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SCOTILP E

SCOTILP E
1.49
+0.00
+0.12%
23/11/2017
5 años
  • Cierre anterior

    1.48

  • Activos netos

    Infinito

  • Rentabilidad

    0.00%

  • Comisión de suscripción

    0.00

  • Gastos

    1.10%

  • Categoría

    Deuda a largo plazo MXN

  • Riesgo de Morningstar

    Media

  • Calificación de Morningstar ★★★
Perfil

Nombre del emisor

Scotia Fondos SA de CV

Estilo de fondo

Abierto

Gestor de fondos

Adrian Bazan Vazquez

Estilo de inversión

-

The Fund's objective is to maintain the portfolio assets invested in government, corporate and banking referenced fixed rate with / without coupon and revisable rate denominated in pesos. These assets may have nominal performance or actual performance, expressed in pesos.El objective of the Fund is to keep the portfolio invested primarily in government assets issued by the United States of America and the Bank of Mexico, notes with interest payable at maturity, certificates of deposit, securities by credit institutions and bank deposits of money sitting in private equity investing complementarily placed through public offering and stock certificates denominated in pesos and / or UDI and foreign securities listed in the SIC peso-denominated fixed rate referenced with / without coupon, revisable rate or a discount. These assets may have nominal performance or actual performance, expressed in dollars and / or UDI.

Información de compra

Compra inicial 1
Compra inicial: IRA NA
Compra inicial: AIP NA

Creación

03/12/1990

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