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Tasas de Rendimiento al 16 de abril de 2021

Fondos de Deuda Nacional

FondoSerieTipo *Inversión MínimaPrecio28 días12 MesesAño20202019
AXESCPE1E$1,0003.1247962.91%3.62%3.10%4.50%7.27%
AXESCPE2E$1,000,0003.3449683.49%4.22%3.68%5.10%7.89%
AXESCPE3E$100,000,0003.4959513.94%4.70%4.14%5.58%8.38%
AXESCPF1F$1,0002.4525212.14%2.41%2.31%3.58%6.40%
AXESCPF2F$500,0002.734762.83%3.15%3.01%4.34%7.13%
AXESCPF3F$2,000,0002.90893.12%3.47%3.30%4.67%7.54%
AXESCPFF1FF$50,000,0002.8676745.02%5.77%5.21%7.14%9.54%
AXESCPM1M$1,0002.8275362.87%3.19%3.04%4.39%7.16%
AXESCPM2M$1,000,0003.048153.51%3.88%3.69%5.09%7.84%
AXESCPM3M$100,000,0003.0948723.98%4.36%4.17%5.58%8.34%
AXESCSDF1F$100,0002.4820113.47%4.67%0.17%7.15%8.33%
AXESCSDF2F$1,000,0002.4868593.47%4.67%0.17%7.15%8.33%
AXESCSDF3F$1,500,0002.4894243.47%4.67%0.17%7.16%8.34%
AXESCSDF4F$15,000,0002.5007863.58%4.79%0.29%7.28%8.46%
AXESCSDF5F$50,000,0002.5532073.70%6.01%0.42%8.52%8.59%
AXESCSDM1M$1,500,0002.5013223.58%4.79%0.29%7.28%8.46%
AXESLPE2E$1,000,0003.3852569.09%8.23%1.38%10.15%10.76%
AXESLPE3E$100,000,0003.4946969.50%8.73%1.82%10.66%11.27%
AXESLPF1F$1,0003.0527558.16%6.59%0.33%8.75%9.39%
AXESLPF2F$500,0003.3063788.74%7.30%0.95%9.49%10.09%
AXESLPF3F$2,000,0003.2345188.93%7.51%1.15%9.70%10.42%
AXESLPFF1FF$10,0003.52387710.56%9.81%2.89%12.23%12.43%
AXESLPM1M$1,0003.4905488.79%7.36%0.99%9.56%10.15%
AXESLPM2M$1,000,0003.2576859.25%7.88%1.49%10.08%10.69%
AXESLPM3M$100,000,0003.3464379.68%8.40%1.95%10.62%11.22%
AXESMPE1E$1,0003.0996433.57%4.03%3.81%4.79%7.48%
AXESMPE2E$1,000,0002.8162424.09%4.62%4.37%5.39%8.10%
AXESMPE3E$100,000,0002.8870844.50%5.10%4.81%5.87%8.59%
AXESMPF1F$1,0002.5043623.11%2.98%3.23%4.03%6.74%
AXESMPF2F$500,0002.6933223.68%3.66%3.85%4.73%7.42%
AXESMPF3F$2,000,0002.8641123.94%3.97%4.13%5.06%7.83%
AXESMPFF1FF$10,0002.9110455.56%6.18%5.88%7.44%9.75%
AXESMPM1M$1,0002.8424123.73%3.72%3.90%4.81%7.48%
AXESMPM2M$1,000,0002.8843514.25%4.33%4.47%5.42%8.09%
AXESMPM3M$100,000,0002.7606614.63%4.74%4.87%5.83%8.53%
AXESPROE4E$100,000,0003.2144525.54%6.00%4.19%N/DN/D
AXESPROM3M$20,000,0003.1489495.24%5.19%3.79%N/DN/D
GBMF3BFF$10,0006.8519873.34%3.98%3.11%5.29%7.51%
GBMM3BEM$10,0009.8406994.05%5.22%3.95%6.73%8.45%
NAFCDVIF3F$10,00020.1680143.56%7.96%3.42%8.59%7.56%
NAFCDVIM3M$100,00020.1680123.56%7.96%3.42%8.59%7.56%
NAFCDVIX3E$100,00021.7982773.59%8.54%3.52%8.87%7.79%
NAFCGUBPF3F$10,00014.4106873.12%3.02%3.83%3.86%N/D
NAFCGUBPM3M$10,00014.5742153.23%3.15%3.96%3.99%N/D
ST&ER-7B1F$10,00033.94228110.65%6.52%-5.68%10.00%12.64%
STEREALB1F$10,0002.5059112.38%9.21%2.18%10.51%8.62%
STEREALEE$10,0003.0044683.18%10.40%3.06%11.31%9.72%

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

Fondos de Deuda Internacional

FondoSerieTipo *Inversión MínimaPrecio28 días12 MesesAño20202019
FT-BONDBE3E$10,0003.725339-30.17%N/D-3.47%N/DN/D
FT-BONDBF3F$10,0003.705527-29.20%-16.74%-2.50%11.37%N/D
FT-BONDBM3M$10,0003.705008-29.20%-16.74%-2.50%11.37%N/D
SCOTDOLEE$10,0002.113023-35.67%-17.24%3.10%4.90%-2.68%
SCOTDOLF1F$10,0001.909119-34.76%-16.41%3.72%6.24%-1.88%
SCOTDOLF2F$250,0002.112825-34.66%-16.31%3.83%6.36%-1.77%
SCOTDOLF3F$750,0002.12658-34.56%-16.22%3.94%6.48%-1.66%
SCOTDOLM2M$2,000,0002.139587-34.56%-16.14%4.23%6.53%-1.48%
SCOTDOLM4M$15,000,0002.154649-34.36%-15.95%4.45%6.77%-1.25%
TEMGBIABF2F$10,0003.061311-34.97%-19.09%-7.09%0.36%-3.67%
TEMGBIABM1M$10,0003.203851-34.66%-18.80%-6.75%0.74%-3.33%

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

Fondos de Renta Variable Nacional

FondoSerieTipo *Inversión MínimaPrecio28 días12 MesesAño20202019
AXESAPIE1E$20,000,0002.93560910.93%13.04%10.33%8.68%10.68%
AXESAPIF1F$20,000,0002.84985410.34%12.12%9.68%7.68%9.92%
AXESBMVE3E$2,000,0002.27607326.17%38.22%25.20%2.57%9.17%
AXESBMVF1F$100,0002.18679325.08%36.49%23.92%1.29%7.86%
AXESBMVF2F$1,000,0002.24999925.35%36.88%24.21%1.59%8.26%
AXESBMVF3F$2,000,0002.3170725.61%37.28%24.51%1.88%8.66%
AXESBMVFF1FF$10,0002.43152226.68%39.00%25.78%3.15%9.79%
AXESBMVM1M$100,0002.18920125.09%36.53%23.92%1.33%7.90%
AXESCAPB1F,M$20,000,0002.92585412.89%12.97%21.85%-0.16%24.34%
AXESCAPE1E$20,000,0002.9734312.89%13.29%21.93%0.15%24.65%
GBMCREBOF,M$10,0006.570331-30.44%4.62%-30.77%-2.73%-7.39%
NAFINDXPF3F$10,00056.97171838.97%40.84%32.09%0.29%N/D
SCOT-RVLF,M$1,0002.54709735.23%40.44%31.17%-3.22%2.56%

Fondos de Renta Variable Internacional

FondoSerieTipo *Inversión MínimaPrecio28 días12 MesesAño20202019
AXESESGE1E$1,500,0002.14651931.97%N/DN/DN/DN/D
AXESESGF1F$100,0002.13440931.53%N/D31.75%N/DN/D
AXESESGF2F$1,000,0002.13432431.53%N/D31.75%N/DN/D
AXESESGF3F$1,500,0002.1342431.53%N/D31.75%N/DN/D
AXESESGF4F$15,000,0002.13822531.79%N/D32.05%N/DN/D
AXESESGF5F$50,000,0002.1403732.00%N/D32.29%N/DN/D
AXESESGM1M$1,500,0002.13998631.89%N/D32.27%N/DN/D
AXESGLOE2E$1,000,0003.663812.61%N/D31.77%N/DN/D
AXESGLOE3E$2,000,0003.79718613.13%23.99%32.37%19.94%19.14%
AXESGLOF1F$100,0003.61889711.95%22.39%31.11%18.37%17.51%
AXESGLOF2F$1,000,0003.72375712.21%22.74%31.41%18.71%17.94%
AXESGLOF3F$2,000,0003.83416912.47%23.09%31.71%19.05%18.38%
AXESGLOFF1FF$10,0004.05920313.63%24.69%32.96%20.62%19.81%
AXESGLOM1M$100,0003.65693212.08%22.57%31.15%18.56%17.77%
AXESGSPE1E$1,500,0003.57470621.68%19.00%54.89%9.31%N/D
AXESGSPF1F$100,0003.39778721.25%18.39%54.29%8.74%22.42%
AXESGSPF2F$1,000,0003.41603521.25%18.39%54.29%8.74%22.42%
AXESGSPF3F$1,500,0003.40846721.25%18.39%54.29%8.74%22.42%
AXESGSPF4F$15,000,0003.44551421.51%18.72%54.60%9.05%22.77%
AXESGSPF5F$50,000,0003.47638921.71%19.00%54.86%9.30%23.06%
AXESGSPM1M$1,500,0003.48259421.67%18.97%54.88%9.28%23.15%
AXESRVDEE$5,000,0002.5874743.66%-4.27%11.37%-3.36%N/D
AXESRVDFF$5,000,0002.5291953.37%-4.61%10.97%-3.74%11.27%
AXESRVDMM$5,000,0002.5993183.47%-2.56%N/DN/D11.47%
AXESV&DE1E$1,500,0002.873027-0.78%17.51%59.89%1.33%N/D
AXESV&DF1F$100,0002.795167-1.36%16.81%59.27%0.71%14.63%
AXESV&DF2F$1,000,0002.868941-1.36%16.81%59.27%0.71%N/D
AXESV&DF3F$1,500,0002.793543-1.36%16.81%59.27%0.71%14.63%
AXESV&DF4F$15,000,0002.820498-1.11%17.15%59.60%1.00%14.96%
AXESV&DF5F$50,000,0002.862533-0.90%17.41%59.86%1.23%N/D
AXESV&DF6F$250,000,0002.852678-0.75%17.61%60.05%1.41%15.43%
GBMINTBOF,M$10,00014.04486175.90%19.52%25.12%35.69%26.31%
I+GLOBVB-F1F$10,0002.9873576.35%22.65%22.31%18.73%N/D
SAMEME1B0F$10,0003.60827680.85%24.59%29.20%39.33%N/D
SAMEME1B2F$30,000,0004.06679382.26%26.45%30.76%41.44%29.29%
SCOTUSALF$10,00016.30561780.99%20.23%26.78%32.64%28.33%

Fondos Especiales

FondoSerieTipo *Inversión MínimaPrecio28 días12 MesesAño20202019
AXESEDME1E$10,0003.19870443.20%21.87%30.56%12.60%21.40%
AXESEDME3E$10,000,0003.29766744.13%23.13%31.64%13.78%22.67%
AXESEDMF1F$10,0003.01717943.11%21.65%30.44%12.37%21.11%
AXESEDMF3F$10,000,0003.25331644.06%22.91%31.53%13.55%22.37%
AXESEDMFF1FF$10,0003.41324344.68%23.84%32.25%14.43%23.37%
AXESEDMM1M$10,0003.0541643.18%21.81%30.53%12.55%21.35%
AXESEDMM3M$10,000,0003.29218244.13%23.08%31.62%13.72%22.62%
AXESFINM1M$100,0003.33517513.48%N/DN/DN/DN/D
FIBRA+B-F1F$10,0000.911325-5.05%25.18%5.15%-4.71%36.86%

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

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