0102562008 ES0146825007 ES0147104030 ES0147104006 ES0147177036 ES0147185039 ES0147185005 ES0147107017 ES0146826005 ES0147106035 ES0147106001 ES0146845005 ES0147107009 ES0147187035 ES0147108007 ES0147105037 ES0147105003 ES0147642039 ES0147184032 ES0147184008 ES0147129037 ES0147129003 ES0146944006 ES0147076006 ES0147076030 ES0147193033 ES0146945003 ES0184007013 ES0184007005 ES0184007021 ES0147038030 ES0130706031 ES0130706007 ES0147102000 ES0147102018 ES0147102034 ES0147022034 ES0147166039 ES0147146031 ES0147146007 ES0147046009 ES0147047007 ES0184005009 ES0147025003 ES0147049003 ES0147050001 ES0147026001 ES0147023008 ES0147027009 ES0147028007 ES0147029005 ES0147045001 ES0147045019 ES0102564038 ES0147194031 ES0147195038 ES0147195004 ES0147196002 ES0147196036 ES0130708037 ES0147644035 ES0147644001 ES0147189031 Monday, 26 January 2015 Depositario Depositary CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. Precedente Previous Último Last Fecha Date 1.856,9993 1.858,3394 6,1967 6,2715 6,1901 6,8172 6,4411 7,1232 12,6738 12,7211 7,1814 4,0828 5,3754 1.320,4947 12,7223 13,1362 6,1904 6,0301 7,4571 7,1973 7,1061 6,3986 11,4571 6,6659 7,0564 7,0532 10,7467 9,7752 10,4571 4,6339 4,6396 6,7866 10,2627 9,7038 10,4347 7,3533 7,5990 7,5982 7,7497 7,4701 11,8684 11,9401 8,7964 8,7300 8,8777 7,5051 18,9704 7,9211 7,8199 6,8747 7,0360 6,9818 6,8190 6,7047 6,6864 6,7590 7,7069 7,1201 6,4852 6,2502 7,3296 7,1476 7,3266 8,9589 9,6813 10,3149 22,7172 21,2090 10,9465 2,6307 2,7559 13,1870 1.857,3609 1.858,6711 6,2689 6,3008 6,2623 6,9123 6,5152 7,2225 13,0025 13,0510 7,2417 4,1038 5,4031 1.320,7734 12,7324 13,1467 6,2012 6,0319 7,5018 7,2031 7,1649 6,4286 11,4569 6,6688 7,0754 7,0722 10,7570 9,8844 10,5731 4,7295 4,7353 6,7971 10,3716 9,8067 10,4347 7,3547 7,6021 7,6013 7,7427 7,4727 11,9719 12,0442 8,7984 8,7320 8,8798 7,5185 19,0355 7,9565 7,8251 6,8750 7,0359 6,9816 6,8190 6,7046 6,6863 6,7591 7,7072 7,1219 6,4875 6,2534 7,3339 7,1465 7,4057 9,0253 9,8276 10,4745 23,0957 21,5624 11,0804 2,6701 2,7972 13,4726 24-11-14 23-01-15 23-01-15 24-11-14 23-01-15 23-01-15 21-11-14 23-01-15 22-01-15 22-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 20-11-14 23-01-15 23-01-15 19-11-14 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 26-11-14 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 24-11-14 23-01-15 11-11-14 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 19-11-14 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 22-01-15 Patrimonio Assets 19.525.486,76 792.030.211,04 71.018.080,72 5.801.838,63 51.479.121,47 70.589.623,76 2.551.575,14 54.748.490,53 19.740.745,97 1.563,40 28.248.406,72 12.606.816,66 2.285.561,17 110.571.746,04 118.815.971,98 3.458,29 ,62 10.700.472,29 54.508.421,92 17.873.260,49 55.536.492,55 49.787.291,20 43.206.075,44 10.085.469,67 65.133.160,98 23.893.536,10 141.213.586,52 7.900.739,23 7,29 15.845.602,98 2.323.118,23 267.149.794,41 461.261,01 9.627.906,35 39.088.687,64 9.595.004,34 312.548.821,15 350.600.303,36 1,50 334.410.625,75 10.695.232,19 2.677.530,01 55.520.764,00 36.363.605,30 346.170.432,07 22.970.273,64 45.976.086,13 59.595.450,27 8.182.930,80 9.238.105,03 49.965.235,60 42.717.241,36 36.708.283,44 25.203.067,67 16.242.860,62 47.780.887,98 35.528.592,59 28.890.887,36 28.188.015,51 28.581.021,11 16.011.510,58 236.977,55 9.301.186,69 14.481.079,33 36.412.126,63 11,81 2.203.369,49 24.638.754,27 29.990.334,76 12.399.111,72 9,47 21.079.514,52 23 NºPartícipes Units 1.011 35.080 3.626 402 30.054 2.993 187 24.221 1.848 6 1.287 1.651 838 6.180 5.174 3 748 404 3.385 1.179 2.864 2.816 2.559 575 2.531 5.147 4.522 482 1 1.112 971 10.814 152 755 2.739 284 24.373 10.657 1.724 12.177 925 844 234 415 1.961 762 3.571 4.044 536 344 1.863 1.597 2.115 1.436 535 2.229 1.033 992 1.018 1.081 571 15 545 1.243 2.105 1 838 1.543 2.551 1.365 1 2.156 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds IBERCAJA UTILITIES CLASE B Cód.ISIN ISIN Code Depositario Depositary ES0147189007 CECABANK, S.A. Precedente Previous 13,8019 Último Last Fecha Date Patrimonio Assets NºPartícipes Units 14,1008 22-01-15 1.090.085,11 836 1.206,2262 1.206,2648 23-01-15 11.039,8797 11.040,1506 23-01-15 1.261,4239 1.266,6010 23-01-15 10,1344 10,1808 23-01-15 134,8537 134,8547 23-01-15 126,2403 127,8165 23-01-15 69.642.499,60 33.232.887,93 54.803.958,55 16.644.840,76 5.568.579,56 4.445.591,15 2.215 533 1.673 103 113 109 22-01-15 562.676.019,52 22-01-15 489.903.632,93 21-01-15 12.825.854,61 22-01-15 32.677.001,57 22-01-15 519.200.378,56 22-01-15 382.305.799,15 22-01-15 179.861.004,90 22-01-15 242.541.320,43 22-01-15 1.232.462.114,85 22-01-15 99.294.520,58 22-01-15 44.473.232,44 22-01-15 15.946.269,63 22-01-15 129.197.204,05 22-01-15 50.556.818,81 22-01-15 23.092.229,95 22-01-15 74.616.748,18 22-01-15 40.433.377,35 22-01-15 140.828.524,78 22-01-15 103.803.096,07 22-01-15 10.940.175,73 22-01-15 4.529.309,56 2.178 289 1.203 1.179 23.508 3.958 399 8.307 50.026 11.727 453 16 6.422 4.061 41 4.264 372 9.214 1.129 104 6 INTERMONEY GESTION CAJAMAR CORTO PLAZO CAJAMAR FONDEPOSITO CAJAMAR MODERADO INTERMONEY GESTION FLEXIBLE INTERMONEY RENTA FIJA CORTO PLAZ INTERMONEY VARIABLE EURO ES0114546031 ES0105582003 ES0109226037 ES0131385009 ES0155171038 ES0155142039 BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA ES0107678015 ES0107678007 ES0138257037 ES0165526031 ES0105002002 ES0105002010 ES0105002036 ES0137640001 ES0137653004 ES0184923037 ES0184923003 ES0184923011 ES0137878031 ES0170738035 ES0105182010 ES0177031038 ES0177031004 ES0105182036 ES0105182002 ES0170738001 ES0170738019 CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. 7,8036 8,6906 6,5111 958,4494 30,6589 30,8195 31,0727 6,8081 6,6331 6,7056 9,8325 9,9862 6,1514 21,2926 9,3518 39,6216 7,8286 39,2246 9,2132 12,5341 15,0001 7,9231 8,8237 6,5104 958,3135 30,6883 30,8493 31,1029 6,8069 6,6326 6,8461 10,0388 10,1958 6,3092 21,7247 9,5500 39,8849 7,8808 40,0544 9,4083 12,7887 15,3050 ES0138068038 ES0138068004 ES0138068012 ES0138392008 ES0138392032 ES0137412005 ES0122056031 ES0138137031 ES0138137007 ES0138137015 ES0138328010 ES0138328002 ES0138328036 CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. 6,1700 6,3775 6,4953 8,0734 8,1415 6,2710 5,1231 9,3390 9,6318 10,9721 12,7389 10,8407 7,8614 6,2985 6,5105 6,6309 8,2094 8,2784 6,3923 5,1039 9,4211 9,7166 11,0690 12,9002 10,9777 7,9606 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 17.080.061,10 8.010.904,76 7.937.412,08 199.436.673,09 45.277.007,78 31.640.187,54 15.634.189,13 11.487.504,74 3.589.245,91 2.774,60 2.068.223,05 8.262.980,09 26.462.196,71 1.639 88 6 1 2.263 1.006 3.080 1.542 43 1 4 98 2.907 ES0138181005 ES0138181013 ES0138172004 ES0138172012 ES0122056007 ES0122056015 ES0138189008 ES0138189016 ES0106193016 ES0106193032 ES0106193008 ES0137696003 ES0137974038 ES0137625002 ES0137806032 ES0137503001 ES0113693032 ES0115651004 ES0164540033 ES0164540009 ES0137505006 ES0173407034 ES0115652002 ES0115652010 ES0137506004 ES0137506012 ES0137507002 CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. 11,8128 12,1145 10,0024 10,1683 5,2855 5,7407 11,8023 12,0578 10,2505 11,4086 9,6512 6,7837 10,5291 6,4473 8,2974 7,0329 10,7032 10,7406 13,2715 13,1269 7,2047 23,8771 9,8847 9,9072 10,0992 10,0856 10,1103 11,8020 12,1037 10,0303 10,1968 5,2658 5,7194 11,8472 12,1039 10,4052 11,5804 9,7967 6,8022 10,7073 6,5343 8,3302 7,0318 11,0585 10,7418 13,2936 13,1487 7,2380 24,2338 9,9288 9,9515 10,1005 10,0869 10,1317 21-01-15 69.122.760,96 21-01-15 21.864.096,72 21-01-15 42.401.702,24 21-01-15 9.990.527,52 21-01-15 1.852.007,48 21-01-15 806.258,28 21-01-15 26.582.353,25 21-01-15 2.626.038,60 22-01-15 6.983.718,07 22-01-15 42.965.347,24 22-01-15 32.865.345,83 21-01-15 134.980.121,73 22-01-15 14.340.749,03 22-01-15 83.931.405,44 22-01-15 161.335.575,75 22-01-15 19.570.468,05 22-01-15 26.299.156,95 21-01-15 61.223.434,92 21-01-15 1.080.666.178,31 21-01-15 814.891.136,87 22-01-15 80.243.534,51 22-01-15 9.778.558,24 22-01-15 17.186.461,54 22-01-15 2.538.923,74 22-01-15 116.919.901,81 22-01-15 57.037.874,74 22-01-15 38.348.128,93 724 24 435 16 21 2 258 8 8 4.126 425 9.656 9.679 9.468 9.686 100 3.113 2.291 9.651 40.827 1.671 724 838 10 5.481 190 1.970 INVERCAIXA GESTION ALBUS EXTRA ALBUS PLATINUM FONCAIXA 75 GLOBAL FONCAIXA AHORRO 31 FONCAIXA AHORRO ESTANDAR FONCAIXA AHORRO PLUS FONCAIXA AHORRO PREMIUM FONCAIXA ASEGURADO FONCAIXA BIENVENIDA FONCAIXA BOLSA DIVIDENDO EUROPA FONCAIXA BOLSA DIVIDENDO EUROPA PLU FONCAIXA BOLSA DIVIDENDO EUROPA PRE FONCAIXA BOLSA ESPANA 150 FONCAIXA BOLSA GES.EURO CL.ESTANDAR FONCAIXA BOLSA GEST.ESPAÑA PREMIUM FONCAIXA BOLSA GESTION SUIZA ESTAND FONCAIXA BOLSA GESTION SUIZA PLUS FONCAIXA BOLSA GESTIÓN ESPAÑA FONCAIXA BOLSA GESTIÓN ESPAÑA PLUS FONCAIXA BOLSA GESTIÓN EURO PLUS FONCAIXA BOLSA GESTIÓN EURO PREMIUM FONCAIXA BOLSA GESTIÓN EUROPA FONCAIXA BOLSA GESTIÓN EUROPA PLUS FONCAIXA BOLSA GESTIÓN EUROPA PREMI FONCAIXA BOLSA ÍNDICE ESPAÑA INST. FONCAIXA BOLSA ÍNDICES ESPAÑA ESTAN FONCAIXA BOLSA RENTAS FONCAIXA BOLSA SELECC. JAPON CL EST FONCAIXA BOLSA SELECCIÓN ASIA FONCAIXA BOLSA SELECCIÓN ASIA PLUS FONCAIXA BOLSA SELECCIÓN ASIA PREMI FONCAIXA BOLSA SELECCIÓN EMER PREMI FONCAIXA BOLSA SELECCIÓN EMERG. PLU FONCAIXA BOLSA SELECCIÓN EMERGENTES FONCAIXA BOLSA SELECCIÓN EUROPA PLU FONCAIXA BOLSA SELECCIÓN EUROPA PRE FONCAIXA BOLSA SELECCIÓN GLOBAL PLU FONCAIXA BOLSA SELECCIÓN GLOBAL PRE FONCAIXA BOLSA SELECCIÓN JAPÓN PLUS FONCAIXA BOLSA SELECCIÓN JAPÓN PREM FONCAIXA BOLSA SELECCIÓN USA PLUS FONCAIXA BOLSA SELECCIÓN USA PREMIU FONCAIXA BOLSA SMALL CAPS EU PREMIU FONCAIXA BOLSA SMALL CAPS EURO FONCAIXA BOLSA SMALL CAPS EURO PLUS FONCAIXA CART BOL EUR DIV. CUBIERTA FONCAIXA CART. BOLSA ÍNDICE ESPAÑA FONCAIXA CARTERA BOLSA USA DIVIS.C FONCAIXA CARTERA R.F.DURACION FONCAIXA CÉDULAS FONCAIXA COMUNICACIONES FONCAIXA CONSERVADOR VAR 3 FONCAIXA CRECIMIENTO CLASE ESTANDAR FONCAIXA CRECIMIENTO PLUS FONCAIXA DEUDA PUBLICA ESPAÑA FONCAIXA DEUDA PUBLICA INTERNACIONA FONCAIXA DP ABRIL 2021 ESTANDAR FONCAIXA DP ABRIL 2021 EXTRA FONCAIXA DP ESPAÑA MAYO 2016 ESTAND FONCAIXA DP ESPAÑA MAYO 2016 EXTRA FONCAIXA DP JULIO 2018 ESTANDAR lunes, 26 de enero de 2015 Monday, 26 January 2015 24 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds Cód.ISIN ISIN Code FONCAIXA DP JULIO 2018 EXTRA FONCAIXA EQUILIBRIO ESTANDAR FONCAIXA EQUILIBRIO PREMIUM FONCAIXA ESTR.FLEX EXTRA FONCAIXA ESTR.FLEX PLAT. FONCAIXA ESTR.FLEX PLUS FONCAIXA FONDTESORO LP ESTANDAR FONCAIXA FONSTRESOR CATALUNYA FONCAIXA GAR. PROTECCIÓN EMERGENTES FONCAIXA GAR.EUROPA PROTECCIÓN 12 FONCAIXA GARANTIA ENERO 2018, FI FONCAIXA GARANTIA EUROPA PROTEC. 13 FONCAIXA GARANTIA R.F. 2017 EXTRA FONCAIXA GARANTIA R.F. 2017 PLUS FONCAIXA GARANTIIA EUROPA PROT. 11 FONCAIXA GARANTIZADO R.F. 2017 ESTA FONCAIXA GARANTIZADO RENTA FIJA 3, FONCAIXA GARANTIZADO RENTA FIJA 4 FONCAIXA GARANTIZADO RENTA FIJA, FI FONCAIXA GARANTÍA EUROBOLSA 2 FONCAIXA GARANTÍA EUROBOLSA 3 FONCAIXA GARANTÍA EUROBOLSA 4 FONCAIXA GARANTÍA EUROBOLSA 5 FONCAIXA GARANTÍA EUROBOLSA 6 FONCAIXA GESTION ALFA EXTRA FONCAIXA GESTION ALFA PLATINIUM FONCAIXA GESTION ALFA PLUS FONCAIXA HORIZONTE ENERO 2018 ESTAN FONCAIXA HORIZONTE ENERO 2018 EXTRA FONCAIXA HORIZONTE ENERO 2018 II ES FONCAIXA HORIZONTE ENERO 2018 II EX FONCAIXA IDEAS BOLSA ESPAÑA ESTANDA FONCAIXA IDEAS BOLSA ESPAÑA PLUS FONCAIXA IDEAS BOLSA ESPAÑA PREMIUM FONCAIXA IMPULSO FONCAIXA INTERES FONCAIXA INTERES 2 FONCAIXA ITER EXTRA FONCAIXA ITER PLATINUM FONCAIXA MONETARIO FONCAIXA MONETARIO LIQUIDEZ FONCAIXA MONETARIO LIQUIDEZ PLUS FONCAIXA MONETARIO LIQUIDEZ PREMIUM FONCAIXA MONETARIO RENDIMIENTO CART FONCAIXA MONETARIO RENDIMIENTO ESTA FONCAIXA MONETARIO RENDIMIENTO PLUS FONCAIXA MONETARIO RENDIMIENTO PREM FONCAIXA MULTISALUD FONCAIXA OBJETIVO BOLSA ESPAÑA FONCAIXA OBJETIVO BOLSA ESPAÑA 2 FONCAIXA OBJETIVO OCTUBRE 2014 FONCAIXA OBJETIVO RENTAS 2 ESTANDAR FONCAIXA OBJETIVO RENTAS 2 EXTRA FONCAIXA OBJETIVO RENTAS EST FONCAIXA OBJETIVO RENTAS EXTRA FONCAIXA OBJETIVO RENTAS PLUS FONCAIXA OBJETVO IBEX FONCAIXA OPORTU. CLASE ESTANDAR FONCAIXA PATRIMONIOS FIJO Y FLEXIBL FONCAIXA PREMIUM RENDIMIENTO B FONCAIXA PREMIUM RENDIMIENTO IV FONCAIXA PREMIUM RENDIMIENTO VII FONCAIXA PREMIUM REVALORIZACION FONCAIXA R.F. SELECCIÓN EMERGE PREM FONCAIXA R.F. SELECCIÓN EMERGEN. PL FONCAIXA R.F. SELECCIÓN EMERGENTES FONCAIXA R.F.SELEC. HIGH YIELD PLUS ES0137507010 ES0164539001 ES0164539019 ES0137656007 ES0137656015 ES0137656023 ES0137979003 ES0122057039 ES0184924035 CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. 10,1664 15,9106 16,3524 5,9733 5,9746 5,9725 8,8049 9,5772 6,7456 10,1882 15,9273 16,3699 5,9643 5,9656 5,9635 8,8494 9,6109 6,7446 22-01-15 21.904.501,36 21-01-15 2.389.401.740,24 21-01-15 478.840.730,36 21-01-15 1.722.655,43 21-01-15 2.095.771,25 21-01-15 2.381.805,69 22-01-15 88.512.133,03 22-01-15 40.290.932,43 22-01-15 23.095.558,14 69 113.351 845 8 2 34 3.853 2.454 1.676 ES0145455004 ES0138402039 ES0109648032 ES0137677029 ES0137677011 ES0137706034 ES0137677003 ES0138401031 ES0138363033 ES0180962005 ES0137664001 ES0137783009 ES0137701001 ES0137784007 ES0137665008 ES0180963003 ES0180963011 ES0180963029 ES0137791002 ES0137791010 ES0115719009 ES0115719017 ES0164492011 ES0164492003 ES0164492029 ES0165541030 ES0165530033 ES0137792000 ES0145458008 ES0145458016 ES0165549009 ES0137698009 ES0137698025 ES0137698017 ES0138045044 CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. 6,5876 165,6978 11,4572 6,7444 6,7125 6,6254 7,7325 153,4567 131,4077 113,8642 6,4111 6,7708 7,5239 7,9532 7,0889 6,1137 6,1184 6,1422 7,0594 7,1101 11,6913 6,7146 11,4106 9,3136 11,7264 869,1208 848,1808 5,9635 7,2672 7,1813 10,4731 6,4090 6,3134 6,3610 7,8399 6,5876 166,0506 11,4541 6,7536 6,7216 6,6254 7,7428 153,4580 131,4457 113,8636 6,4654 6,8356 7,5925 8,0214 7,1512 6,1662 6,1710 6,1949 7,0743 7,1252 11,7162 6,7290 11,5817 9,4534 11,9026 869,0361 849,2897 5,9728 7,3072 7,2208 10,4731 6,4089 6,3133 6,3609 7,8394 22-01-15 39.366.247,18 22-01-15 12.376.043,34 22-01-15 8.937.285,26 22-01-15 126.159.060,91 22-01-15 70.765.848,96 11-12-14 57.466.492,18 22-01-15 124.204.428,65 22-01-15 4.823.439,49 22-01-15 12.435.823,26 22-01-15 2.982.719,35 22-01-15 8.437.105,89 22-01-15 35.644.830,22 22-01-15 81.729.842,44 22-01-15 71.898.971,67 22-01-15 26.772.756,12 22-01-15 23.418.129,31 22-01-15 3.645.873,51 22-01-15 25.770.297,49 22-01-15 217.130.741,11 22-01-15 101.244.958,66 22-01-15 128.920.524,13 22-01-15 12.204.825,63 22-01-15 20.121.297,64 22-01-15 51.725.371,39 22-01-15 14.674.829,12 22-01-15 108.083.270,64 22-01-15 447.477.336,24 22-01-15 113.085.362,52 22-01-15 1.760.073.605,34 22-01-15 428.449.373,48 22-01-15 310.242.226,46 22-01-15 5.774.974,08 22-01-15 10.079.519,75 22-01-15 5.910.868,76 22-01-15 105.142.090,24 2.133 857 622 437 907 3.285 7.212 398 721 148 228 1.826 3.991 4.264 1.234 100 4 376 9.994 331 6.372 54 1.259 532 26 8.516 23.987 5.922 6.361 247 14.934 81 407 50 9.488 ES0138045002 CECABANK, S.A. 7,7706 7,7700 22-01-15 455.518.924,89 27.695 ES0138045010 CECABANK, S.A. 7,8398 7,8393 22-01-15 284.798.619,60 2.636 ES0138045028 CECABANK, S.A. 7,9003 7,8999 22-01-15 256.715.425,18 886 344.182.089,93 39.388.163,63 57.093.616,61 49.341.131,91 3.936.424,61 7.456.264,54 6.701.437,65 14.393.997,41 8.198.861,06 7.204.433,29 251.464.808,82 1.428.231,15 42.582.679,48 20.372.200,84 26.894.154,93 24.110.618,53 124.071,70 2.363.954,29 3.649.834,02 5.027.243,57 16.913 1.046 2.669 3.813 270 30 390 58 107 375 14.767 18 175 915 1.244 178 2 29 2.008 53 lunes, 26 de enero de 2015 ES0110057033 ES0137778009 ES0138176039 ES0137788008 ES0165542004 ES0165542020 ES0137682003 ES0137682029 ES0137682011 ES0137685030 ES0164948004 ES0112829009 ES0115716013 ES0165528003 ES0165546039 ES0115715007 ES0137916013 ES0137916005 ES0137916039 ES0184922005 Monday, 26 January 2015 Depositario Depositary CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. Precedente Previous 15,5304 7,0904 8,2752 6,8041 11,0811 11,1930 11,0349 11,1527 11,0936 7,7160 13,3348 10,7773 13,0827 11,9637 404,2395 11,4862 6,6292 6,5326 8,6716 7,6757 Último Last 15,7658 7,1575 8,3480 6,8041 11,0918 11,2040 11,0389 11,1570 11,0978 7,7922 13,3865 10,7774 13,0847 11,9637 404,2399 11,4851 6,6528 6,5558 8,7023 7,6806 Fecha Date 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 21-01-15 11-12-14 22-01-15 11-12-14 11-12-14 22-01-15 21-01-15 21-01-15 21-01-15 21-01-15 Patrimonio Assets 25 NºPartícipes Units BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds Cód.ISIN ISIN Code FONCAIXA R.F.SELECC. HIGH YIELD PRE FONCAIXA RENDIMIENTO CARTERA PREM FONCAIXA RENT. TRIMEST. 2 PLUS FONCAIXA RENT.TRIMESTRALES 2 ESTAND FONCAIXA RENTA FIJA 2014 A FONCAIXA RENTA FIJA 2014 B FONCAIXA RENTA FIJA 2015 A FONCAIXA RENTA FIJA 2015 B FONCAIXA RENTA FIJA CORPORATIVA EST FONCAIXA RENTA FIJA CORPORATIVA PRE FONCAIXA RENTA FIJA FLEXIBLE ESTAND FONCAIXA RENTA FIJA FLEXIBLE PATRIM FONCAIXA RENTA FIJA FLEXIBLE PLATIN FONCAIXA RENTA FIJA FLEXIBLE PREMIU FONCAIXA RENTAS 2016 CLASE ESTANDAR FONCAIXA RENTAS 2016 CLASE EXTRA FONCAIXA RENTAS 2017 FONCAIXA RENTAS 2018 ESTANDAR FONCAIXA RENTAS 2018 EXTRA FONCAIXA RENTAS ABRIL 2020 EST FONCAIXA RENTAS ABRIL 2020 EST FID FONCAIXA RENTAS ABRIL 2020 EXT FONCAIXA RENTAS ABRIL 2020 EXT FID FONCAIXA RENTAS ABRIL 2020 PLUS FONCAIXA RENTAS ABRIL 2020 PLUS FID FONCAIXA RENTAS ABRIL 2021 ESTA FID FONCAIXA RENTAS ABRIL 2021 ESTANDAR FONCAIXA RENTAS ABRIL 2021 EXTRA FONCAIXA RENTAS ABRIL 2021 EXTRA FI FONCAIXA RENTAS ABRIL 2021 II EST FONCAIXA RENTAS ABRIL 2021 II EXT FONCAIXA RENTAS ABRIL 2021 II PLUS FONCAIXA RENTAS ABRIL 2021 PLUS FONCAIXA RENTAS ABRIL 2021 PLUS FID FONCAIXA RENTAS ENERO 2018 CL. EST. FONCAIXA RENTAS ENERO 2018 CL. EXT. FONCAIXA RENTAS ENERO 2018 CL.EX.F. FONCAIXA RENTAS ENERO 2018 CL.PL. FONCAIXA RENTAS ENERO 2018 CL.PL.F. FONCAIXA RENTAS ENERO 2018 CLASE ES FONCAIXA RENTAS JULIO 2019 ESTD FONCAIXA RENTAS JULIO 2019 ESTD FID FONCAIXA RENTAS JULIO 2019 EXTRA FONCAIXA RENTAS JULIO 2019 EXTRA FI FONCAIXA RENTAS JULIO 2019 PLUS FONCAIXA RENTAS JULIO 2019 PLUS FID FONCAIXA RENTAS OCTUBRE 2018 EST FONCAIXA RENTAS OCTUBRE 2018 EST FI FONCAIXA RENTAS OCTUBRE 2018 EXT FONCAIXA RENTAS OCTUBRE 2018 EXT F FONCAIXA RENTAS OCTUBRE 2018 PLUS FONCAIXA RENTAS OCTUBRE 2018 PLUS F FONCAIXA RENTAS TRIMEST. PLUS FONCAIXA RENTAS TRIMESTR. ESTANDAR FONCAIXA RF FLEXIBLE PLUS FONCAIXA SEL. RET. ABS. PLUS FI PLU FONCAIXA SELECCION TENDENCIAS ESTAN FONCAIXA SELECCION TENDENCIAS PLUS FONCAIXA SELECCIÓN RETORNO ABSOLUTO FONCAIXA TIPO GARANTIZADO V FONCAIXA VALOR 100/30 EUROSTOXX FONCAIXA VALOR 100/30 EUROSTOXX 2 FONCAIXA VALOR 100/45 EUROSTOXX FONCAIXA VALOR 100/50 EUROSTOXX FONCAIXA VALOR 100/50 IBEX FONCAIXA VALOR 90 EUROSTOXX FONCAIXA VALOR 90/75 EUROSTOXX 2 FONCAIXA VALOR 95/50 EUROSTOXX FONCAIXA VALOR 95/65 EUROSTOXX FONCAIXA VALOR BOLSA ESPAÑA FONCAIXA VALOR BOLSA ESPAÑA 2 ES0184922013 ES0138045051 ES0164464010 ES0164464002 ES0115712004 ES0115712012 ES0115717003 ES0115717011 ES0137896033 ES0137896009 ES0138219003 ES0138219011 ES0138219029 ES0138219045 ES0133121006 ES0133121014 ES0138017001 ES0138018009 ES0138018017 ES0112830007 ES0112830015 ES0112830023 ES0112830031 ES0112830049 ES0112830056 ES0112831013 ES0112831005 ES0112831021 ES0112831039 ES0165543002 ES0165543010 ES0165543028 ES0112831047 ES0112831054 ES0137906014 ES0137906022 ES0137906030 ES0137906048 ES0137906055 ES0137906006 ES0137886000 ES0137886018 ES0137886026 ES0137886034 ES0137886042 ES0137886059 ES0137907004 ES0137907012 ES0137907020 ES0137907038 ES0137907046 ES0137907053 ES0164852016 ES0164852008 ES0138219037 ES0138066032 ES0164853006 ES0164853014 ES0138066008 CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. 7,8057 7,9567 6,6945 6,6565 10,9400 10,9937 13,0270 13,1007 7,7085 7,7724 7,0839 6,7758 6,1186 6,1084 6,4694 6,4906 6,7800 6,6597 6,6853 6,4279 6,4335 6,4355 6,4411 6,4317 6,4373 6,4558 6,4514 6,4573 6,4616 6,3032 6,3082 6,3057 6,4543 6,4587 6,5958 6,5959 6,6145 6,5846 6,6033 6,5771 6,5521 6,5594 6,5618 6,5691 6,5570 6,5643 6,5349 6,5440 6,5471 6,5562 6,5410 6,5501 6,6902 6,6481 9,3657 6,6470 8,1041 8,2320 6,2131 7,8109 7,9563 6,6935 6,6555 10,9400 10,9937 13,0278 13,1015 7,7324 7,7966 7,1080 6,7991 6,1396 6,1293 6,4762 6,4975 6,7900 6,6738 6,6996 6,4539 6,4596 6,4615 6,4672 6,4577 6,4634 6,4850 6,4805 6,4865 6,4909 6,3319 6,3370 6,3345 6,4835 6,4879 6,6096 6,6097 6,6284 6,5984 6,6171 6,5909 6,5730 6,5804 6,5828 6,5901 6,5779 6,5853 6,5521 6,5613 6,5643 6,5735 6,5582 6,5674 6,6907 6,6486 9,3977 6,6518 8,1381 8,2667 6,2176 21-01-15 2.603,64 22-01-15 21.625.158,59 22-01-15 9.424.380,70 22-01-15 5.491.270,49 11-12-14 11.906.626,42 11-12-14 8.525.340,32 22-01-15 23.098.809,76 22-01-15 40.210.807,93 22-01-15 113.758.700,98 22-01-15 89.500.689,06 22-01-15 872.497.925,59 22-01-15 63.459.758,08 22-01-15 41.864.994,60 22-01-15 92.303.746,68 22-01-15 378.067.099,16 22-01-15 111.815.903,81 22-01-15 338.310.434,06 22-01-15 130.745.607,93 22-01-15 47.973.522,60 22-01-15 142.671.319,63 22-01-15 43.921.105,77 22-01-15 112.972.706,11 22-01-15 35.792.094,27 22-01-15 131.935.865,97 22-01-15 35.158.869,59 22-01-15 25.996.823,15 22-01-15 163.984.525,50 22-01-15 141.669.773,37 22-01-15 16.401.025,35 22-01-15 47.250.548,68 22-01-15 22.325.301,60 22-01-15 35.651.999,89 22-01-15 151.742.695,90 22-01-15 15.681.072,52 22-01-15 192.003.727,58 22-01-15 118.872.950,85 22-01-15 272.743.746,76 22-01-15 107.782.603,46 22-01-15 210.615.989,37 22-01-15 157.496.808,39 22-01-15 174.746.500,25 22-01-15 114.112.277,01 22-01-15 99.091.666,29 22-01-15 41.752.889,19 22-01-15 123.546.271,30 22-01-15 60.481.335,94 22-01-15 215.180.177,57 22-01-15 519.098.895,43 22-01-15 188.304.804,37 22-01-15 325.122.830,56 22-01-15 185.682.023,37 22-01-15 377.173.067,91 22-01-15 6.567.669,36 22-01-15 4.023.028,43 22-01-15 1.585.506.479,18 21-01-15 211.089.932,24 21-01-15 77.941.196,05 21-01-15 109.336.869,54 21-01-15 37.353.589,51 ES0115720007 ES0137433001 ES0139781001 ES0137683001 ES0137833002 ES0137834000 ES0137887008 ES0112832003 ES0112833001 ES0137888006 ES0164854004 ES0164465009 CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. 10,8869 6,1161 5,9971 6,3210 6,2484 6,2565 6,2528 6,4172 5,9970 6,3946 6,9909 6,8443 10,8870 6,1625 5,9971 6,3749 6,2935 6,3069 6,3208 6,5005 5,9970 6,4618 7,0574 6,8970 11-12-14 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 lunes, 26 de enero de 2015 Monday, 26 January 2015 Depositario Depositary Precedente Previous Último Last Fecha Date Patrimonio Assets 1.888.077,88 216.679.769,60 78.472.987,17 98.547.410,84 149.524.221,64 87.241.430,30 58.422.246,19 22.337.423,04 42.011.148,85 38.211.114,54 17.725.934,60 11.213.188,87 26 NºPartícipes Units 1 216 101 363 1.012 94 1.188 391 9.328 981 39.773 15 27 203 17.109 438 11.448 6.111 187 7.563 2.201 407 105 1.786 405 1.456 8.001 397 58 2.759 78 487 1.918 182 8.496 441 932 1.467 2.574 9.815 10.940 6.675 364 154 1.676 757 12.833 29.965 574 1.102 2.478 4.747 51 329 17.445 1.939 4.632 1.050 1.750 79 6.410 3.032 3.371 3.750 2.596 1.371 685 1.378 1.030 1.039 495 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds Cód.ISIN ISIN Code Depositario Depositary FONCAIXA VALOR BOLSA ESPAÑA 3 FONCAIXA VALOR BOLSA EURO FONCAIXA VALOR BOLSA EURO 2 FONCAXIA CARTERA GLOBAL FONCAXIA OBJETIVO RENTAS 2 PLUS FONCAXIA PREMIUM RENDIMIENTO A MICROBANK FONDO ETICO GARANTIZADO MICROBANK FONDO ÉTICO ES0138019007 ES0138020005 ES0137908002 ES0138012036 ES0165542012 ES0115716005 ES0171732003 ES0138516036 CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. ES0147614038 ES0147616033 ES0166486037 ES0175316001 ES0175437039 ES0175414004 ES0175445032 ES0175404005 ES0175447038 INVERSEGUROS, S.V.B., S.A. INVERSEGUROS, S.V.B., S.A. INVERSEGUROS, S.V.B., S.A. INVERSEGUROS, S.V.B., S.A. INVERSEGUROS, S.V.B., S.A. INVERSEGUROS, S.V.B., S.A. INVERSEGUROS, S.V.B., S.A. INVERSEGUROS, S.V.B., S.A. INVERSEGUROS, S.V.B., S.A. ES0109286007 ES0128496033 ES0164526008 ES0138930005 ES0180677009 ES0105297008 ES0105297024 ES0105297032 ES0105298006 ES0105312005 BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET BANCO INVERSIS NET Precedente Previous Último Last Fecha Date Patrimonio Assets NºPartícipes Units 6,4945 6,4643 6,4964 8,1571 11,1369 12,9186 8,3796 7,6896 6,5380 6,5095 6,5461 8,1465 11,1477 12,9205 8,4059 7,7538 22-01-15 22-01-15 22-01-15 21-01-15 22-01-15 22-01-15 22-01-15 22-01-15 19.836.931,94 51.179.772,45 70.938.109,08 159.008.201,20 4.231.468,01 10.022.296,49 29.186.627,95 24.889.117,89 692 1.630 2.552 9.655 62 208 2.882 1.682 14,3947 9,7234 134,6024 11,7610 239,0619 10,6391 155,4052 11,3741 16,8524 14,4419 9,7951 134,6910 11,7553 239,4811 10,6488 156,6475 11,2968 16,7439 23-01-15 23-01-15 23-01-15 23-01-15 22-01-15 23-01-15 23-01-15 23-01-15 23-01-15 3.061.863,70 4.451.018,60 18.908.304,58 10.034.615,43 9.994.114,55 29.616.111,81 21.562.876,69 50.166.643,75 250.256.692,25 103 103 102 104 301 182 202 104 185 11,8026 558,2167 5,8914 2.356,1059 9,2659 11,1781 11,8056 560,4008 5,8929 2.361,2265 9,2288 11,2233 21-01-15 21-01-15 21-01-15 21-01-15 23-01-15 23-01-15 29.937.315,14 10.019.493,28 25.627.743,14 1.572.486,46 3.259.289,49 6.308.253,74 577 1.132 509 46 117 171 9,5974 7,0934 9,6054 23-01-15 7,0746 21-01-15 17.030.797,98 4.099.244,19 239 124 13,5379 13,6400 23-01-15 38.761.294,75 139 96 172 212 76 3.138 5.100 28.863 567 31.389 29.380 26.845 22.611 29.349 831 21.720 1.912 41.007 29.897 519 2.349 643 3.972 3.753 1.608 1.471 6.322 1.617 614 26.604 INVERSEGUROS GESTION AEGON INVERSION MF AEGON INVERSION MV NUCLEFON SEGURFONDO ETICO CART.FLEXIBLE SEGURFONDO GESTION DINAMICA, FI SEGURFONDO RENA FIJA FLEXIBLE SEGURFONDO RENTA VARIABLE SEGURFONDO S&P 100 CUBIERTO SEGURFONDO USA INVERSIS GESTION ANNAPURNA EJECUTIVOS EUROFOND FONDINAMICO FONVALCEM CLASE B TREA ABSOLUTE 6 TREA GLOBAL BOND TREA GLOBAL BOND C TREA GLOBAL BOND D TREA RENTAS EMERGENTES XENIA FLEXIBLE J.P. MORGAN GESTION JPMORGAN RV CRECIMIENTO ES0156568000 BNP PARIBAS SECURITIES S. S. ESP. KUTXABANK GESTION, SGIIC BBK GARANTIZADO INFLACION ES0113452033 BBK GARANTIZADO INFLACION 2 F.I ES0113551032 BBK GARANTIZADO RENTA FIJA 10/14 ES0114585005 BBK RENTA FIJA 2014 ES0113423034 KUTXABAN RENTAS OCTUBRE 2019 ES0179466000 KUTXABANK RF ABRIL 2015 (2) ES0114185038 KUTXABANK 0/100 CARTERAS ES0113053005 KUTXABANK BASKEFOND ES0184240036 KUTXABANK BOLSA ES0114388038 KUTXABANK BOLSA EEUU ES0113191037 KUTXABANK BOLSA EUROZONA ES0114221031 KUTXABANK BOLSA INTERNACIONAL ES0113987038 KUTXABANK BOLSA JAPON ES0114232038 KUTXABANK BOLSA NUEVA ECONOMIA ES0114222039 KUTXABANK BOLSA SECTORIAL ES0114237037 KUTXABANK BOLSAS EMERGENTES ES0114233036 KUTXABANK BONO ES0114276035 KUTXABANK DIVIDENDO ES0133759037 KUTXABANK FONDO SOLIDARIO ES0114186036 KUTXABANK GARAN.BOLSA EURO.2 ES0114238035 KUTXABANK GARAN.BOLSA EUROPA ES0156727036 KUTXABANK GARAN.BOLSA EUROPA 3 ES0184253005 KUTXABANK GARANTIZADO I ES0113274007 KUTXABANK GARANTIZADO II ES0157026032 KUTXABANK GARANTIZADO III ES0156771000 KUTXABANK GARANTIZADO IV ES0125625006 KUTXABANK GARANTIZADO V ES0156772008 KUTXABANK GARANTIZADO VI ES0126506031 KUTXABANK GESTION ACTIVA ES0114836036 PATRIMONIO KUTXABANK GESTION ACTIVA RENDIMIENT ES0114390034 KUTXABANK HORIZONTE 2015 I ES0113453031 KUTXABANK HORIZONTE 2015 II ES0156977037 KUTXABANK HORIZONTE 2015 III ES0184264036 KUTXABANK HORIZONTE 2017 I, FI. ES0113404000 KUTXABANK HORIZONTE 2017 II ES0156773006 KUTXABANK HORIZONTE 2017 III ES0164224000 KUTXABANK HORIZONTE ENERO 2017 ES0156774004 KUTXABANK HORIZONTE EUR.2021 ES0160626000 KUTXABANK HORIZONTE EUROPA PLUS FI ES0166777005 lunes, 26 de enero de 2015 Monday, 26 January 2015 KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK 8,0274 6,6540 6,3827 7,6659 6,4624 7,4845 4,9933 1.319,1091 18,5739 7,7596 5,4476 7,9064 3,2433 3,2685 5,4582 10,3943 10,4983 9,4359 7,6622 7,6282 6,7341 1.159,9725 6,5409 988,7623 1.066,0937 6,7379 6,7254 1.589,0810 9,9799 8,0274 6,6540 6,3826 7,6659 6,4847 7,4842 4,9665 1.321,1245 18,8857 7,8946 5,5395 8,0265 3,2584 3,3421 5,5629 10,6648 10,5303 9,5874 7,6969 7,6754 6,7635 1.166,0964 6,5404 988,6989 1.065,9917 6,7377 6,7252 1.589,0307 10,0265 22-01-15 1.349.015,96 22-01-15 2.146.381,23 22-01-15 4.479.658,59 30-12-14 2.363.698,84 22-01-15 107.164.244,10 22-01-15 152.748.133,55 22-01-15 371.888.647,92 22-01-15 38.735.842,42 22-01-15 174.267.352,00 22-01-15 227.064.064,12 22-01-15 207.423.973,90 22-01-15 275.903.511,37 22-01-15 98.285.421,75 22-01-15 28.430.448,66 22-01-15 124.522.779,64 22-01-15 24.745.344,15 22-01-15 1.233.148.117,45 22-01-15 256.900.695,22 22-01-15 12.827.798,01 22-01-15 55.316.529,72 22-01-15 12.641.355,84 22-01-15 104.755.175,15 22-01-15 79.024.606,67 22-01-15 45.057.311,66 22-01-15 59.237.415,42 22-01-15 155.109.487,62 22-01-15 34.406.672,13 22-01-15 21.532.553,59 22-01-15 572.871.609,55 KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK 21,2206 6,9116 6,8631 1.021,9827 7,5155 7,4734 7,4695 6,3652 6,0389 6,2000 21,3988 6,9115 6,8630 1.021,9718 7,5280 7,4858 7,4817 6,3749 6,0726 6,2400 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 206.491.296,06 59.022.845,67 10.217.115,12 4.785.685,63 51.754.227,40 29.289.013,72 10.384.484,85 248.938.953,82 12.655.632,99 34.035.231,53 27 9.422 1.781 422 137 1.504 669 106 6.842 886 1.307 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds Cód.ISIN ISIN Code KUTXABANK MULTIESTRATEGIA KUTXABANK R.F. LARGO PLAZO KUTXABANK RENTA FIJA CORTO KUTXABANK RENTA FIJA EMPRESAS KUTXABANK RENTA GLOBAL KUTXABANK RENTAS 10-2020 KUTXABANK RENTAS ABRIL 2021 KUTXABANK RENTAS ENERO 2022, FI KUTXABANK RENTAS OCTUBRE 2018 KUTXABANK RF 2015 CAJASUR KUTXABANK RF 2015 PLUS KUTXABANK RF 2016 CAJASUR KUTXABANK RF ABRIL 2015 KUTXABANK RF ABRIL 2016 KUTXABANK RF CARTERAS KUTXABANK RF ENERO 2017 KUTXABANK RF ENERO 2018 KUTXABANK RF ENERO 2022, FI KUTXABANK RF FEBRERO 2017 KUTXABANK RF OCTUBRE 2015 KUTXABANK RF OCTUBRE 2016 KUTXABANK TRANSITO KUTXAESTRUCTURADO 3 KUTXAGARANTIZADO JUNIO 2015 KUTXAGARANTIZADO MARZO 2015 KUTXAGARANTIZADO SEPTIEMBRE 2014 KUTXAGARANTIZADO SEPTIEMBRE 2015, F VITAL RENDIMIENTO GARANTIZADO IV ES0114202031 ES0157023039 ES0138591039 ES0157354038 ES0114387030 ES0179467008 ES0148892005 ES0148893003 ES0179465002 ES0184241000 ES0113534004 ES0184252031 ES0114234034 ES0164225007 ES0125627002 ES0125626004 ES0156775001 ES0156776009 ES0184242008 ES0184243006 ES0184251033 ES0114235031 ES0156891006 ES0142523002 ES0157016033 ES0133063000 ES0157019037 ES0184254003 Depositario Depositary KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK KUTXABANK Precedente Previous Último Last Fecha Date Patrimonio Assets NºPartícipes Units 6,5941 963,7550 9,7150 6,8284 21,3930 6,4214 6,2572 6,1291 6,4652 1.133,4876 6,9045 1.289,0234 7,6228 6,3351 6,3879 7,5184 6,4745 6,5955 967,4879 9,7160 6,8294 21,6931 6,4513 6,2892 6,1682 6,4802 1.133,4233 6,9062 1.290,3476 7,6224 6,3389 6,3891 7,5290 6,4900 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 96.581.396,45 585.854.819,98 659.656.101,29 55.423.725,34 233.442.226,77 74.379.848,50 46.804.723,11 29.728.956,59 135.159.264,11 48.743.101,13 173.879.144,47 58.848.560,73 122.824.161,23 258.919.909,21 411.058.395,93 216.743.025,68 293.164.022,94 24.677 32.205 27.262 343 22.023 1.636 1.437 947 4.280 2.518 2.863 2.571 4.971 7.505 25.314 6.447 8.917 6,6176 6,2794 1.287,0586 7,4230 8,2191 6,2215 968,1604 6,7796 759,9864 1.120,6185 6,6276 6,2829 1.289,4357 7,4230 8,4246 6,2207 968,0374 6,7795 759,9035 1.120,6186 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 30-12-14 22-01-15 22-01-15 212.763.682,32 113.445.435,01 222.134.432,44 18.615.062,14 46.887.514,30 17.500.009,15 48.181.703,10 2.349.695,04 25.517.764,02 27.067.259,48 6.156 3.494 6.074 818 1.237 406 1.363 87 717 522 96,4919 14-01-15 6.833.740,45 70.821 99,9355 14-01-15 5.263.438,36 52.668 MAGALLANES VALUE INVESTORS, S.A, MAGALLANES EUROPEAN EQUITY CLASE E MAGALLANES EUROPEAN EQUITY CLASE M MAGALLANES EUROPEAN EQUITY CLASE P MAGALLANES IBERIAN EQUITY CLASE E MAGALLANES IBERIAN EQUITY CLASE M MAGALLANES IBERIAN EQUITY CLASE P ES0159259003 ES0159259011 ES0159259029 ES0159201005 ES0159201013 ES0159201021 SANTANDER SECURITIES SERVICIES SANTANDER SECURITIES SERVICIES SANTANDER SECURITIES SERVICIES SANTANDER SECURITIES SERVICIES SANTANDER SECURITIES SERVICIES SANTANDER SECURITIES SERVICIES ES0138901030 ES0138658036 ES0138353034 ES0147625034 ES0178520039 ES0165197031 ES0165198039 ES0138725033 ES0138444031 ES0138599032 ES0122067038 ES0138396033 ES0138352036 ES0138903036 ES0138820032 ES0138709037 ES0137814002 ES0165196033 ES0160634038 ES0138956034 ES0138708039 ES0138777034 ES0138394038 ES0138395035 MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. MAPFRE INVERSION S.A. S.V. 28,9049 9,7084 8,8435 15,5520 60,9754 13,1787 20,3283 8,9713 6,2344 7,4082 7,7047 2,3372 9,1282 19,2848 12,5330 9,7355 7,5596 11,7453 15,8108 1.374,0738 15,7259 8,2767 8,3518 8,8199 29,4673 10,0983 8,9324 15,8659 62,8659 13,1898 21,2424 8,9713 6,2344 7,4022 7,8092 2,4391 9,1593 19,2953 12,5374 9,8592 7,6631 11,7452 15,8168 1.373,9388 15,8852 8,3203 8,4429 8,8405 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 21-01-15 09-12-14 09-12-14 21-01-15 23-01-15 21-01-15 23-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 23-01-15 21-01-15 23-01-15 23-01-15 250.615.771,22 96.740.680,42 45.319.935,14 124.394.406,11 48.732.291,38 31.348.318,90 49.804.465,44 5.893.372,99 7.345.391,06 33.782.608,79 53.507.485,44 49.588.962,91 48.964.707,43 111.256.922,10 129.823.599,56 245.051.453,33 47.082.211,16 13.019.397,98 385.725.082,00 57.704.776,11 37.332.252,57 40.743.020,32 63.198.874,18 48.366.091,73 8.240 2.249 3.445 572 3.567 1.218 3.304 708 1.004 3.359 4.345 3.617 2.896 5.246 7.096 13.904 1.574 1.532 36.521 3.651 2.511 3.613 3.481 3.473 BANCA MARCH BANCA MARCH BANCA MARCH BANCA MARCH BANCA MARCH BANCA MARCH BANCA MARCH BANCA MARCH BANCA MARCH BANCA MARCH BANCA MARCH 28,9649 5,5258 902,7939 5,0287 1.098,2526 10,7107 839,5794 11,5228 764,7623 9,4577 10,7284 29,0491 5,5548 913,1616 5,0618 1.098,4454 10,8656 841,5865 11,5225 774,9427 9,5581 10,7354 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 207.253.949,48 132.216.504,49 16.029.350,09 67.085.146,15 22.350.780,47 35.201.734,82 16.182.021,68 31.694.382,56 43.828.221,79 5.441.128,10 52.833.730,92 3.402 2.380 202 1.244 1.067 1.594 614 1.187 1.230 578 471 MAPFRE INVERSION-DOS FONDMAPFRE BOLSA FONDMAPFRE BOLSA AMERICA FONDMAPFRE BOLSA GVII FONDMAPFRE DIVERSIFICACION FONDMAPFRE DIVIDENDO FONDMAPFRE ESTABILIDAD FONDMAPFRE ESTRATEGIA 35 FONDMAPFRE GARANTIZADO 004 FONDMAPFRE GARANTIZADO 007 FONDMAPFRE GARANTIZADO 1104 FONDMAPFRE GARANTIZADO 1107 FONDMAPFRE GARANTIZADO 1111 FONDMAPFRE RENDIMIENTO 1 FONDMAPFRE RENTA FONDMAPFRE RENTA LARGO FONDMAPFRE RENTA MIXTO FONDMAPFRE RENTADOLAR FONDMAPFRE TESORERIA MAPFRE FONDTESORO LARGO PLAZO MAPFRE PUENTE GARANTIA 10 MAPFRE PUENTE GARANTIA 12 MAPFRE PUENTE GARANTIA 3 MAPFRE PUENTE GARANTIA 4 MAPFRE PUENTE GARANTIA 5 MARCH GESTION FONDOS FONMARCH ES0138841038 MARCH CARTERA CONSERVADORA ES0123541007 MARCH CARTERA DECIDIDA ES0160747004 MARCH CARTERA MODERADA ES0123549000 MARCH EUROBOLSA GARANTIZADO ES0160986032 MARCH EUROPA BOLSA ES0160746030 MARCH EUROPA GARANTIZADO ES0160987030 MARCH FUTURO GARANTIZADO ES0160872000 MARCH GLOBAL ES0160982031 MARCH NEW EMERGING WORLD ES0160933000 MARCH PATRIMONIO CORTO PLAZO ES0160990000 lunes, 26 de enero de 2015 Monday, 26 January 2015 28 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds Cód.ISIN ISIN Code MARCH PREMIER RENTA FIJA CORTO PLAZ MARCH RENTA FIJA 2016 GARANTIZADO MARCH RENTA FIJA 2014 GARANTIZADO MARCH RENTA FIJA CORTO PLAZO MARCH RENTA FIJA GARANTIZADO MARCH RENTA FIJA PRIVADA MARCH SOLIDEZ GARANTIZADO MARCH VALORES MARCH VINI CATENA NMAS1 GESTION RENTA FIJA CORTO PLAZ ES0161032034 ES0160749000 ES0115541031 ES0160985034 ES0160748002 ES0160989002 ES0160932036 ES0161033032 ES0160945004 ES0169592039 Depositario Depositary Precedente Previous Último Last Fecha Date Patrimonio Assets NºPartícipes Units BANCA MARCH BANCA MARCH BANCA MARCH BANCO URQUIJO BANCA MARCH BANCA MARCH BANCA MARCH BANCA MARCH BANCA MARCH BANCA MARCH 907,6092 11,8987 12,0880 99,2811 11,1092 12,6052 14,1731 1.035,3050 16,0007 12,6599 907,8801 11,8979 12,0880 99,3193 11,1087 12,6470 14,1946 1.037,5652 16,1799 12,6593 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 389.446.521,70 32.089.138,20 9.918.093,25 94.324.362,74 10.451.286,42 11.229.645,21 16.654.037,94 39.911.994,92 57.164.221,88 6.237.407,14 1.367 827 524 10.119 471 727 601 1.673 1.509 111 ES0138909033 BANCO URQUIJO 17,2393 17,2928 22-01-15 534.796,91 101 23-01-15 23-01-15 22-01-15 22-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 22-01-15 23-01-15 23-01-15 13.124.899,39 81.834.862,79 2.973.868,23 5.785.607,38 4.522.146,72 15.298.984,96 11.768.617,08 21.123.848,22 13.599.027,54 16.526.807,37 4.911.102,10 58.492.391,43 8.683.462,65 654 6.104 62 236 286 1.480 958 1.859 954 1.473 100 4.138 632 MDEF GESTEFIN, S.A SGIIC FONMASTER I MEDIOLANUM MEDIOLANUM ACTIVO PART. CL. L MEDIOLANUM ACTIVO PARTICIP. CL. S MEDIOLANUM ALPHA PLUS PART. CL. L MEDIOLANUM ALPHA PLUS PART. CL. S MEDIOLANUM CRECIMIENTO PART. CL. L MEDIOLANUM CRECIMIENTO PART. CL. S MEDIOLANUM ESPAÑA R.V. (PAR. CL L) MEDIOLANUM ESPAÑA R.V. CLASE S MEDIOLANUM EUROPA R.V. PAR. CL. L MEDIOLANUM EUROPA RV PART. CL S MEDIOLANUM EXCELLENT MEDIOLANUM FONDCUENTA MEDIOLANUM MERCADOS EMERGENTES L-A MEDIOLANUM MERCADOS EMERGENTES L-B MEDIOLANUM MERCADOS EMERGENTES S-A MEDIOLANUM MERCADOS EMERGENTES S-B MEDIOLANUM PREMIER MEDIOLANUM RENTA PARTICIP. CL. S MEDIOLANUM RENTA PARTICIPA. CLASE L MEDIOLANUM SMALL & MID CAPS ESPAÑA MEDIOLANUM SMALL & MID CAPS ESPAÑA ES0165127004 ES0165127038 ES0139008009 ES0139008033 ES0137389005 ES0137389039 ES0136466002 ES0136466036 ES0165128002 ES0165128036 ES0136452036 ES0138816030 ES0136467000 BANCO MEDIOLANUM, S.A. BANCO MEDIOLANUM, S.A. BANCO MEDIOLANUM, S.A. BANCO MEDIOLANUM, S.A. BANCO MEDIOLANUM, S.A. BANCO MEDIOLANUM, S.A. BANCO MEDIOLANUM, S.A. BANCO MEDIOLANUM, S.A. BANCO MEDIOLANUM, S.A. BANCO MEDIOLANUM, S.A. BANCO MEDIOLANUM, S.A. BANCO MEDIOLANUM, S.A. BANCO MEDIOLANUM, S.A. 10,5089 10,4087 9,8530 9,7518 18,5661 18,1859 16,2933 15,9843 8,2354 8,0413 10,5593 2.636,5625 13,2126 ES0136467018 BANCO MEDIOLANUM, S.A. 12,7053 12,7920 23-01-15 2.827.357,48 116 ES0136467034 BANCO MEDIOLANUM, S.A. 12,9560 13,0442 23-01-15 13.256.751,21 5.227 ES0136467026 BANCO MEDIOLANUM, S.A. 12,6831 12,7695 23-01-15 2.541.675,90 185 ES0148219035 ES0165126030 ES0165126006 ES0136453000 ES0136453018 BANCO MEDIOLANUM, S.A. BANCO MEDIOLANUM, S.A. BANCO MEDIOLANUM, S.A. BANCO MEDIOLANUM, S.A. BANCO MEDIOLANUM, S.A. ES0139958039 ES0138914033 ES0182105033 ES0162211033 ES0162305033 ES0162332037 ES0162333035 BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. 10,5285 10,4283 9,8717 9,7701 18,7409 18,3569 16,3784 16,0677 8,3636 8,1664 10,6158 2.638,0786 13,3027 1.098,8263 29,0552 29,5080 9,2390 9,2113 1.100,1449 29,1869 29,6419 9,2314 9,2036 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 59.980.852,84 19.845.594,73 6.198.275,67 9.219.853,14 5.359.885,26 2.153 968 266 636 658 7,8911 23,4740 40,0849 14,0093 9,3463 63,5221 23,2185 7,9202 23,5253 40,2937 14,1792 9,3415 62,8627 23,2160 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 9.127.603,49 27.898.332,25 34.412.647,92 4.287.558,99 5.438.411,84 85.955.320,56 29.434.293,82 117 428 778 125 187 1.430 421 432,2742 80,9141 50,8840 431,0395 23-01-15 81,7659 23-01-15 51,2304 23-01-15 21.301.526,51 172.036.280,21 19.100.505,90 1.378 4.877 560 12,3389 7,0834 10,1901 12,3392 26-01-15 7,1439 22-01-15 10,1906 23-01-15 37.308.344,79 3.193.010,75 169.614,43 704 100 95 84.279.897,58 3.130.899,51 9.121.574,05 1.657.397,79 123.058.846,54 139.055,63 27.574.415,32 59.226.019,97 236.682.530,34 59.325.122,07 10,09 10,05 511.234.528,33 11.165.534,99 133.885.645,33 82.918.774,74 149 27 112 106 1.744 15 113 128 1.490 117 1 1 2.234 174 252 474 MERCHBANC FONTALENTO MERCH FONTEMAR MERCH UNIVERSAL MERCH-EUROUNION MERCH-OPORTUNIDADES MERCHFONDO MERCHRENTA METAGESTION METAVALOR METAVALOR GLOBAL METAVALOR INTERNACIONAL ES0162735031 BANCO INVERSIS NET ES0162741005 BANCO INVERSIS NET ES0162757035 BANCO INVERSIS NET MIRABAUD GESTION MIRABAUD SHORT TERM ESPAÑA V & V GESTION ACTIVA VENTURE GLOBAL ES0183302035 RBC INVESTOR SERVICES ESPAÑA ES0110240001 RBC INVESTOR SERVICES ESPAÑA ES0183342031 SANTANDER INVESTMENT MUTUACTIVOS MULTIFONDO BONOS CORP. EMERG. A MULTIFONDO BONOS CORP. EMERG. D MUTUACTIVOS CORTO PLAZO MUTUACTIVOS LARGO PLAZO D MUTUAFONDO BOLSA, SERIE A MUTUAFONDO BOLSA, SERIE D MUTUAFONDO BONOS CONVERTIBLES A MUTUAFONDO BONOS CORPORATIVOS II MUTUAFONDO BONOS FINANCIEROS MUTUAFONDO BONOS TIER 1 SEGUROS MUTUAFONDO CEDULAS MUTUAFONDO CEDULAS II MUTUAFONDO CORTO PLAZO, SERIE A MUTUAFONDO CRECIMIENTO, CLASE A MUTUAFONDO DEUDA SUBORDINADA MUTUAFONDO DINERO, SERIE A lunes, 26 de enero de 2015 ES0164985006 ES0164985014 ES0165142003 ES0165240005 ES0165193030 ES0165193006 ES0106084009 ES0175807009 ES0124143001 ES0165113004 ES0175806001 ES0165109002 ES0165142037 ES0175808007 ES0124144009 ES0165143001 Monday, 26 January 2015 BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. SANTANDER INVESTMENT BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. SANTANDER INVESTMENT 93,4899 93,0549 132,2577 172,5775 140,8694 138,1616 114,2508 112,7294 126,9197 139,5511 124,2564 117,0510 136,0407 102,1434 138,4586 106,6793 93,9574 93,5192 132,2630 173,1847 141,9013 139,2596 114,3783 112,8564 127,3688 139,7066 124,2564 117,0510 136,0470 102,6683 138,7063 106,6820 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 31-10-14 31-10-14 23-01-15 23-01-15 23-01-15 23-01-15 29 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds MUTUAFONDO DINERO, SERIE D MUTUAFONDO DOLAR MUTUAFONDO ESPAÑA, SERIE A MUTUAFONDO ESPAÑA, SERIE D MUTUAFONDO ESTRATEGIA GLOBAL MUTUAFONDO FINANCIACION MUTUAFONDO FORTALEZA, CLASE A MUTUAFONDO LARGO PLAZO, SERIE A MUTUAFONDO MIXTO FLEXIBLE MUTUAFONDO RENTA FIJA ESPAÑOLA MUTUAFONDO SELECCION MUTUAFONDO SERIE A MUTUAFONDO SERIE D MUTUAFONDO VALORES, SERIE A MUTUAFONDO VALORES, SERIE D POLAR RENTA FIJA Cód.ISIN ISIN Code Depositario Depositary ES0165143019 ES0164986004 ES0165144009 ES0165144017 ES0165112006 ES0164987002 ES0165145006 ES0165240039 ES0131367007 ES0165182009 ES0165183007 ES0165237035 ES0165237001 ES0165241037 ES0165241003 ES0182631004 SANTANDER INVESTMENT BNP PARIBAS SECURITIES S. S. ESP. SANTANDER INVESTMENT SANTANDER INVESTMENT BNP PARIBAS SECURITIES S. S. ESP. B.N.P. ESPAñA BNP PARIBAS SECURITIES S. S. ESP. SANTANDER INVESTMENT BNP PARIBAS SECURITIES S. S. ESP. B.N.P. ESPAñA B.N.P. ESPAñA SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT BNP PARIBAS SECURITIES S. S. ESP. ES0110276039 ES0112733037 ES0138839032 ES0115073035 ES0158761033 ES0117625030 ES0138936036 ES0170270039 ES0168624007 ES0168656033 ES0124506033 ES0142437039 ES0142440033 ES0158772030 ES0139099008 ES0142233032 ES0168667030 ES0165093032 ES0158762007 ES0133092033 ES0138517034 ES0133338030 ES0125240038 ES0131423008 ES0138367000 ES0158792004 ES0133093007 ES0114911037 ES0168621037 ES0168657031 ES0168398008 ES0158774002 ES0158773038 ES0150036038 ES0137942001 ES0131422000 ES0137765030 ES0169778034 ES0138366002 ES0168566034 ES0168662031 ES0168668038 ES0112698008 ES0133591034 ES0114917034 ES0165947005 ES0166474033 B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA B. ESPIRITO SANTO SUCURSAL EN ESPAÑA Precedente Previous Último Last Fecha Date Patrimonio Assets NºPartícipes Units 105,8463 120,5466 207,7224 207,2357 107,6749 100,7570 102,7408 171,8548 115,6049 117,7916 106,4742 33,2687 31,8353 256,6950 255,2230 123,4983 105,8480 122,2330 207,4966 206,9792 108,1136 100,8846 103,0712 172,4125 117,3622 117,8724 106,8612 33,3193 31,8877 258,0785 256,7118 123,7926 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 297.797,22 168.863.909,15 136.381.935,28 53.019.226,78 213.000.127,87 52.725.857,87 19.920.465,72 188.750.214,92 46.003.513,92 82.859.220,88 73.036.322,78 949.997.767,22 14.322.821,35 73.248.471,25 2.029.366,94 35.136.686,91 8 1.125 1.962 1.569 54 48 318 1.707 116 131 282 2.768 501 2.032 54 264 6,7982 6,1177 29,2581 203,9955 67,5768 1.059,1376 11,1908 7,2533 7,1107 957,7442 15,4019 20,1137 8,2174 9.069,9982 8,9578 12,3576 990,5144 1.552,3795 10,2577 7,9865 14,0322 12,0224 1.860,8072 10,8167 11,5940 11,2132 10,6692 18,8834 7,8454 906,2570 11,8506 11,3762 9,7570 12,1852 12,6666 10,8732 848,6667 18,7240 10,7440 7,8334 109,0177 112,0251 12,1555 13,5174 6,4865 10,0049 90,5146 6,8918 6,1468 29,3862 205,5766 68,9287 1.060,0605 11,1899 7,2705 7,1443 957,6870 15,5366 20,3024 8,2266 9.070,2284 9,0678 12,5644 990,5745 1.552,4473 10,3641 7,9865 14,0638 12,4552 1.862,4684 10,9076 11,6623 11,3909 10,8108 18,9071 7,8461 909,7359 12,0050 11,5588 9,9448 12,2661 12,7299 10,9113 848,8001 18,9505 10,8526 7,8342 109,5687 113,1611 12,1559 13,5240 6,5491 10,0342 90,8721 23-01-15 23-01-15 23-01-15 23-01-15 22-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 26-08-13 23-01-15 23-01-15 23-01-15 23-01-15 22-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 3.729.279,05 3.943.315,03 52.394.869,51 7.860.073,71 5.607.729,74 20.658.322,75 15.873.932,37 4.445.197,86 6.493.448,16 26.388.622,24 14.741.545,44 68.498.807,24 3.868.814,60 7.977.183,25 5.263.860,66 13.396.319,71 2.834.879,87 615.856,81 9.981.651,13 7.079.614,91 39.248.647,24 8.395.716,78 368.722.473,89 6.844.699,67 5.731.881,01 10.759.515,62 12.006.068,50 77.086.394,22 16.459.796,51 11.813.575,88 5.698.580,50 13.560.824,25 12.949.257,49 27.087.246,04 20.736.311,76 5.576.759,60 44.707.317,50 7.118.976,68 7.407.413,27 2.912.069,77 18.939.144,87 1.719.850,19 24.307.828,96 12.645.682,82 10.626.251,11 669.563,84 11.064.516,89 93 105 2.440 444 363 606 227 108 223 1.121 129 164 105 511 116 97 191 57 300 333 1.831 607 9.275 381 474 401 338 1.246 892 429 201 288 316 1.161 831 117 1.131 162 98 239 620 118 475 311 504 3 100 10,0186 31-12-14 9.000.558,50 1 6.278.205,31 34.517.024,60 12.585.462,55 101.325.707,68 22.956.801,79 103 96 188 1.487 304 NOVO BANCO GESTION,S.G.I.I.C,S.A ARTE FINANCIERO CARTERA UNIVERSAL ESAF 10 ESAF 70 ESAF BOLSA EUROPA SELECCION ESAF FONPLAZO 2015 FONDIBAS FONDIBAS MIXTO FONDO 3 ACCIONES FI GARANTIZADO PROTECCION II GESCAFONDO GESDIVISA GESRIOJA GF LYNCE GF LYNCE. GLOBAL BEST SELECTION GLOBAL ESTRATEGIA FI INTERGESTION MIXTA NB BOLSA INDICE 65 NB BOLSA OPORTUNIDAD II NB BOLSA SELECCION NB BOLSA USA SELECCION NB CAPITAL PLUS NB CESTA ACCIONES 2019 NB EURO / DOLAR 80,FI NB EUROPA 50 NB EUROPA 70 NB FONDTESORO LARGO PLAZO NB GARAN.BOLSA MUNDIAL 3 NB GARANTIZADO 5 ESTRELLAS NB GARANTIZADO EUROPA NB GARANTIZADO EUROPA 70 NB GARANTIZADOEUROPA 100 NB GLOBAL FLEXIBLE 0-100, FI NB GLOBAL FLEXIBLE 0-50, FI NB GLOBAL SOLIDARIO NB PATRIMONIO NB PHARMAFUND NB PREMIUM, NB RENDIMIENTO 2015 NB RENTA FIJA LARGO NB RENTA VARIABLE NB SOLIDEZ GARANTIZADO NB SOLIDEZ GARANTIZADO II NB VALOR EUROPA NEMESIS NR FONDO 1 OMEGA GESTION DE INVERSIONES SCENT INVERSION LIBRE ES0157799000 BANCO DEPOSITARIO BBVA 9,9922 POPULAR GESTION PRIVADA AURUM RENTA VARIABLE, FI ES0168845032 FIMAP ES0137603009 FONEMPORIUM ES0138907037 PBP AHORRO CORTO PLAZO ES0147074035 PBP ALTO RENDIMIENTO SELECCION ES0113321030 lunes, 26 de enero de 2015 Monday, 26 January 2015 RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA 15,9846 11,5206 20,7993 8,5159 6,4767 16,0483 11,5328 20,9721 8,5158 6,4786 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 30 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds Cód.ISIN ISIN Code Depositario Depositary Precedente Previous Último Last Fecha Date PBP BIOGEN PBP BOLSA ESPAÑA PBP BOLSA EUROPA PBP BRIT ÓPTIMO PBP DIVERSIFICACION GLOBAL PBP FONDOS DE AUTOR SELECCION GLOBA PBP GRAN SELECCION PBP MERCADOS GLOBALES PBP RENTA FIJA FLEXIBLE PBP SUMMUM II ES0147032033 ES0115063036 ES0147101036 ES0147134037 ES0147041034 ES0168851030 ES0168831032 ES0106097035 ES0147140034 ES0168844035 RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA ES0141580037 ES0170901005 ES0158600033 ES0170864039 ES0114907035 ES0158327033 ES0142167032 ES0170865002 ES0108191000 ES0108207038 ES0108525009 ES0107574008 ES0110194000 ES0112231008 ES0138969037 ES0138053030 ES0116848005 ES0152772036 ES0167198003 ES0168997007 ES0168997015 ES0173857030 ES0173858004 ES0173286032 ES0173221005 ES0173394034 ES0173362031 ES0173317035 ES0173313034 ES0173372030 ES0173392038 ES0173356033 ES0173320039 ES0128520006 ES0173311038 ES0173311004 ES0173311012 ES0173311020 ES0173268006 ES0173321003 ES0176954008 ES0173319031 ES0173269004 ES0128521004 ES0173364037 ES0173322001 ES0128522002 ES0173323009 Patrimonio Assets NºPartícipes Units 10,3820 18,8264 5,2312 10,2128 3,4782 10,2385 10,1467 51,3220 1.732,6583 9,5614 10,4310 18,8859 5,3235 10,2126 3,5187 10,3215 10,2206 51,3239 1.737,0186 9,4994 23-01-15 23-01-15 23-01-15 23-01-15 22-01-15 22-01-15 23-01-15 23-01-15 23-01-15 23-01-15 8.776.267,76 20.128.795,79 5.402.806,38 3.886.272,91 14.451.379,46 30.589.356,75 10.872.854,98 3.144.073,47 67.870.017,80 3.188.578,02 415 819 278 152 788 503 151 114 1.411 102 BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. BNP PARIBAS SECURITIES S. S. ESP. 12,2158 8,9681 19,0577 12,0393 11,4078 4,0533 18,6081 20,2742 12,2212 9,0053 19,1581 12,0565 11,5815 4,0633 18,7338 20,4999 23-01-15 23-01-15 22-01-15 21-01-15 22-01-15 22-01-15 23-01-15 23-01-15 71.742.058,77 24.512.362,03 21.702.135,06 18.200.375,70 13.381.239,60 56.214.154,58 74.134.154,12 22.427.514,20 387 412 232 292 120 166 532 260 RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO RENTA 4 BANCO 9,9956 14,4298 10,4984 10,3464 9,9952 14,4426 10,5580 10,4083 23-01-15 23-01-15 23-01-15 23-01-15 598.067,24 10.168.585,47 3.657.171,80 7.952.495,49 24 1.036 37 52 10,6283 278,1517 10,8134 14,4985 12,9873 10,9569 10,9748 10,9587 7,7057 10,6584 5,8176 8,5224 26,1981 10,4492 9,3979 11,2133 91,4400 10,0568 4,9933 21,0527 11,4857 4,5227 10,5449 10,6341 9,8499 13,1660 14,8052 10,5694 11,4629 11,1508 11,2295 3,4996 13,6826 12,0350 14,3461 10,7030 280,0493 10,7628 14,7349 13,0168 10,9895 10,9638 10,9476 7,7338 10,8057 5,8530 8,5027 26,2499 10,5634 9,4412 11,3609 91,4713 10,0709 5,1520 20,8236 11,4859 4,6059 10,5979 10,3625 9,8491 13,1800 14,8184 10,6035 11,4686 11,2835 11,2034 3,5082 13,8393 12,1448 14,5574 23-01-15 2.346.905,41 23-01-15 16.158.466,96 23-01-15 6.728.481,14 23-01-15 34.030.868,50 23-01-15 1.122.064.478,94 19-01-15 4.413.683,72 23-01-15 18.559.128,47 23-01-15 9.298.471,42 23-01-15 13.950.708,70 23-01-15 1.323.221,54 23-01-15 3.903.891,04 23-01-15 4.333.215,85 23-01-15 45.174.317,80 23-01-15 14.923.438,70 23-01-15 4.038.298,70 23-01-15 3.722.404,31 23-01-15 8.192.543,60 23-01-15 3.382.033,74 23-01-15 3.660.008,48 23-01-15 2.243.910,32 23-01-15 474.440.635,17 22-01-15 1.530.437,51 22-01-15 1.092.239,80 22-01-15 2.190.471,49 22-01-15 690.242,30 23-01-15 163.018.812,95 23-01-15 307.849.705,48 23-01-15 25.378.496,70 23-01-15 8.070.190,30 23-01-15 3.075.500,42 23-01-15 7.956.756,34 23-01-15 9.819.034,73 23-01-15 27.775.169,77 23-01-15 7.297.721,55 23-01-15 34.068.508,79 134 126 150 960 45.883 123 65 592 154 15 100 137 3.156 840 214 850 484 130 649 479 12.488 126 21 45 2 6.754 10.904 786 436 131 416 1.328 2.711 760 2.627 SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT 224,3171 9,2144 111,9085 12,1625 112,2373 10,3332 17,5458 143,0349 109,3078 10,3283 224,9276 9,2099 111,9054 12,1631 112,2912 10,3396 17,6088 144,2050 109,3014 10,3260 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 23-01-15 23-01-15 PRIVATBANK PATRIMONIO PRIVAT AHORRO CORTO PLAZO PRIVAT BOLSA ESPAÑOLA PRIVAT FLEXIBLE GLOBAL PRIVAT FOND. GLOBAL PRIVAT FONDOS MIXTO GLOBAL PRIVAT FONSELECCION PRIVAT RENTA FIJA PRIVAT SALUD RENTA 4 GESTORA ALHAJA INVERSIONES RV MIXTO ALHAMBRA ALTAIR BOLSA ALTAIR RENTA FIJA ARGOS CAPITAL AVANTAGE FUND FONDCOYUNTURA FONDEMAR DE INVERSIONES GLOBAL ALLOCATION ING DIRECT FONDO NARANJA R.F OHANA EUROPE PENTA INVERSION CLASE A PENTA INVERSIÓN, FI CLASE B R4 CTA TRADING R4 HANSON UK OPPORTUNITIES FUND RENTA 4 ACTIVOS GLOBALES RENTA 4 ATALAYA RENTA 4 BOLSA RENTA 4 CARTERA SELECCION DIVIDENDO RENTA 4 DELTA RENTA 4 EMERGENTES GLOBAL,FI RENTA 4 FONDTESORO CORTO PLAZO RENTA 4 GLOBAL RENTA 4 JAPON RENTA 4 LATINOAMERICA RENTA 4 MONETARIO RENTA 4 MULTIGESTION /TOTAL OPPORTU RENTA 4 MULTIGESTION/ 1 ALLOCATION RENTA 4 MULTIGESTION/ FRACTAL GLOBA RENTA 4 MULTIGESTION/ GCAPITAL RENTA 4 NEXUS RENTA 4 PEGASUS RENTA 4 RENTA FIJA CORTO PLAZO RENTA 4 RENTA FIJA EURO RENTA 4 RENTA FIJA INTERNACIONAL RENTA 4 RETORNO DINAMICO RENTA 4 USA RENTA 4 VALOR EUROPA RENTA 4 VALOR RELATIVO RENTA 4 WERTEFINDER SANTANDER ASSET MANAGEMENT ALTAIR INVERSIONES ES0113545034 ALTAIR PATRIMONIO ES0138600038 BANESTO AHORRO ACTIVO 2 ES0113476032 BANESTO G 5 VECES MEJOR RESULTADO ES0113658035 BANESTO G EUROSTOXX 50 ES0113475034 BANESTO G INDICES ES0113962031 BANESTO G MERCADOS ES0113947032 BANESTO G MERCADOS II ES0113758009 BANESTO G RENTAS ES0113486007 BANESTO GARAN.RENT. CONSTANTES ES0181696032 2015 lunes, 26 de enero de 2015 Monday, 26 January 2015 30.542.603,28 65.825.625,72 191.932.670,17 49.147.577,71 41.470.977,18 28.921.472,23 53.393.276,27 7.043.082,99 49.273.377,37 33.981.792,37 31 100 100 100 100 100 100 100 100 100 100 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds Cód.ISIN ISIN Code BANESTO GARANTI. R. CONS. 2015 II BANESTO GARANTIA 111 BANESTO GARANTIA 111 2 BANESTO GARANTIA 3 AÑOS II A1 BANESTO GARANTIA 3 AÑOS II A2 BANESTO GARANTIA 3 AÑOS II B BANESTO GARANTIA 3 AÑOS III A 1 BANESTO GARANTIA 3 AÑOS III A2 BANESTO GARANTIA 3 AÑOS III B BANESTO GARANTIA 4 AÑOS BANESTO GARANTIA I BANESTO GARANTIZADO CONSOLIDACION BANESTO GARANTIZADO CONSOLIDACION 2 BANESTO GARANTIZADO SELCC.ESPAÑ. 4 CITICASH CITIFONDO BOND EXTRAFONDO DINAMICO FONDANETO FONDO ARTAC FONDO JALON FONDO URBION INVERACTIVO CONFIANZA INVERBANSER LAREDOFONDO LEASETEN III OPENBANK CORTO PLAZO SANTANDER 100 POR 100 SANTANDER 100 POR 100 - 2 SANTANDER 100 POR 100 11 A SANTANDER 100 POR 100 11 B SANTANDER 100 POR 100 11 C SANTANDER 100 POR 100 12 A SANTANDER 100 POR 100 12 B SANTANDER 100 POR 100 12 C SANTANDER 100 POR 100 13 A SANTANDER 100 POR 100 13 B SANTANDER 100 POR 100 13 C SANTANDER 100 POR 100 14 A SANTANDER 100 POR 100 14 B SANTANDER 100 X 100 10 SANTANDER 100 X 100 3 SANTANDER 100 X 100 7 SANTANDER 100 X 100 8 SANTANDER 100 X 100 9 SANTANDER 105 EUROPA SANTANDER 105 EUROPA 2 SANTANDER 105 EUROPA 3 SANTANDER 75 ESTRUCTURADO SANTANDER 95 ESPAÑA 2 SANTANDER 95 EUROPA SANTANDER 95 EUROPA 2 SANTANDER 95 EUROPA 3 SANTANDER 95 MEJOR OPCION SANTANDER ACCIONES ESPAÑOLAS A SANTANDER ACCIONES ESPAÑOLAS B SANTANDER ACCIONES ESPAÑOLAS C SANTANDER ACCIONES EURO SANTANDER ACCIONES LATINOAMERICANAS SANTANDER AHORRO ACTIVO A SANTANDER AHORRO GARANTIZADO 5 A SANTANDER AHORRO GARANTIZADO 5 B SANTANDER AHORRO GARANTIZADO 6 A SANTANDER AHORRO GARANTIZADO 6 B SANTANDER AHORRO GARANTIZADO 7 A SANTANDER AHORRO GARANTIZADO 7 B SANTANDER BOLSA EUROPA 2018 SANTANDER BOLSA EUROPA 2019 SANTANDER BOLSA EUROPA 2019 2 SANTANDER BOLSA GARANTIZADO SANTANDER BRICT ES0113437000 ES0113443008 ES0113929006 ES0113492005 ES0113492013 ES0113492021 ES0113543039 ES0113543005 ES0113543013 ES0113761003 ES0113732004 ES0113527032 ES0114031000 SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT ES0113762001 ES0118912031 ES0113723037 ES0134676032 ES0138772035 ES0138354032 ES0138223039 ES0138560034 ES0147131033 ES0155844030 ES0157940034 ES0158021032 ES0178172039 ES0114377031 ES0174961005 ES0174921009 ES0174921017 ES0174921025 ES0174922007 ES0174922015 ES0174922023 ES0174865008 ES0174865016 ES0174865024 ES0174866006 ES0174866014 ES0174996001 ES0174962003 ES0174942005 ES0174943003 ES0174944001 ES0172209035 ES0176934034 ES0138308038 ES0113660031 ES0174923005 ES0114315031 ES0174998007 ES0174924003 ES0174925000 ES0138823036 ES0138823010 ES0138823002 ES0114063037 ES0105930038 SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT B.SANTANDER CENTRAL HISPANO SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT ES0145803005 ES0174939001 ES0174939019 ES0174937005 ES0174937013 ES0174936007 ES0174936015 ES0174867004 ES0174868002 ES0174893000 ES0164649032 ES0176095034 SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT lunes, 26 de enero de 2015 Monday, 26 January 2015 Depositario Depositary Precedente Previous Último Last Fecha Date Patrimonio Assets NºPartícipes Units 109,4872 115,5020 116,8359 109,6517 110,0387 110,4273 80,9514 81,2335 81,5133 114,3191 114,8882 126,5677 104,3128 109,4796 115,4971 116,8274 109,6472 110,0344 110,4234 80,9485 81,2308 81,5109 114,3262 114,9208 126,5691 104,3188 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 21-01-15 21-01-15 4.121.005,83 16.810.845,43 48.487.840,49 11.104.506,08 7.290.214,45 3.997.471,80 48.406.542,09 1.790.753,52 6.637.267,90 90.418.566,36 22.665.151,55 33.386.466,40 13.072.850,28 100 100 100 100 100 100 100 100 100 100 100 100 100 112,7935 1.190,2955 1.288,5931 10,5135 8,2248 95,2165 13,2990 101,3738 16,0496 33,6015 16,7278 10,7346 ,1782 92,9099 118,2135 112,0454 112,8947 113,7683 115,5044 116,3379 117,1860 113,0057 113,4373 113,8746 112,4905 112,8698 112,5286 119,7318 111,8896 111,9367 110,8893 781,3426 116,5874 120,9474 58,5391 133,9238 135,0784 113,8868 112,9086 112,7509 18,1516 19,8961 19,0858 3,3474 24,1659 112,7850 1.190,1482 1.295,3247 10,5008 8,2271 95,5404 13,2960 101,6635 16,0633 33,9159 16,8271 10,7356 ,1783 92,8984 118,1882 112,0363 112,8865 113,7610 115,5025 116,3370 117,1860 113,0713 113,5039 113,9420 112,5868 112,9670 112,5159 119,7335 111,8789 111,9175 110,8664 782,1704 116,7096 121,1435 58,8922 134,1673 135,8242 114,3664 113,2517 113,1675 18,2403 19,9935 19,1794 3,3852 24,0739 23-01-15 23-01-15 23-01-15 23-01-15 21-01-15 23-01-15 23-01-15 23-01-15 21-01-15 23-01-15 21-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 83.364.805,16 24.819.449,53 54.965.908,54 29.765.983,16 20.725.290,41 44.187.178,09 6.685.157,26 50.839.742,87 156.569.573,07 71.528.753,12 4.938.736,45 32.859.891,41 59.224.635,03 18.818.847,58 49.931.410,65 67.387.649,13 77.309.607,93 19.471.283,32 73.572.530,06 97.889.829,31 52.558.551,69 63.085.174,28 36.758.740,37 200.222.513,04 35.696.368,31 118.449.126,16 38.051.626,89 61.443.561,51 372.397.423,27 320.481.238,13 292.376.987,65 31.556.120,84 38.942.013,48 66.936.048,18 5.903.744,87 6.465.453,47 19.315.462,35 28.054.380,88 27.839.468,14 13.522.365,83 227.887.867,94 210.271.190,36 252.355.257,19 427.436.299,99 37.636.216,01 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 117,7690 113,4184 113,9431 118,0375 119,1381 118,4318 119,8186 101,8974 102,7683 102,6721 15,6151 194,9687 117,7807 113,4862 114,0120 118,1026 119,2048 118,4965 119,8851 102,2244 103,0099 102,9184 15,7872 198,7394 21-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 52.513.305,38 142.030.373,68 114.753.401,59 83.220.783,90 20.695.642,56 56.171.510,61 12.366.483,88 33.163.496,27 31.366.981,20 19.223.507,56 10.707.056,35 22.440.478,79 100 100 100 100 100 100 100 100 100 100 100 100 32 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds Cód.ISIN ISIN Code SANTANDER CARTERAS GARANTIZADO SANTANDER CARTERAS GARANTIZADO 2 SANTANDER CARTERAS GARANTIZADO 3 SANTANDER CORTO PLAZO DOLAR SANTANDER CUMBRE PLUS 2019 2 TC SANTANDER CUMBRE 2018 SANTANDER CUMBRE 2018 PLUS 2 A SANTANDER CUMBRE 2018 PLUS 2 B SANTANDER CUMBRE 2018 PLUS 2018 3 C SANTANDER CUMBRE 2018 PLUS 3 T C SANTANDER CUMBRE 2018 PLUS B SANTANDER CUMBRE 2018 PLUS C SANTANDER CUMBRE 2019 PLUS 2 A SANTANDER CUMBRE 2019 PLUS 2 B SANTANDER CUMBRE 2019 PLUS 2 C SANTANDER CUMBRE 2019 PLUS 2 TB SANTANDER CUMBRE 2019 PLUS A SANTANDER CUMBRE 2019 PLUS B SANTANDER CUMBRE 2019 PLUS C SANTANDER CUMBRE 2019 PLUS TB SANTANDER CUMBRE 2019 PLUS TC SANTANDER CUMBRE PLUS 2 C SANTANDER CUMBRE PLUS 3 A SANTANDER CUMBRE PLUS 3 B SANTANDER DIVIDENDO EUROPA A SANTANDER DIVIDENDO EUROPA B SANTANDER DUO EUROPA 2018 SANTANDER DUO EUROPA 2019 SANTANDER EMERGENTES EUROPA SANTANDER FONDEPÓSITOS A SANTANDER FONDEPÓSITOS B SANTANDER FONDOSITOS C SANTANDER GARAN.ACTIVA MODER.2 SANTANDER GARAN.ACTIVA MODER.3 SANTANDER GARANT. BANCOS EUROPEOS SANTANDER GARANTIZADO EUIBOR SANTANDER GESTION GLOBAL SANTANDER GRANDES COMPAÑIAS 2019 SANTANDER IND. EURO CLASE OPENBANK SANTANDER INDICE ESPAÑA B SANTANDER INDICE ESPAÑA I SANTANDER INDICE ESPAÑOLA C. OPEBAN SANTANDER INDICE EURO SANTANDER INDICE EURO CLASE B SANTANDER INFLACION ESPAÑA SANTANDER INVERSION CORTO PLAZO SANTANDER INVERSION CORTO PLAZO 2 SANTANDER MEMORIA 4 SANTANDER MEMORIA 5 SANTANDER MONETARIO SANTANDER MULTIESTRATEGIA SANTANDER OBJETIVO RENDIM. EUR II SANTANDER OBJETIVO RENDIM. EUROPA 3 SANTANDER OBJETIVO RENDIMIENTO EURO SANTANDER PB CARTERA AGRESIVA SANTANDER PB CARTERA CONSERVADORA SANTANDER PB CARTERA DINAMICA SANTANDER PB CARTERA EMERGENTE SANTANDER PB CARTERA EQUILIBRADA SANTANDER PB CARTERA MODERADA SANTANDER PB CARTERA SELECCION SANTANDER PB INVERSION GLOBAL SANTANDER PB RF CORTO PLAZO SANTANDER R.F. EMERG. LATINOAMERICA SANTANDER RENDIMIENTO B SANTANDER RENDIMIENTO C SANTANDER RENDIMIENTO CLASE 5 SANTANDER RENTA FIJA 2016 SANTANDER RENTA FIJA 2017 A SANTANDER RENTA FIJA A SANTANDER RENTA FIJA B ES0157787039 ES0138362035 ES0112738036 ES0121748034 ES0174928046 ES0175005000 ES0174926008 ES0174926016 ES0174927022 ES0174927048 ES0176936005 ES0176936013 ES0174928004 ES0174928012 ES0174928020 ES0174928038 ES0176937003 ES0176937011 ES0176937029 ES0176937037 ES0176937045 ES0174926024 ES0174927006 ES0174927014 ES0109360034 ES0109360000 ES0175006008 ES0175007006 ES0107772032 ES0107762009 ES0107762017 ES0107762033 ES0174952038 ES0174969032 ES0128502038 ES0174975005 ES0107994008 ES0166493009 ES0168651034 ES0119203018 ES0119203000 ES0119203034 ES0168651000 ES0168651018 ES0176100008 ES0145822005 ES0113764007 ES0138361037 ES0107774038 ES0145823003 ES0113668000 ES0176102004 ES0176103002 ES0174977001 SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT ES0114021001 ES0113444006 ES0166333031 ES0114081039 ES0113412003 ES0115242036 ES0113981007 ES0114033006 ES0112793031 ES0121772034 ES0138534005 ES0138534039 ES0138534047 ES0175180035 ES0107991038 ES0146133006 ES0146133030 SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT B.SANTANDER CENTRAL HISPANO SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT lunes, 26 de enero de 2015 Monday, 26 January 2015 Depositario Depositary Precedente Previous Último Last Fecha Date Patrimonio Assets 1.469,3015 115,9335 117,6673 65,0645 108,7655 111,2454 110,3334 110,5362 111,4592 111,4589 112,0768 112,3225 108,5194 108,6460 108,7733 108,6454 110,7122 110,8591 111,0067 110,8599 111,0087 110,7397 111,0780 111,2680 8,6455 8,7203 107,3473 110,0499 112,2591 73,0854 74,0160 74,8107 101,1209 101,5988 75,3550 106,2927 128,7605 100,8925 141,4871 101,6740 103,0071 101,3994 144,1186 143,4236 106,4208 107,6972 100,4565 133,3706 47,6781 99,7400 565,7198 105,9248 104,5646 108,0158 1.469,4464 115,9523 117,6730 65,8367 108,8218 111,3520 110,4347 110,6381 111,5692 111,5689 112,1775 112,4239 108,5746 108,7018 108,8296 108,7012 110,7862 110,9336 111,0818 110,9345 111,0838 110,8423 111,1867 111,3773 8,8000 8,8762 107,4833 110,1721 114,2557 73,0824 74,0135 74,8086 101,1210 101,5988 75,4534 106,3063 128,9534 100,9696 144,0518 102,3444 103,6887 102,0677 146,7352 146,0242 106,4290 107,7132 100,4705 133,5273 47,7295 99,7309 570,6510 106,2619 104,8727 108,3062 21-01-15 66.740.539,83 21-01-15 135.482.210,15 21-01-15 77.596.745,81 23-01-15 87.460.695,23 23-01-15 15.195.409,53 23-01-15 124.305.765,41 23-01-15 109.566.043,08 23-01-15 141.456.110,49 23-01-15 26.911.918,12 23-01-15 20.825.761,84 23-01-15 158.290.787,46 23-01-15 57.120.669,31 23-01-15 61.915.452,09 23-01-15 68.214.805,07 23-01-15 24.147.517,06 23-01-15 18.016.680,80 23-01-15 80.732.192,55 23-01-15 101.799.204,21 23-01-15 25.502.239,18 23-01-15 23.249.310,79 23-01-15 25.850.520,31 23-01-15 52.830.437,66 23-01-15 60.282.587,59 23-01-15 68.292.214,37 23-01-15 288.411.523,37 23-01-15 341.361.075,05 21-01-15 16.625.488,07 21-01-15 29.469.299,49 23-01-15 10.157.952,01 23-01-15 316.471.735,27 23-01-15 375.995.590,80 23-01-15 1.572.984.719,73 21-01-15 13.859.597,32 21-01-15 3.340.157,01 21-01-15 81.756.615,60 21-01-15 13.489.776,60 23-01-15 42.236.009,08 21-01-15 59.904.800,87 23-01-15 6.389.340,70 23-01-15 64.359.804,68 23-01-15 204.675.259,19 23-01-15 24.593.977,35 23-01-15 159.357.383,56 23-01-15 54.242.527,60 21-01-15 1.605.960,10 23-01-15 684.250.828,44 23-01-15 177.349.322,47 21-01-15 211.151.695,39 21-01-15 133.614.689,83 23-01-15 3.480.896,37 13-01-15 23.101.930,30 21-01-15 58.688.506,60 21-01-15 52.835.893,19 21-01-15 45.113.859,22 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 112,8912 104,3427 268,0562 103,9457 104,3125 9,5948 103,8877 119,7386 9,4519 153,2348 88,0319 89,9153 92,7651 133,4797 123,7383 970,4096 999,6707 113,0541 104,3444 268,2663 105,6010 104,3168 9,5957 103,9990 120,6289 9,4542 155,5069 88,0470 89,9318 92,7833 133,5110 123,7648 972,4106 1.001,7404 21-01-15 17.691.255,47 21-01-15 319.099.598,74 21-01-15 38.169.183,51 21-01-15 42.378.669,62 21-01-15 97.001.720,42 21-01-15 263.054.656,40 21-01-15 43.113.188,36 23-01-15 58.360.319,56 23-01-15 99.306.651,82 23-01-15 17.889.706,22 23-01-15 1.093.288.445,60 23-01-15 1.025.790.549,86 23-01-15 621.046.957,51 23-01-15 85.598.295,35 23-01-15 105.801.925,84 23-01-15 854.193.554,34 23-01-15 785.496.214,06 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 33 NºPartícipes Units BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds SANTANDER RENTA FIJA C SANTANDER RENTA FIJA CLASE B SANTANDER RENTA FIJA CORTO PLAZO SANTANDER RENTA FIJA I SANTANDER RENTA FIJA PRIVADA SANTANDER RENTA FIJA S SANTANDER RESPONSAB.CONSERVADOR SANTANDER REVALORIZ. EUROPA EURO SANTANDER REVALORIZ. EUROPA EURO 3 SANTANDER REVALORIZ. EUROPA EURO II SANTANDER REVALORIZACION IBEX SANTANDER RF ACUMULACION 2018 SANTANDER RF CONVERTIBLES SANTANDER RV ESPAÑA BOLSA B SANTANDER RV ESPAÑOLA BOLSA SANTANDER RV OBJETIVO ESPAÑA SANTANDER SELEC.RV NORTEAMERICA SANTANDER SELECCION I SANTANDER SELECCION RV ASIA SANTANDER SELECCION RV JAPON SANTANDER SELECT DECIDIDO A SANTANDER SELECT DECIDIDO S SANTANDER SELECT MODERADO A SANTANDER SELECT MODERADO S SANTANDER SELECT PRUDENTE A SANTANDER SELECT PRUDENTE S SANTANDER SMALL CAPS ESPAÑA SANTANDER SMALL CAPS EUROPA SANTANDER SOLIDARIO DIVID. EUROPA SANTANDER TANDEM 0-30 SANTANDER TANDEM 20-60 SANTANDER TESORERO A SANTANDER TESORERO B SANTANDER TESORERO C SANTANDER TESORERO I SANTANDER TIPO FIJO 2016 SANTANDER TIPO FIJO ACUMULACION SELECT GLOBAL MANAGERS Cód.ISIN ISIN Code Depositario Depositary ES0146133014 ES0107991004 ES0105931036 ES0146133022 ES0175164039 ES0146133048 ES0145821031 ES0113060000 ES0105942009 ES0113487005 ES0175183005 ES0107941009 ES0113661039 ES0114039003 ES0114039037 ES0174957003 ES0121761037 ES0112796034 ES0107764039 ES0112757036 ES0113605010 ES0113605002 ES0107781017 ES0107781009 ES0175835018 ES0175835000 ES0175224031 ES0107987036 ES0114350038 ES0155818034 ES0145814036 ES0112744000 ES0112744018 ES0112744026 ES0112744034 ES0114034004 ES0113930004 ES0113748000 SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT BANCO BANIF, BANQ. PERSONALES SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT SANTANDER INVESTMENT ES0126906033 ES0138812039 ES0138437035 ES0138321031 ES0138701034 ES0138478039 ES0138333036 BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA BANCO DEPOSITARIO BBVA Precedente Previous Último Last Fecha Date Patrimonio Assets NºPartícipes Units 1.050,5050 125,3110 7,1032 1.054,7450 104,1600 1.067,5933 139,0918 140,6673 111,8573 119,5795 118,0657 109,9946 922,4076 217,6327 217,1815 106,6925 55,7198 15,0674 248,0566 31,4234 119,6362 120,2352 114,3777 114,6254 108,2778 108,9151 166,0055 115,2076 90,4422 14,0887 42,3336 114,8319 116,7476 118,3501 120,0128 113,7186 115,0334 475,8687 1.052,6858 125,3397 7,1043 1.056,9419 104,4896 1.069,8345 139,4455 141,7193 112,2708 120,4129 118,3935 110,1087 926,6691 218,9811 218,5251 106,9095 55,8560 15,1542 250,1966 31,3056 119,7948 120,3952 114,4691 114,7176 108,3051 108,9432 166,9266 116,5350 91,9922 14,1521 42,7474 114,8208 116,7372 118,3404 120,0037 113,7074 115,0231 474,5422 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 21-01-15 21-01-15 21-01-15 21-01-15 23-01-15 23-01-15 23-01-15 23-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 21-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 31-10-14 213.166.432,64 66.016.857,14 98.913.724,57 154.581.517,85 706.601.992,76 503.493.454,96 2.409.756.186,93 8.098.112,73 38.146.607,35 28.896.575,22 15.286.494,03 10.380.605,36 143.521.848,93 175.816.183,43 103.218.695,05 57.086.623,43 285.152.269,62 67.268.238,78 19.870.943,62 11.979.452,29 18.998.898,18 303.253.967,82 101.184.184,50 1.938.781.514,57 176.635.571,69 2.513.811.619,50 288.889.048,83 186.589.586,52 25.919.896,84 2.979.716.907,24 626.452.923,87 397.951.750,37 143.927.798,74 80.810.595,01 441.209.868,57 19.764.859,81 21.482.945,38 11.770.916,08 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 100 60,1805 22,4850 6,0734 7,5675 7,9441 10,3095 8,6867 60,5280 22,4898 6,1754 7,6165 8,0344 10,3388 8,6901 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 188.014.858,17 7.614.153,47 30.553.076,20 10.757.782,93 48.862.710,03 6.134.443,22 8.216.893,43 706 334 218 189 198 169 388 12,9956 12,7262 28-11-14 71.237.543,07 27 13,2061 10,5212 730,9272 13,4126 22-01-15 10,5806 22-01-15 731,9733 21-01-15 37.071.782,27 4.650.870,68 45.317.869,78 285 21 884 37.947.444,53 27.327.197,43 12.079.697,05 17.034.175,18 35.340.744,01 6.764.310,76 137.516.017,49 29.945.044,39 4.671.967,00 166.443.610,20 73.694.737,58 134.215.175,34 447.233,51 83.885.099,94 75.203.538,12 13.202.550,06 59.669.447,79 129 99 108 129 133 136 109 115 100 1.406 117 656 2 598 1.351 144 494 SEGUROS BILBAO FONDOS FONBILBAO ACCIONES FONBILBAO CORTO PLAZO FONBILBAO EUROBOLSA FONBILBAO GLOBAL 50 FONBILBAO INTERNACIONAL FONBILBAO MIXTO FONBILBAO RENTA FIJA SIITNEDIF, SGIIC S.A. SIITNEDIF TORDESILLAS ES0175989039 BNP PARIBAS SECURITIES S. S. ESP. TRESSIS GESTION SGIIC SA ADRIZA NEUTRAL AMEINON RENTA FIJA MISTRAL CARTERA EQUILIBRADA ES0118537002 RBC INVESTOR SERVICES ESPAÑA ES0109191009 RBC INVESTOR SERVICES ESPAÑA ES0164103030 RBC INVESTOR SERVICES ESPAÑA UBS GESTION ATTITUDE OPPORTUNITIES DALMATIAN ERV MIXTO GLOBAL DIVERSIFICACION FUND GLOBAL VALUE SELECTION IGVF RFMI MULTIGESTION FI TARFONDO TEBAS INVESTMENT UBS BONOS GESTION ACTIVA UBS CAPITAL 2 PLUS UBS CORTO PLAZO EURO UBS DINERO FI CLASE I UBS DINERO P UBS ESPAñA GESTION ACTIVA UBS MIXTO GESTION ACTIVA CLASE I UBS RENTA GESTION ACTIVA ES0111192003 ES0125651036 ES0110086032 ES0142459009 ES0142338005 ES0147411005 ES0122762000 ES0177975036 ES0178016038 ES0180914006 ES0180948038 ES0180913008 ES0180942007 ES0180942031 ES0180943039 ES0158316036 ES0180933006 UBS ESPAÑA UBS ESPAÑA UBS ESPAÑA UBS ESPAÑA UBS ESPAÑA UBS ESPAÑA UBS ESPAÑA UBS ESPAÑA UBS ESPAÑA UBS ESPAÑA UBS ESPAÑA UBS ESPAÑA UBS ESPAÑA UBS ESPAÑA UBS ESPAÑA UBS ESPAÑA UBS ESPAÑA 5,9131 8,7892 12,4274 5,6931 5,7497 6,5288 6,5949 13,7705 12,9634 5,8116 5,8535 5,4114 6,2475 6,2395 12,2131 29,5888 5,8382 5,9165 8,8271 12,5721 5,7080 5,7997 6,5968 6,6311 13,7837 13,2026 5,8140 5,8797 5,4311 6,2483 6,2393 12,2126 29,7842 5,8581 23-01-15 22-01-15 23-01-15 22-01-15 22-01-15 23-01-15 22-01-15 22-01-15 22-01-15 23-01-15 22-01-15 23-01-15 03-04-14 23-01-15 23-01-15 22-01-15 23-01-15 UNIGEST lunes, 26 de enero de 2015 Monday, 26 January 2015 34 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds UNIFOND 4X4 GARANTIZADO UNIFOND 2013-X UNIFOND 2014 X UNIFOND 2015 VII UNIFOND 2015-IV UNIFOND 2015-VI, FI UNIFOND 2016 - XI UNIFOND 2016 IV UNIFOND 2016 IX UNIFOND 2016 VI UNIFOND 2016-III UNIFOND 2016-V UNIFOND 2016-VII UNIFOND 2017 - III UNIFOND 2017 - XI UNIFOND 2017 II UNIFOND 2017-I UNIFOND 2017-VI UNIFOND 2017-X UNIFOND 2018 II UNIFOND 2018- X UNIFOND 2018-IX UNIFOND 2018-VI UNIFOND 2019-I UNIFOND 2019-II UNIFOND 2020 - III UNIFOND 2020-II UNIFOND 2021-II UNIFOND AUDAZ, FI UNIFOND BOLSA 2018-I UNIFOND BOLSA 2018-III UNIFOND BOLSA 2020-V UNIFOND BOLSA GARAN. 2020-IV UNIFOND BOLSA GARAN.2017-XI UNIFOND BOLSA GARAN.2018-IV UNIFOND BOLSA GARANT. 2017-IV UNIFOND BOLSA GARANTIZADO 2016 I UNIFOND BOLSA GARANTIZADO 2016-IX UNIFOND BOLSA GARANTIZADO 2019-V UNIFOND BOLSA GARANTIZADO 2020-I UNIFOND BOLSA INDICE GARANTIZADO UNIFOND CONSERVADOR, FI UNIFOND CRECIMIENTO UNIFOND CRECIMIENTO 2017-VI UNIFOND CRECIMIENTO 2019, IV UNIFOND EMPRENDEDOR, FI UNIFOND GARANTIZADO MAS 3 UNIFOND GARANTIZADO MAS 3 II UNIFOND MIXTO R.F. UNIFOND MIXTO RE.VARIABLE UNIFOND MODERADO, FI UNIFOND RENTA VARIABLE I UNIFOND TESORERIA UNIFOND TRANQUILIDAD Cód.ISIN ISIN Code Depositario Depositary Precedente Previous Último Last Fecha Date Patrimonio Assets NºPartícipes Units ES0176902007 ES0181067036 ES0178236008 ES0181041031 ES0181068034 ES0181397003 ES0180994032 ES0181399009 ES0181051030 ES0181050032 ES0181398001 ES0181083033 ES0181396005 ES0181011034 ES0178235000 ES0181064033 ES0181069032 ES0181395007 ES0181033038 ES0178234037 ES0178233039 ES0178237006 ES0181009038 ES0181001035 ES0180909006 ES0181073034 ES0181062037 ES0180908008 ES0180983035 ES0180861009 ES0180862007 ES0180863005 ES0181065030 ES0180984033 ES0181401003 ES0181400005 ES0181003007 ES0181063035 ES0181402001 ES0181403009 ES0180985006 ES0181404007 ES0178238004 ES0181394000 ES0180986004 ES0180987002 ES0181004005 ES0176903005 ES0176904003 ES0178239002 ES0181054034 ES0181010036 ES0181036031 ES0181031032 UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA UNICAJA 7,1156 11,7414 7,0959 10,2668 10,1173 6,7264 8,1778 6,4683 9,8646 11,2528 6,8838 10,6028 6,5789 7,5492 6,9254 9,0057 8,7017 6,9799 8,4690 7,9152 7,8189 7,1887 10,2287 7,9050 6,1211 11,6847 9,5844 6,9480 5,9435 6,1294 6,0465 6,0003 8,2142 8,6054 6,1867 6,2979 7,1971 7,9568 6,0900 6,0626 6,6820 5,9883 6,7250 7,0299 6,4216 6,0072 7,2616 7,1350 6,0986 6,2564 8,4558 5,6933 7,3714 8,5255 7,1172 11,7429 7,0960 10,2670 10,1174 6,7267 8,1800 6,4693 9,8675 11,2554 6,8848 10,6058 6,5811 7,5514 6,9286 9,0063 8,7057 6,9835 8,4752 7,9216 7,8217 7,1963 10,2372 7,9178 6,1479 11,6943 9,5996 6,9717 5,9846 6,1743 6,0871 6,0003 8,2143 8,6594 6,2133 6,3284 7,2669 7,9672 6,1165 6,1016 6,7403 5,9939 6,7283 7,0332 6,4257 6,0330 7,2632 7,1371 6,1339 6,3430 8,4778 5,7449 7,3717 8,5257 23-01-15 23-01-15 22-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 23-01-15 22-01-15 23-01-15 23-01-15 23-01-15 22-01-15 22-01-15 22-01-15 23-01-15 23-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 23-01-15 23-01-15 23-01-15 22-01-15 23-01-15 23-01-15 23-01-15 23-01-15 22-01-15 23-01-15 23-01-15 23-01-15 13.002.333,38 106.374.300,36 13.488.785,15 76.417.765,76 19.457.721,37 17.427.962,35 50.363.662,18 25.859.127,90 80.478.065,98 49.307.962,47 14.219.505,96 57.955.170,12 22.611.974,91 49.408.872,09 19.521.278,75 33.345.056,59 52.723.395,62 22.072.067,29 50.251.418,43 101.257.057,63 72.858.427,26 26.693.143,16 26.461.241,68 72.217.602,23 50.742.415,55 42.966.973,23 40.914.452,29 42.648.571,40 11.058.693,40 25.525.518,54 25.014.653,61 44.214.293,37 100.032.175,05 23.794.203,24 50.605.348,29 54.666.434,96 11.702.177,69 29.559.300,06 41.351.415,44 25.302.685,73 29.317.354,05 3.753.698,45 22.366.108,62 18.367.167,80 34.014.379,22 3.329.955,74 39.879.317,53 29.128.626,39 3.311.404,83 3.284.682,48 20.503.325,34 7.985.388,42 142.006.638,94 78.447.745,28 80 3.532 575 2.783 871 967 2.446 1.325 3.265 1.412 689 1.905 1.205 2.170 1.152 1.041 2.013 1.142 2.313 3.479 3.456 1.057 1.317 2.662 2.165 1.833 1.604 1.576 473 1.359 1.175 1.901 3.793 1.358 2.659 2.424 790 1.421 1.611 1.121 2.425 34 2.116 1.226 2.092 13 1.384 1.125 21 13 921 434 3.503 2.815 ES0184694034 ES0184592030 ES0184676031 ES0184677039 ES0184684035 ES0184593004 UBS ESPAÑA UBS ESPAÑA UBS ESPAÑA UBS ESPAÑA UBS ESPAÑA UBS ESPAÑA 11,4874 6,5518 11,3720 8,2696 10,0079 10,8299 11,5427 6,5768 11,5194 8,4481 10,1562 10,8529 22-01-15 23-01-15 22-01-15 22-01-15 22-01-15 23-01-15 42.311.346,84 24.016.558,31 38.745.993,21 5.375.579,08 17.290.246,83 9.101.497,27 218 196 172 119 157 135 81,2630 81,3806 31-12-14 92.479.294,90 133 86,8257 85,4643 31-12-14 265.593.900,50 478 WELZIA MANAGEMENT WELZIA AHORRO 5 WELZIA BANKS WELZIA CRECIMIENTO 15 WELZIA DINAMICO 20 WELZIA FLEXIBLE 10 WELZIA USA EQUITY FONDOS INMOBILIARIOS AHORRO CORPORACION GESTION AHORRO CORPORACION PATRIMONIO IN ES0106929039 CECABANK, S.A. BANKIA FONDOS BANKIA INMOBILIARIO ES0159089038 BANKIA, S.A INVERSEGUROS GESTION SEGURFONDO INVERSION ES0175444035 INVERSEGUROS, S.V.B., S.A. FONDOS LIBRES AHORRO CORPORACION GESTION lunes, 26 de enero de 2015 Monday, 26 January 2015 35 BOLETÍN DE COTIZACIÓN DAILY BULLETIN BOLSA DE BILBAO BILBAO STOCK EXCHANGE Fondos de Inversión Investment Funds FONDOS DE INVERSIÓN (R.D. 1.082/2012) INVESTMENT FUNDS (R. D. 1082/2012) Valor Liquidativo Net Asset Value Sociedades Gestoras y Fondos Management Companies and Funds CAJA MURCIA SELECCION DINAMICA Cód.ISIN ISIN Code Depositario Depositary Precedente Previous Último Last Fecha Date ES0159180001 CAJA DE AHORROS DE MURCIA 12,9832 12,9827 25-01-15 ES0174421000 ES0111149003 ES0111149011 ES0111149029 11,5903 11,4403 11,5703 11,5872 11,5494 11,6445 11,7771 11,7944 Patrimonio Assets NºPartícipes Units 1.941.356,63 23 23-01-15 22-01-15 22-01-15 22-01-15 28.268.705,68 2.663.331,89 6.553.129,68 2.209.770,52 281 43 35 1 153,8785 161,0426 31-12-14 191.479.608,57 653 ES0145456002 CECABANK, S.A. 6,5974 6,6229 31-10-14 246.826,80 1 ES0160934008 BANCA MARCH ES0160922003 BANCA MARCH 10,1407 10,6848 10,1401 23-01-15 10,6844 23-01-15 177.688,74 31.517.987,22 1 55 ES0105984001 BANCO DEPOSITARIO BBVA ES0108703002 BANCO DEPOSITARIO BBVA 11,0159 12,9977 11,1903 28-11-14 13,2126 30-11-14 49.369.321,51 42.206.917,31 66 40 46.937,6753 47.271,1167 23-01-15 2.939.433,43 27 BANSABADELL INVERSION SABADELL ESPAÑA 5 VALORES SABADELL SELECCIÓN EPSILON BASE SABADELL SELECCIÓN EPSILON PLUS SABADELL SELECCIÓN EPSILON PREMIER BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BANCO DE SABADELL BESTINVER GESTION BESTINVER HEDGE VALUE FUND ES0114578000 SANTANDER INVESTMENT INVERCAIXA GESTION FONCAIXA GESTION ALTERNATIVA V6 MARCH GESTION FONDOS MARCH PATRIMONIO RENTA 2 MARCH PATRIMONIO RENTA FIL OMEGA GESTION DE INVERSIONES ADLER ALPHAVILLE RENTA 4 GESTORA PENINSULA CAPITAL RENTA 4 MINERVA TRUEALPHA GLOBAL CURRENCY ES0168992008 RENTA 4 BANCO ES0176953000 RENTA 4 BANCO ES0109401002 RENTA 4 BANCO 96,9820 96,9783 23-01-15 726.923,75 11 TRESSIS GESTION SGIIC SA ADRIZA ALFA ADRIZA GLOBAL IBERIAN PRIVATE DEBT FUND FIL BP IBERIAN PRIVATE DEBT FUND FIL I IBERIAN PRIVATE DEBT FUND FIL S INVERSION MULTIESTRATEGICA ES0182753006 ES0182798001 ES0147228003 ES0147228011 ES0147228029 ES0182856007 RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA RBC INVESTOR SERVICES ESPAÑA 13,9053 11,0750 14,1164 22-01-15 11,2526 22-01-15 5.036.525,70 20.512.070,82 108 281 9,3587 9,3492 01-08-14 9.678,11 1 ES0109924011 ES0109924003 ES0109924029 ES0109924037 ES0180936009 UBS ESPAÑA UBS ESPAÑA UBS ESPAÑA UBS ESPAÑA UBS ESPAÑA 12,2098 12,1726 12,1761 12,2913 31-12-14 12,2566 31-12-14 12,2601 31-12-14 3.793.334,27 17.622.167,93 23.341.390,04 12 28 19 13,0840 13,0512 29-08-14 46.832,89 279 74,8535 74,8778 22-01-15 45.201.299,33 2.379 7,9566 7,9562 22-01-15 332.498.070,43 220 677,2369 678,7558 22-01-15 36.459.655,64 355 1.707,1769 1.138,8220 1,2337 1.707,3425 23-01-15 1.138,9421 23-01-15 1,2338 23-01-15 241.767.499,56 60.936.577,19 126.886.678,27 22.135 2.767 1.502 ES0174355000 BANCO DE SABADELL 10,0741 10,0789 23-01-15 24.019.366,07 410 ES0138792033 ES0138615036 ES0137979037 ES0138384039 ES0138807039 29,6558 10,2011 8,9585 9,3168 ,4091 30,1374 10,5150 9,0039 9,3353 ,4161 171.026.683,90 40.539.109,91 55.673.076,71 21.448.268,58 205.910.403,73 15.810 2.987 1.695 933 5.892 UBS GESTION ARCANO EUROPEAN INC.CLASE A2 ARCANO EUROPEAN INCOME F A1 ARCANO EUROPEAN INCOME F. D1 ARCANO EUROPEAN INCOME FUND D2 UBS (ES)STABLE GROWTH IICIICIL FONDOS PRINCIPALES CAJA ESPAñA FONDOS FONDESPAÑA EVOLUCION EUROPA GRAN ES0137876001 CAJA ESPAñA DE INVERSIONES,CAMP INVERCAIXA GESTION FONCAIXA MONETARIO RENDIMIENTO PLAT ES0138045036 CECABANK, S.A. FONDOS SUBORDINADOS AMUNDI IBERIA, SGIIC, S.A. AMUNDI ESTRATEGIA BONOS ES0164371033 CA-CIB SUCURSAL EN ESPAÑA BANKIA FONDOS BANKIA BONOS CORTO PLAZO (I) BANKIA BONOS CP (II) BANKIA BONOS CP (III) ES0116973035 BANKIA, S.A ES0116974033 BANKIA, S.A ES0113044038 BANKIA, S.A BANSABADELL INVERSION SABADELL BONOS CORTO PLAZO INVERCAIXA GESTION FONCAIXA BOLSA EURO FONCAIXA BOLSA USA FONCAIXA FONDTESORO LP PREMIUM FONCAIXA R.F. ALTA CALIDAD CREDITI. FONCAIXA RENTA FIJA DOLAR lunes, 26 de enero de 2015 Monday, 26 January 2015 CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. CECABANK, S.A. 22-01-15 22-01-15 22-01-15 22-01-15 22-01-15 36
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