Investment funds

GCO Eurobolsa, FI

GCO investment funds European stock exchange
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What makes GCO Eurobolsa, FI different

GCO Eurobolsa, FI is a Euro equity fund, which invests primarily in European equities and at least 60% of the total exposure in the Euro area. In addition, it may invest in the United Kingdom and Switzerland, excluding emerging countries. This is the most suitable option for customers who want to diversify in European markets.

Services included in our GCO Eurobolsa fund

Practical information GCO Eurobolsa, FI

Return GCO Eurobolsa, FI

Historically, equities have always provided returns that exceed other long-term financial assets. The fund aims to provide participants with the revaluation of the European stock exchange. There is no guarantee of returns, "previous returns do not guarantee future returns".

Fund performance

Individual return (% not annualised) Returns
Yearly total
Last quarter 6.73
Q1 -3.74
Q2 3.27
Q3
2022
2021
2020

Fund composition

Pie chart showing the percentage distribution of the fund's composition.

Investor profile

Fund volatility

Index applied: SHARPE. This index is a ratio is used to show how far the return of an investment compensates the investor for assuming risk. It relates the yield of an asset to the volatility of the price of this asset. The greater the Sharpe ratio, the better the performance/volatility ratio.

Consult documentation. GCO Eurobolsa, FI