Skip navigation. Go directly to main content

Fixed Income

Start of main content

Loading information...

March Renta Fija Corto Plazo F.I.

Least risk
Potentially lower return
  • 1
  • 2
  • 3
  • 4
  • 5
  • 6
  • 7
Most risk
Potentially higher return

Category "1" does not mean that the investment is risk-free

Fund that invests in public and private fixed-income assets, including deposits and money market instruments, whether listed or unlisted, provided they are liquid and have a duration of less than one year.

What is it?

The Fund invests 100% of its total exposure in public and/or private fixed-income assets (including deposits and money market instruments, whether listed or unlisted, provided they are liquid), denominated in euros (with no currency risk exposure), primarily from issuers/markets within the Eurozone and, to a lesser extent, from other OECD countries (it does not invest in emerging markets). The average portfolio duration will be between 0 and 1 year.

In addition to financial criteria, extra-financial socially responsible investment criteria (ESG) are applied.

Why invest?

March Renta Fija Corto Plazo is an investment option designed for those seeking capital preservation with low risk and stable short-term returns. The fund invests in high-credit-quality public and private fixed-income assets with a duration of less than one year, making it less sensitive to interest rate fluctuations. It also offers daily liquidity, allowing access to funds at any time, and applies ESG (Environmental, Social, and Governance) criteria in its investment selection, aligning with responsible practices.

This fund is especially well-suited as an alternative to bank deposits or checking accounts, potentially offering higher returns without taking on significant risk. It is intended for conservative investors who value capital security and availability, and who are looking for an efficient solution to manage their liquidity. March Renta Fija Corto Plazo combines prudence, flexibility, and performance within a controlled investment environment.

Return/Risk

Escenarios de rentabilidad

Periodo 1 (1 año) Periodo 2 (MID) Periodo 3 (RHP)
Mínimo Importe (EUR)
Rent. anual media (%)
Tensión Importe (EUR)
Rent. anual media (%)
Desfavorable Importe (EUR)
Rent. anual media (%)
Moderado Importe (EUR)
Rent. anual media (%)
Favorable Importe (EUR)
Rent. anual media (%)

Return during the selected period:

Last net asset value: a fecha

RETURN *

1 month 3 months 6 months 1 year 3 years

RISK *

Volatility

* Data at date:

Key figures

  • Launch date:
  • Management fee:
  • Assets (€):
  • Manager:
  • Identifier code:
  • Liquidity:
  • Article SFDR: 8
  • Manager:
  • Depositary:

End of main content