Premio Awards

Tasas de Rendimiento al 25 de septiembre de 2020

Fondos de Deuda Nacional

FondoSerieTipo *Inversión MínimaPrecio28 días12 MesesAño20192018
AXESCPE1E$1,0003.0710813.37%5.46%4.95%7.27%6.83%
AXESCPE2E$1,000,0003.2768943.94%6.06%5.54%7.89%7.45%
AXESCPE3E$100,000,0003.4159894.40%6.55%6.02%8.38%7.94%
AXESCPF1F$1,0002.4378362.53%4.66%4.06%6.40%6.11%
AXESCPF2F$500,0002.7074163.27%5.41%4.81%7.13%6.77%
AXESCPF3F$2,000,0002.874873.59%5.74%5.13%7.54%7.41%
AXESCPFF1FF$50,000,0002.8004585.95%8.11%7.58%9.54%8.52%
AXESCPM1M$1,0002.7985973.32%5.46%4.86%7.16%6.78%
AXESCPM2M$1,000,0003.0057543.99%6.15%5.55%7.84%7.43%
AXESCPM3M$100,000,0003.0436994.47%6.65%6.04%8.34%7.92%
AXESCSDF1F$100,0002.4563043.96%7.57%7.39%8.33%6.79%
AXESCSDF2F$1,000,0002.4610713.96%7.57%7.39%8.33%6.83%
AXESCSDF3F$1,500,0002.4635933.97%7.58%7.40%8.34%6.87%
AXESCSDF4F$15,000,0002.4731764.07%7.70%7.52%8.46%6.99%
AXESCSDF6F$250,000,0002.4914544.29%7.95%7.77%8.71%7.24%
AXESCSDM1M$1,500,0002.4737034.07%7.70%7.52%8.46%6.99%
AXESLPE2E$1,000,0003.3047625.96%10.44%10.85%10.76%6.44%
AXESLPE3E$100,000,0003.4028186.37%10.95%11.34%11.27%6.93%
AXESLPF1F$1,0003.0194785.11%9.17%9.52%9.39%5.20%
AXESLPF2F$500,0003.2581935.71%9.89%10.23%10.09%5.83%
AXESLPF3F$2,000,0003.1837235.89%10.10%10.44%10.42%6.43%
AXESLPFF1FF$10,0003.4292447.91%12.51%12.90%12.43%7.50%
AXESLPM1M$1,0003.4385635.78%9.96%10.31%10.15%5.86%
AXESLPM2M$1,000,0003.2002126.20%10.48%10.81%10.69%6.43%
AXESLPM3M$100,000,0003.2784226.64%11.01%11.33%11.22%6.92%
AXESMPE1E$1,0003.0366373.30%5.72%5.18%7.48%7.06%
AXESMPE2E$1,000,0002.7501233.81%6.32%5.77%8.10%7.69%
AXESMPE3E$100,000,0002.8120454.22%6.80%6.24%8.59%8.19%
AXESMPF1F$1,0002.4791242.86%5.09%4.48%6.74%6.39%
AXESMPF2F$500,0002.65633.46%5.78%5.16%7.42%7.04%
AXESMPF3F$2,000,0002.8199953.74%6.09%5.47%7.83%7.68%
AXESMPFF1FF$10,0002.8337395.76%8.37%7.80%9.75%8.76%
AXESMPM1M$1,0002.802363.53%5.85%5.23%7.48%7.06%
AXESMPM2M$1,000,0002.8343324.05%6.45%5.83%8.09%7.68%
AXESMPM3M$100,000,0002.7065864.40%6.87%6.23%8.53%8.15%
AXESPROE4E$100,000,0003.1265683.88%N/DN/DN/DN/D
AXESPROM3M$20,000,0003.0906823.70%N/DN/DN/DN/D
GBMF3BFF$10,0006.7639634.12%6.32%5.74%7.51%6.79%
GBMM3BEE$10,0009.6594883.67%6.20%5.78%7.41%7.06%
NAFCDVIF3F$10,00019.9258863.32%9.98%10.44%7.56%5.63%
NAFCDVIM3M$10,00019.9258853.32%9.98%10.44%7.56%5.63%
NAFCDVIX3E$10,00021.3756233.28%10.15%10.69%7.79%5.78%
NAFCGUBPF3F$10,00014.186563.62%4.81%3.72%N/DN/D
NAFCGUBPM3M$10,00014.3372083.73%4.94%3.85%N/DN/D
ST&ER-7B1F$10,00033.97284610.77%9.57%10.33%12.64%1.77%
STEREALB1F$10,0002.4743094.08%10.96%12.42%8.62%4.38%
STEREALEE$10,0002.9331954.47%11.65%13.12%9.72%5.53%

Rendimientos Brutos antes de ISR, después de comisiones y gastos.

Fondos de Deuda Internacional

FondoSerieTipo *Inversión MínimaPrecio28 días12 MesesAño20192018
FT-BONDBE3E$10,0004.1704918.14%N/DN/DN/DN/D
FT-BONDBF3F$10,0004.14831119.59%N/D30.83%N/DN/D
FT-BONDBM3M$10,0004.1477319.59%N/D30.83%N/DN/D
SCOTDOLEE$10,0002.33174218.60%13.04%22.61%-2.68%0.11%
SCOTDOLF1F$10,0002.10931719.98%14.32%23.92%-1.88%0.80%
SCOTDOLF2F$250,0002.33287220.09%14.45%24.06%-1.77%0.92%
SCOTDOLF3F$750,0002.34654620.19%14.58%24.19%-1.66%1.03%
SCOTDOLM2M$2,000,0002.35885620.20%14.68%24.25%-1.48%0.81%
SCOTDOLM4M$15,000,0002.37240220.41%14.94%24.51%-1.25%0.98%
TEMGBIABF2F$10,0003.45998917.24%7.45%13.66%-3.67%0.48%
TEMGBIABM1M$10,0003.61362517.57%7.84%14.07%-3.33%0.81%

Rendimientos Brutos antes de ISR, después de comisiones y gastos.

Fondos de Renta Variable Nacional

FondoSerieTipo *Inversión MínimaPrecio28 días12 MesesAño20192018
AXESAPIE1E$20,000,0002.728193-14.80%6.61%5.60%10.68%0.47%
AXESAPIF1F$20,000,0002.659891-15.59%5.71%4.64%9.92%0.17%
AXESBMVE3E$2,000,0001.790912-53.24%-11.81%-17.77%9.17%N/D
AXESBMVF1F$100,0001.733104-54.22%-12.87%-18.81%7.86%-14.19%
AXESBMVF2F$1,000,0001.780301-53.97%-12.62%-18.56%8.26%-13.69%
AXESBMVF3F$2,000,0001.830394-53.73%-12.37%-18.32%8.66%-13.20%
AXESBMVFF1FF$10,0001.907195-52.76%-11.32%-17.29%9.79%-12.67%
AXESBMVM1M$100,0001.734574-54.22%-12.85%-18.80%7.90%-14.18%
AXESCAPB1F,M$20,000,0002.409377-90.19%-11.59%-16.72%24.34%-4.00%
AXESCAPE1E$20,000,0002.447261-90.05%-11.33%-16.39%24.65%N/D
GBMCREBOF,M$10,0006.09197930.56%-10.28%-24.10%-7.39%-6.60%
NAFINDXPF3F$10,00042.821981-56.85%-16.11%-23.41%N/DN/D
SCOT-RVLF,M$10,0001.89311-65.35%-18.99%-28.78%2.56%-16.09%

Fondos de Renta Variable Internacional

FondoSerieTipo *Inversión MínimaPrecio28 días12 MesesAño20192018
AXESGLOE1E$100,0003.201106-53.31%17.91%18.12%17.78%N/D
AXESGLOE3E$2,000,0003.301898-52.33%19.26%19.41%19.14%N/D
AXESGLOF1F$100,0003.169818-53.45%17.67%17.96%17.51%-11.50%
AXESGLOF2F$1,000,0003.256411-53.20%18.01%18.28%17.94%-10.99%
AXESGLOF3F$2,000,0003.347565-52.96%18.35%18.60%18.38%-10.48%
AXESGLOFF1FF$10,0003.518613-51.85%19.93%20.05%19.81%-9.80%
AXESGLOM1M$100,0003.200646-53.31%17.90%18.11%17.77%N/D
AXESGSPE1E$1,500,0003.074725-53.42%N/D12.51%N/DN/D
AXESGSPF1F$100,0002.930656-53.74%15.26%11.91%22.42%-10.46%
AXESGSPF2F$1,000,0002.946394-53.74%15.26%11.91%22.42%-10.34%
AXESGSPF3F$1,500,0002.939867-53.74%15.26%11.91%22.42%-10.30%
AXESGSPF4F$15,000,0002.967036-53.49%15.59%12.22%22.77%-10.04%
AXESGSPF5F$50,000,0002.989766-53.30%15.85%12.47%23.06%-9.84%
AXESGSPF6F$250,000,0003.005791-53.15%16.05%12.65%23.27%-9.68%
AXESGSPM1M$1,500,0002.995681-53.43%15.87%12.48%23.15%-9.84%
AXESRVDEE$15,000,0002.586007-34.15%4.01%-0.31%N/DN/D
AXESRVDFF$5,000,0002.5325-34.30%3.56%-0.74%11.27%-3.09%
AXESV&DE1E$1,500,0002.396198-68.06%6.19%-0.76%N/DN/D
AXESV&DF1F$100,0002.338143-68.46%5.53%-1.40%14.63%N/D
AXESV&DF2F$1,000,0002.399848-68.46%N/D-1.40%N/DN/D
AXESV&DF3F$1,500,0002.336784-68.46%5.53%-1.40%14.63%N/D
AXESV&DF4F$15,000,0002.355532-68.22%5.83%-1.12%14.96%N/D
AXESV&DF5F$50,000,0002.387555-68.03%6.08%-0.89%N/DN/D
AXESV&DF6F$250,000,0002.377038-67.88%6.26%-0.72%15.43%N/D
GBMINTBOF,M$10,00012.759169-75.86%39.18%43.99%26.31%-2.26%
I+GLOBVB-F1F$10,0002.617904-62.97%14.66%14.89%N/DN/D
SAMEME1B2F$30,000,0003.551459-73.05%45.46%47.18%29.29%-0.56%
SCOTUSALF$10,00015.371104-73.87%40.00%47.31%28.33%-8.09%

Fondos Especiales

FondoSerieTipo *Inversión MínimaPrecio28 días12 MesesAño20192018
AXESEDME1E$10,0002.87465-21.00%18.46%14.01%21.40%-19.66%
AXESEDME3E$10,000,0002.946501-20.10%19.68%15.14%22.67%-19.18%
AXESEDMF1F$10,0002.713211-21.18%18.21%13.75%21.11%-20.19%
AXESEDMF3F$10,000,0002.908606-20.27%19.43%14.89%22.37%-19.37%
AXESEDMFF1FF$10,0003.039906-19.60%20.37%15.78%23.37%-18.72%
AXESEDMM1M$10,0002.745215-21.06%18.40%13.95%21.35%-20.02%
AXESEDMM3M$10,000,0002.942012-20.15%19.63%15.09%22.62%-19.19%
FIBRA+B-F1F$10,0000.801733-22.10%-10.75%-20.01%36.86%-10.16%

* F (Personas Físicas), M (Personas Morales), E (Personas Morales Exentas), FF (Fondo de Fondos)

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