Caixabank Garantizado Rentas 16 FI header image

Caixabank Garantizado Rentas 16 FI

Fund

ISIN ES0113262002 / Valor null

NAV (2026-09-14)
EUR 105.86+0.02%

Caixabank Garantizado Rentas 16 FI
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Caixabank Garantizado Rentas 16 FI invests primarily in fixed income securities and cash equivalents to ensure the return of the initial investment by June 2026. The fund is structured to provide investors with 24 regular quarterly payments from September 2020 to June 2026. By maintaining a conservative portfolio focused on bonds and liquid assets, the fund aims to deliver stable income while safeguarding the principal amount.

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