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GCO Bolsa USA, FI is an international equity fund whose investments are made in American companies with global business that invest in any geographical area. This is the ideal investment option for investors interested in investing in US equities.
We analyse your needs and establish a financial plan designed to meet your objectives.
This CII applies Socially Responsible Investment (SRI) criteria, which is why its investments will be guided by sustainable and financial principles.
The Fund invests up to 100% of its portfolio in equities of companies listed in the United States (in dollars), mainly in American companies with global business and in any geographical area. Sectoral diversification will be broad and will vary depending on the evolution of the economic cycle and the valuations. The portfolio will mostly consist of high capitalization securities.
The fund can invest up to 30% in CIIs (including those of the group, ETF, SICAV or similar assets). The currency risk could be as high as 100%. No investments are made in emerging countries.
Historically, equities have provided returns that exceed other long-term financial assets. This fund aims to provide participants with the revaluation of the American stock exchanges. Notwithstanding this history of returns, returns are not guaranteed.
Fund performance
Individual return (% not annualised) | Returns |
---|---|
Yearly total | |
Last quarter | 5.63 |
Q1 | -0.29 |
Q2 | 8.2 |
Q3 | |
2022 | |
2021 | |
2020 |
Fund return
General data | 2S 2023 | 1S 2023 |
---|---|---|
Assets | 32985.808 | 20745.166 |
No of shares | 2986802.08 | 2629028.99 |
Nº partícipes | 151 | 145 |
Inversión mínima inicial (euros) | 0 | 0 |
Fund performance
General details (Assets/NAV) | Assets at end of period (thousands of euros) | NAV at end of period |
---|---|---|
Report period | 32985.808 | 11.0439 |
2022 | 20745.166 | 9.13 |
2021 | 8992.019 | 9.9911 |
Fund performance
Individual return (% not annualised) | Returns |
---|---|
Yearly total | |
Last quarter | 5.63 |
Q1 | -0.29 |
Q2 | 8.2 |
Q3 | |
2022 | |
2021 | |
2020 |
Fund performance
Expenses (% of average assets) | Total cost ratio (1) |
---|---|
Yearly total | 1.84 |
Last quarter | 0.46 |
Q1 | 0.47 |
Q2 | 0.46 |
Q3 | 0.46 |
2022 | 1.87 |
2021 | 0.04 |
2020 | 0 |
2018 | 0 |
(1) Includes all direct expenses incurred in the period concerned: management fee, depository fee, audit, banking services, and other current management expenses, as a percentage of average assets for the period. In the case of funds/subfunds that invest more than 10% of their assets in other Collective Investment Undertakings, this ratio includes, in addition to the above, indirectly incurred expenses related to these investments.
Fund performance
Limits of returns (2) | Minimum return (%) | Return on date | Maximum return (%) | Return on date |
---|---|---|---|---|
Current quarter | -1.34 | 26/10/2023 | 1.18 | 10/11/2023 |
Last year | ||||
Últimos 3 años |
(2) Figures are only reported for asset classes at least as old as the reporting period, and provided there has been no change to the fund allocation. The figures refer to the highest and lowest yields between two consecutive asset value dates. Asset values are calculated daily. Be aware that past performance is not an indicator of future yields. Only reported if a consistent investment policy was employed throughout the period.
Net Asset Value
Changes in net asset value over the last 5 years
Sharpe Ratio
Sharpe | |
---|---|
GCO BOLSA USA, FI | -0.0118310244308045 |
Benchmark | 0.297529925426734 |
Fees applied
Fees applied during the period to the average assets | % | Calculation basis |
---|---|---|
Annual management fee | 1.75 | Patrimonio a valor efectivo |
Annual depository fee | 0.035 | Patrimonio a valor efectivo |
Cost of the financial advisory service | 0 | No aplica |
This investment fund promotes environmental or social characteristics and although it does not aim to invest sustainably, it will have at least 50% of sustainable investments with an environmental or social objective.
It is intended for retail investors with the capacity to take losses in relation to the level of risk of the fund and taking into account the investment time horizon indicated for the fund.
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.
Invest in the best European securities.
Boost your investment in the most important stock exchanges in the world.
A fund that replicates the performance of stock exchanges around the world.
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Sustainability GCO Bolsa USA, FI
eng-Sustainability annex GCO Bolsa, FI.pdf, 1214KB
KIID GCO Bolsa USA, FI
eng-KIID GCO Bolsa USA.pdf, 345KB
Brochure GCO Bolsa USA, FI
eng-Brochure GCO Bolsa USA.PDF, 183KB
Pre-contractual Information GCO Bolsa USA, FI
eng-Pre-contractual information GCO Bolsa USA, FI 1S 2023.pdf, 503KB
Half-yearly Report GCO Bolsa USA, FI
eng-Half-yearly Report GCO Bolsa USA.pdf, 328KB