BBVA Mexico Fondo de Inversión en Renta Variable RV17-C logo

BBVA Mexico Fondo de Inversión en Renta Variable RV17-C (BBVACDC)

Market Closed
16 Jul, 20:00
XMEX XMEX
MX$
9. 65
-0.02
-0.2311%
MX$
- Market Cap
- Div Yield
0 Volume
MX$ 9.67
Previous Close
Add Transaction
Day Range
9.65 9.65
Year Range
9.41 10.13
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Summary

BBVACDC closed Thursday lower at MX$9.65, a decrease of -0.2311% from Wednesday's close, completing a monthly decrease of -0.4663% or -MX$0.05. Over the past 12 months, BBVACDC stock lost -1.8515%.
BBVACDC is not paying dividends to its shareholders.
The stock of the company had never split.
The company's stock is traded on one exchange.

BBVACDC Chart

BBVA Mexico Fondo de Inversión en Renta Variable RV17-C (BBVACDC) FAQ

What is the stock price today?

The current price is MX$9.65.

On which exchange is it traded?

BBVA Mexico Fondo de Inversión en Renta Variable RV17-C is listed on XMEX.

What is its stock symbol?

The ticker symbol is BBVACDC.

Does it pay dividends? What is the current yield?

It does not pay dividends to its shareholders.

What is its market cap?

As of today, no market cap data is available.

Has BBVA Mexico Fondo de Inversión en Renta Variable RV17-C ever had a stock split?

No, there has never been a stock split.

BBVA Mexico Fondo de Inversión en Renta Variable RV17-C Profile

XMEX Exchange
Mexico Country

Overview

BBVA Mexico Fondo de Inversión en Renta Variable RV17-C is a strategically designed investment fund aimed at capitalizing on the growth prospects of the Mexican equity market. Managed by BBVA Mexico, this open-ended fund seeks to offer investors substantial long-term capital appreciation by investing in a diverse mix of stocks listed on the Mexican Stock Exchange. With a primary focus on Mexican equities, it provides a significant opportunity for investors interested in leveraging Mexico's dynamic economic environment for growth. By channeling investments into high-potential sectors such as finance, energy, telecommunications, and manufacturing, the fund not only aims to generate competitive returns for its investors but also plays a crucial role in the development of Mexico's capital market infrastructure. Through a meticulously crafted asset allocation model, BBVA Mexico Fondo de Inversión en Renta Variable RV17-C manages risk effectively while aiming to surpass its benchmark index, making it a vital tool for those looking to incorporate geographic and sectoral equity exposure into their investment portfolios.

Products and Services

The BBVA Mexico Fondo de Inversión en Renta Variable RV17-C offers a range of investment opportunities tailored to meet the needs of investors looking to engage with the Mexican market's potential. Here is a brief overview of its primary offerings:

  • Equity Market Exposure: Targets investments predominantly in Mexican equities, presenting a diversified portfolio of stocks from sectors showcasing high growth potential. This exposure enables investors to participate directly in the economic development and stock market performance of Mexico, offering the chance for significant capital appreciation.
  • Diversified Sectoral Investments: By investing across a variety of sectors including finance, energy, telecommunications, and manufacturing, the fund seeks to balance risk and reward effectively. This diversification allows for a more robust investment strategy capable of navigating the volatile nature of equity markets while maximizing potential returns.
  • Strategic Asset Allocation: Employs a strategic asset allocation model to manage investments efficiently. Through meticulous market analysis and investment selection, the fund endeavors to outperform its benchmark index while mitigating risks associated with equity investments. This strategy ensures that the fund remains well-positioned to benefit from market upswings and withstand downturns.
  • Professional Management: Backed by the expertise of BBVA Mexico's investment management team, the fund is actively managed with a focus on long-term capital growth. Investors thus benefit from professional oversight and discipline in investment selection, asset allocation, and risk management, harnessing the team's deep understanding of the Mexican equity landscape to achieve the fund's investment objectives.

Contact Information

Address: -
Phone: +55 52012000