Premio Awards

Tasas de Rendimiento al 21 de octubre de 2020

Fondos de Deuda Nacional

FondoSerieTipo *Inversión MínimaPrecio28 días12 MesesAño20192018
AXESCPE1E$1,0003.0776953.01%5.18%4.79%7.27%6.83%
AXESCPE2E$1,000,0003.2853043.58%5.78%5.38%7.89%7.45%
AXESCPE3E$100,000,0003.4258864.04%6.26%5.86%8.38%7.94%
AXESCPF1F$1,0002.4390442.16%4.35%3.89%6.40%6.11%
AXESCPF2F$500,0002.710212.90%5.10%4.64%7.13%6.77%
AXESCPF3F$2,000,0002.8784993.22%5.42%4.97%7.54%7.41%
AXESCPFF1FF$50,000,0002.808785.59%7.82%7.42%9.54%8.52%
AXESCPM1M$1,0002.8015882.95%5.15%4.69%7.16%6.78%
AXESCPM2M$1,000,0003.0104313.63%5.84%5.38%7.84%7.43%
AXESCPM3M$100,000,0003.0494794.10%6.33%5.87%8.34%7.92%
AXESCSDF1F$100,0002.4624.98%7.31%7.16%8.33%6.79%
AXESCSDF2F$1,000,0002.4667834.98%7.31%7.17%8.33%6.83%
AXESCSDF3F$1,500,0002.4693134.99%7.31%7.17%8.34%6.87%
AXESCSDF4F$15,000,0002.4791335.10%7.44%7.29%8.46%6.99%
AXESCSDF6F$250,000,0002.4978855.33%7.69%7.54%8.71%7.24%
AXESCSDM1M$1,500,0002.4796615.10%7.44%7.29%8.46%6.99%
AXESLPE2E$1,000,0003.3116714.40%9.92%10.17%10.76%6.44%
AXESLPE3E$100,000,0003.4110574.84%10.43%10.66%11.27%6.93%
AXESLPF1F$1,0003.0201683.36%8.63%8.84%9.39%5.20%
AXESLPF2F$500,0003.2605294.01%9.35%9.55%10.09%5.83%
AXESLPF3F$2,000,0003.186464.20%9.56%9.76%10.42%6.43%
AXESLPFF1FF$10,0003.4378016.39%11.99%12.22%12.43%7.50%
AXESLPM1M$1,0003.4412024.08%9.42%9.63%10.15%5.86%
AXESLPM2M$1,000,0003.2037714.54%9.94%10.13%10.69%6.43%
AXESLPM3M$100,000,0003.2832285.01%10.46%10.65%11.22%6.92%
AXESMPE1E$1,0003.0443333.44%5.46%5.05%7.48%7.06%
AXESMPE2E$1,000,0002.7582293.99%6.06%5.64%8.10%7.69%
AXESMPE3E$100,000,0002.8212644.43%6.54%6.11%8.59%8.19%
AXESMPF1F$1,0002.4816282.85%4.80%4.34%6.74%6.39%
AXESMPF2F$500,0002.6602763.50%5.49%5.02%7.42%7.04%
AXESMPF3F$2,000,0002.8248513.80%5.81%5.34%7.83%7.68%
AXESMPFF1FF$10,0002.843245.98%8.11%7.67%9.75%8.76%
AXESMPM1M$1,0002.8067063.57%5.56%5.09%7.48%7.06%
AXESMPM2M$1,000,0002.8399294.14%6.17%5.69%8.09%7.68%
AXESMPM3M$100,000,0002.7127024.52%6.58%6.10%8.53%8.15%
AXESPROE4E$100,000,0003.1372775.05%N/DN/DN/DN/D
AXESPROM3M$20,000,0003.09724.74%N/DN/DN/DN/D
GBMF3BFF$10,0006.7794164.77%6.05%5.65%7.51%6.79%
GBMM3BEE$10,0009.6844773.72%5.90%5.60%7.41%7.06%
NAFCDVIF3F$10,00020.0027868.20%9.83%10.15%7.56%5.63%
NAFCDVIM3M$10,00020.0027848.20%9.83%10.15%7.56%5.63%
NAFCDVIX3E$10,00021.482448.27%10.03%10.41%7.79%5.78%
NAFCGUBPF3F$10,00014.2164754.26%4.54%3.78%N/DN/D
NAFCGUBPM3M$10,00014.3687894.38%4.67%3.91%N/DN/D
ST&ER-7B1F$10,00033.756709-4.25%8.47%8.72%12.64%1.77%
STEREALB1F$10,0002.4762444.20%10.29%11.56%8.62%4.38%
STEREALEE$10,0002.9399344.78%10.98%12.27%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$10,0003.976626-72.35%N/DN/DN/DN/D
FT-BONDBF3F$10,0003.955478-70.90%16.35%21.32%N/DN/D
FT-BONDBM3M$10,0003.954924-70.90%16.35%21.32%N/DN/D
SCOTDOLEE$10,0002.222499-71.23%10.05%13.93%-2.68%0.11%
SCOTDOLF1F$10,0002.010388-69.85%11.35%15.26%-1.88%0.80%
SCOTDOLF2F$250,0002.223642-69.74%11.47%15.38%-1.77%0.92%
SCOTDOLF3F$750,0002.236861-69.64%11.60%15.51%-1.66%1.03%
SCOTDOLM2M$2,000,0002.248614-69.63%11.68%15.56%-1.48%0.81%
SCOTDOLM4M$15,000,0002.2619-69.42%11.93%15.82%-1.25%0.98%
TEMGBIABF2F$10,0003.291589-72.68%5.26%6.11%-3.67%0.48%
TEMGBIABM1M$10,0003.438672-72.35%5.65%6.49%-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$20,000,0002.75160810.95%6.88%6.20%10.68%0.47%
AXESAPIF1F$20,000,0002.68102410.10%5.95%5.24%9.92%0.17%
AXESBMVE3E$2,000,0001.87592675.30%-9.21%-11.18%9.17%N/D
AXESBMVF1F$100,0001.81380574.08%-10.30%-12.27%7.86%-14.19%
AXESBMVF2F$1,000,0001.86358474.37%-10.04%-12.01%8.26%-13.69%
AXESBMVF3F$2,000,0001.91641674.66%-9.79%-11.75%8.66%-13.20%
AXESBMVFF1FF$10,0001.99853675.87%-8.71%-10.67%9.79%-12.67%
AXESBMVM1M$100,0001.81539574.12%-10.28%-12.25%7.90%-14.18%
AXESCAPB1F,M$20,000,0002.374189-25.68%-13.12%-16.81%24.34%-4.00%
AXESCAPE1E$20,000,0002.41167-25.60%-12.86%-16.50%24.65%N/D
GBMCREBOF,M$10,0006.2914343.39%-10.06%-18.70%-7.39%-6.60%
NAFINDXPF3F$10,00045.07047381.46%-12.51%-16.06%N/DN/D
SCOT-RVLF,M$10,0002.002213101.13%-16.37%-20.72%2.56%-16.09%

Fondos de Renta Variable Internacional

FondoSerieTipo *Inversión MínimaPrecio28 días12 MesesAño20192018
AXESGLOE1E$100,0003.201789-12.04%18.97%16.55%17.78%N/D
AXESGLOE3E$2,000,0003.305325-10.94%20.34%17.84%19.14%N/D
AXESGLOF1F$100,0003.170402-12.07%18.73%16.40%17.51%-11.50%
AXESGLOF2F$1,000,0003.257682-11.80%19.07%16.72%17.94%-10.99%
AXESGLOF3F$2,000,0003.349563-11.53%19.41%17.05%18.38%-10.48%
AXESGLOFF1FF$10,0003.523687-10.41%21.01%18.48%19.81%-9.80%
AXESGLOM1M$100,0003.201302-12.05%18.96%16.54%17.77%N/D
AXESGSPE1E$1,500,0003.060038-15.04%N/D10.77%N/DN/D
AXESGSPF1F$100,0002.915953-15.35%16.32%10.19%22.42%-10.46%
AXESGSPF2F$1,000,0002.931613-15.35%16.32%10.19%22.42%-10.34%
AXESGSPF3F$1,500,0002.925119-15.35%16.32%10.19%22.42%-10.30%
AXESGSPF4F$15,000,0002.952759-15.08%16.65%10.50%22.77%-10.04%
AXESGSPF5F$50,000,0002.975871-14.86%16.91%10.75%23.06%-9.84%
AXESGSPF6F$250,000,0002.992192-14.70%17.11%10.93%23.27%-9.68%
AXESGSPM1M$1,500,0002.981343-15.05%16.91%10.74%23.15%-9.84%
AXESRVDEE$15,000,0002.553133-20.94%2.53%-1.83%N/DN/D
AXESRVDFF$5,000,0002.499918-21.14%2.10%-2.24%11.27%-3.09%
AXESV&DE1E$1,500,0002.363767-35.13%5.58%-2.34%N/DN/D
AXESV&DF1F$100,0002.305632-35.61%4.92%-2.95%14.63%N/D
AXESV&DF2F$1,000,0002.36648-35.61%N/D-2.95%N/DN/D
AXESV&DF3F$1,500,0002.304292-35.61%4.92%-2.95%14.63%N/D
AXESV&DF4F$15,000,0002.323259-35.34%5.22%-2.68%14.96%N/D
AXESV&DF5F$50,000,0002.355232-35.13%5.46%-2.46%N/DN/D
AXESV&DF6F$250,000,0002.345147-34.97%5.64%-2.29%15.43%N/D
GBMINTBOF,M$10,00012.8584661.80%41.24%41.38%26.31%-2.26%
I+GLOBVB-F1F$10,0002.6609812.41%17.63%15.81%N/DN/D
SAMEME1B2F$30,000,0003.64543222.55%51.63%47.39%29.29%-0.56%
SCOTUSALF$10,00015.370359-5.74%41.72%43.14%28.33%-8.09%

Fondos Especiales

FondoSerieTipo *Inversión MínimaPrecio28 días12 MesesAño20192018
AXESEDME1E$10,0002.874708-17.92%17.74%12.78%21.40%-19.66%
AXESEDME3E$10,000,0002.948747-16.94%18.95%13.91%22.67%-19.18%
AXESEDMF1F$10,0002.713199-17.95%17.49%12.54%21.11%-20.19%
AXESEDMF3F$10,000,0002.910756-16.97%18.70%13.67%22.37%-19.37%
AXESEDMFF1FF$10,0003.043477-16.40%19.63%14.55%23.37%-18.72%
AXESEDMM1M$10,0002.745203-17.95%17.68%12.72%21.35%-20.02%
AXESEDMM3M$10,000,0002.944187-16.97%18.90%13.86%22.62%-19.19%
FIBRA+B-F1F$10,0000.84440195.52%-10.47%-12.72%36.86%-10.16%

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

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