| Nombre del Fondo | Rating | Gestora | 1A | Ranking 1A | Año | Ranking Año | 3A | Ranking 3A |
| Privado Iberian Opportunities FI |  | BPA Global Funds Asset Management | 17.3 | 1 /115 | -1,27 | 1 /117 | -6.72 | 1 /109 |
| Aviva Espabolsa FI |  | Aviva Gestión | 6.36 | 2 /115 | -13,61 | 6 /117 | -23.99 | 5 /109 |
| Fonpenedès Borsa FI |  | Caixa Penedès Gestió | 6.34 | 3 /115 | -13,25 | 4 /117 | -33.69 | 64 /109 |
| Aviva Espabolsa 2 FI |  | Aviva Gestión | 6.07 | 4 /115 | -13,4 | 5 /117 | -29.62 | 22 /109 |
| Foncaixa 128 Bolsa Gest. Esp. Plus FI |  | Invercaixa Gestión | 6.03 | 5 /115 | -16,48 | 12 /117 | -32.12 | 49 /109 |
| BNP Paribas Bolsa Española FI |  | BNP Paribas Asset Management (ES) | 5.43 | 6 /115 | -14,68 | 8 /117 | -38.35 | 92 /109 |
| BPA Fondo Ibérico Acciones FI | | BPA Global Funds Asset Management | 5.36 | 7 /115 | -5,51 | 2 /117 | - | - |
| Crediinvest Sicav Spanish Value A |  | Crèdit Andorrà | 4.68 | 8 /115 | -11,75 | 3 /117 | -35.04 | 78 /109 |
| Foncaixa 33 Bolsa Gestión España FI |  | Invercaixa Gestión | 3.16 | 9 /115 | -18,46 | 30 /117 | -27.73 | 13 /109 |
| FF - Iberia A EUR Acc |  | Fidelity (FIL (Luxembourg) S.A.) | 2.66 | 10 /115 | -18,2 | 27 /117 | -38.65 | 94 /109 |
| FF - Iberia A EUR Inc |  | Fidelity (FIL (Luxembourg) S.A.) | 2.64 | 11 /115 | -18,17 | 26 /117 | -38.64 | 93 /109 |
| Bankpyme Iberbolsa FI |  | Bankpyme | 2.64 | 12 /115 | -16,13 | 11 /117 | -34.27 | 71 /109 |
| Sabadell BS España Bolsa FI |  | Bansabadell Inversión | 2.57 | 13 /115 | -18,28 | 29 /117 | -32.39 | 52 /109 |
| Gesconsult Crecimiento FI |  | Gesconsult | 2.16 | 14 /115 | -14,62 | 7 /117 | -33.3 | 62 /109 |
| Fondo Valencia Renta Variable FI |  | Bancaja Fondos | 2.1 | 15 /115 | -17,41 | 17 /117 | -24.55 | 7 /109 |
| FF - Iberia E EUR Acc |  | Fidelity (FIL (Luxembourg) S.A.) | 1.88 | 16 /115 | -18,49 | 31 /117 | -40.02 | 97 /109 |
| Foncaixa Priv. Bolsa FI |  | Invercaixa Gestión | 1.76 | 17 /115 | -18,72 | 34 /117 | -41.41 | 99 /109 |
| Bancaja Renta Variable FI |  | Bancaja Fondos | 1.61 | 18 /115 | -17,87 | 24 /117 | -24.47 | 6 /109 |
| Metavalor FI |  | Metagestión | 1.1 | 19 /115 | -15,61 | 10 /117 | -30.83 | 34 /109 |
| Ibercaja Bolsa FI |  | Ibercaja Gestión | 0.91 | 20 /115 | -19,95 | 52 /117 | -30.39 | 29 /109 |
| Eurovalor Bolsa Española FI |  | Popular Gestión | 0.51 | 21 /115 | -18,64 | 33 /117 | -31.51 | 40 /109 |
| Serfiex Ibex 35 Índice FI |  | Aviva Gestión | 0.43 | 22 /115 | -18,98 | 38 /117 | -26.92 | 9 /109 |
| Venture Bolsa Española FI |  | Venture Gestión | 0.09 | 23 /115 | -16,94 | 14 /117 | -24.57 | 8 /109 |
| Banif RV España FI |  | Santander Asset Management | 0.01 | 24 /115 | -19,7 | 46 /117 | -34.28 | 72 /109 |
| Barclays Bolsa España Selección FI |  | Barclays Wealth Managers España | -0.02 | 25 /115 | -17,56 | 19 /117 | -45.71 | 103 /109 |
| Fonpastor Renta Variable FI |  | Gespastor | -0.25 | 26 /115 | -20,11 | 54 /117 | -27.12 | 10 /109 |
| Santander Acciones Españolas A FI |  | Santander Asset Management | -0.38 | 27 /115 | -20,14 | 55 /117 | -31.69 | 43 /109 |
| Acción Ibex 35 ETF FI |  | BBVA Asset Management | -0.39 | 28 /115 | -20,55 | 62 /117 | -28.37 | 18 /109 |
| Banesto Renta Variable Española FI |  | Santander Asset Management | -0.67 | 29 /115 | -19,67 | 45 /117 | -32.31 | 51 /109 |
| PBP Bolsa España FI |  | Popular Gestión Privada | -0.82 | 30 /115 | -19,79 | 50 /117 | -34.75 | 77 /109 |
| Uno-e Ibex 35 FI |  | BBVA Asset Management | -0.82 | 31 /115 | -20,66 | 63 /117 | -28.54 | 19 /109 |
| Sabadell BS España Dividendo FI |  | Bansabadell Inversión | -0.93 | 32 /115 | -16,75 | 13 /117 | -37.72 | 89 /109 |
| Caja Madrid Small Caps España FI |  | Gesmadrid | -1.01 | 33 /115 | -19,78 | 48 /117 | -30.33 | 28 /109 |
| Lyxor ETF Ibex 35 |  | Lyxor International Asset Management | -1.07 | 34 /115 | -20,51 | 60 /117 | -31.67 | 42 /109 |
| Caja Laboral Bolsa FI |  | Caja Laboral Gestión | -1.1 | 35 /115 | -19,25 | 40 /117 | -28.27 | 17 /109 |
| AC Ibex-35 Índice FI |  | Ahorro Corporación Gestión | -1.17 | 36 /115 | -20,8 | 67 /117 | -31.52 | 41 /109 |
| Citifondo Renta Variable FI |  | Santander Asset Management | -1.26 | 37 /115 | -19,79 | 49 /117 | -32.9 | 58 /109 |
| Openbank Ibex 35 FI |  | Santander Asset Management | -1.31 | 38 /115 | -20,85 | 69 /117 | -29.72 | 23 /109 |
| Santander Índice España FI |  | Santander Asset Management | -1.41 | 39 /115 | -21 | 76 /117 | -31.18 | 37 /109 |
| BBVA Bolsa Índice FI |  | BBVA Asset Management | -1.44 | 40 /115 | -20,97 | 74 /117 | -30.09 | 27 /109 |
| SSgA Spain Index Equity Fund P |  | State Street Global Advisors France | -1.46 | 41 /115 | -20,67 | 64 /117 | -23.19 | 3 /109 |
| ING Direct FN Ibex 35 FI |  | Invercaixa Gestión | -1.5 | 42 /115 | -20,88 | 70 /117 | -30 | 25 /109 |
| Gesconsult Renta Variable FI |  | Gesconsult | -1.58 | 43 /115 | -17,51 | 18 /117 | -31.95 | 46 /109 |
| BK Futuro Ibex FI |  | Bankinter Gestión de Activos | -1.74 | 44 /115 | -21,03 | 78 /117 | -30.4 | 30 /109 |
| Caja Madrid Índice Ibex-35 FI |  | Gesmadrid | -1.76 | 45 /115 | -20,94 | 72 /117 | -31.1 | 36 /109 |
| Santander Spanish Equity A |  | Santander SICAV | -1.8 | 46 /115 | -20,09 | 53 /117 | -39.16 | 95 /109 |
| Santander RV España Reparto A FI |  | Santander Asset Management | -1.84 | 47 /115 | -17,76 | 23 /117 | -34.46 | 74 /109 |
| Foncaixa 65 Bolsa Índice España FI |  | Invercaixa Gestión | -1.9 | 48 /115 | -21,01 | 77 /117 | -30.88 | 35 /109 |
| Fondespaña Bolsa FI |  | Caja España Fondos | -1.96 | 49 /115 | -21,13 | 79 /117 | -32.23 | 50 /109 |
| CS Bolsa FI |  | Crédit Suisse Gestión | -1.96 | 50 /115 | -19,65 | 43 /117 | -23.77 | 4 /109 |
| Mutuafondo España A FI | | Mutuactivos | -1.98 | 51 /115 | -22,02 | 94 /117 | - | - |
| Fonduero Renta Variable Española FI |  | Gesduero | -2.04 | 52 /115 | -20,34 | 58 /117 | -30.04 | 26 /109 |
| Caja Ingenieros Ibex Plus FI |  | Caja Ingenieros Gestión | -2.06 | 53 /115 | -21,33 | 83 /117 | -36.24 | 84 /109 |
| Vital Ibex Índice FI |  | Vitalgestión | -2.11 | 54 /115 | -20,29 | 57 /117 | -27.91 | 14 /109 |
| Allianz Bolsa FI |  | Allianz Gestión | -2.27 | 55 /115 | -17,63 | 20 /117 | -29.76 | 24 /109 |
| Bankoa Bolsa FI |  | Bankoa Gestión | -2.27 | 56 /115 | -18,83 | 35 /117 | -30.73 | 33 /109 |
| Mediolanum España R.V. FI |  | Ges. Fibanc | -2.33 | 57 /115 | -20,74 | 65 /117 | -30.73 | 32 /109 |
| BBK Bolsa FI |  | BBK Gestión | -2.49 | 58 /115 | -19,65 | 44 /117 | -29.32 | 21 /109 |
| Acción Ibex TOP Dividendo ETF | | BBVA Asset Management | -2.51 | 59 /115 | -18,27 | 28 /117 | - | - |
| EMIF-Spain Index Plus 'A' Load D |  | KBC Asset Management S.A. | -2.54 | 60 /115 | -22,16 | 95 /117 | -33.28 | 61 /109 |
| EMIF-Spain Index Plus 'B' Load C |  | KBC Asset Management S.A. | -2.54 | 61 /115 | -22,16 | 96 /117 | -33.24 | 60 /109 |
| Lloyds Bolsa FI |  | Lloyds Investment España | -2.56 | 62 /115 | -18,85 | 36 /117 | -30.63 | 31 /109 |
| E.S. España Bolsa FI |  | Espírito Santo Gestión | -2.57 | 63 /115 | -22,83 | 108 /117 | -32.51 | 54 /109 |
| BBVA Bolsa FI |  | BBVA Asset Management | -2.59 | 64 /115 | -22,43 | 99 /117 | -33.91 | 67 /109 |
| Foncaixa Cartera Bolsa Índice España FI |  | Invercaixa Gestión | -2.62 | 65 /115 | -21,57 | 89 /117 | -33.24 | 59 /109 |
| Segurfondo Renta Variable FI |  | Inverseguros Gestión | -2.64 | 66 /115 | -20,24 | 56 /117 | -27.29 | 11 /109 |
| CAM Bolsa Índice FI |  | Gestora de Fondos del Mediterráneo | -2.69 | 67 /115 | -21,55 | 88 /117 | -31.22 | 38 /109 |
| Fonbilbao Acciones FI |  | Seguros Bilbao Fondos | -2.72 | 68 /115 | -18,96 | 37 /117 | -27.68 | 12 /109 |
| Euroagentes Plus FI |  | Euroagentes Gestión | -2.72 | 69 /115 | -17,33 | 16 /117 | -39.7 | 96 /109 |
| Liberty Spanish Stock Market FI |  | Invercaixa Gestión | -2.8 | 70 /115 | -21,45 | 86 /117 | -32.69 | 56 /109 |
| Rural Renta Variable España FI |  | Gescooperativo | -2.88 | 71 /115 | -21,25 | 82 /117 | -40.03 | 98 /109 |
| Beta Acciones FI |  | Fortis Gesbeta | -2.99 | 72 /115 | -23,33 | 111 /117 | -37.66 | 88 /109 |
| Asturfondo RV España FI |  | Cajastur Gestión | -2.99 | 73 /115 | -19,04 | 39 /117 | -28.05 | 16 /109 |
| Barclays Bolsa España FI |  | Barclays Wealth Managers España | -3.11 | 74 /115 | -22,55 | 102 /117 | -37.84 | 90 /109 |
| Renta 4 Bolsa FI |  | Renta 4 Gestora | -3.11 | 75 /115 | -21,99 | 93 /117 | -31.76 | 44 /109 |
| Cajamar Bolsa FI |  | Intermoney Gestión | -3.38 | 76 /115 | -19,31 | 41 /117 | -32.52 | 55 /109 |
| Caixatarragona Bolsa 35 FI |  | Caixa Tarragona Gestió | -3.46 | 77 /115 | -18,51 | 32 /117 | -32.01 | 48 /109 |
| Dexia Eqs L Spain C Acc |  | Dexia Asset Management | -3.64 | 78 /115 | -21,2 | 80 /117 | -35.73 | 80 /109 |
| DWS Acciones FI |  | DWS Investments (Spain) | -3.67 | 79 /115 | -20,99 | 75 /117 | -34.7 | 76 /109 |
| Dexia Eqs L Spain C Inc |  | Dexia Asset Management | -3.7 | 80 /115 | -21,22 | 81 /117 | -35.79 | 81 /109 |
| March Valores FI |  | March Gestión de Fondos | -3.76 | 81 /115 | -17,69 | 22 /117 | -36.11 | 83 /109 |
| Kutxavalor FI |  | Kutxagest | -3.89 | 82 /115 | -22,44 | 101 /117 | -49.1 | 105 /109 |
| Altae Bolsa FI |  | Gesmadrid | -3.89 | 83 /115 | -21,51 | 87 /117 | -31.24 | 39 /109 |
| Madrid Bolsa FI |  | Gesmadrid | -4.01 | 84 /115 | -21,98 | 92 /117 | -32.88 | 57 /109 |
| Dexia Eqs L Spain N |  | Dexia Asset Management | -4.1 | 85 /115 | -21,39 | 84 /117 | -36.6 | 85 /109 |
| Catalana Occidente Bolsa Española FI |  | Gesiuris | -4.18 | 86 /115 | -20,94 | 73 /117 | -28.79 | 20 /109 |
| Madrid Bolsa Oportunidad FI |  | Gesmadrid | -4.21 | 87 /115 | -22,2 | 97 /117 | -34.29 | 73 /109 |
| Madrid Bolsa Oportunidad Elección FI |  | Gesmadrid | -4.3 | 88 /115 | -22,56 | 103 /117 | -35.95 | 82 /109 |
| Caixa Terrassa Ibex Top Div 100 FI | | Caixaterrassa Gesfons | -4.58 | 89 /115 | -17,63 | 21 /117 | - | - |
| Eurovalor Bolsa FI |  | Popular Gestión | -4.63 | 90 /115 | -22,21 | 98 /117 | -35.49 | 79 /109 |
| Fondmapfre Estrategia 35 FI |  | Mapfre Inversión Dos | -4.71 | 91 /115 | -19,52 | 42 /117 | -31.97 | 47 /109 |
| Caixasabadell 7 RV FI |  | Ahorro Corporación Gestión | -4.81 | 92 /115 | -20,52 | 61 /117 | -31.81 | 45 /109 |
| UBS España Gestión Activa FI |  | UBS Gestión | -4.88 | 93 /115 | -21,7 | 91 /117 | -46.53 | 104 /109 |
| Mediolanum Ch Spain Eq L |  | Mediolanum International Funds Limited | -4.92 | 94 /115 | -20,91 | 71 /117 | -33.47 | 63 /109 |
| BBVA Bolsa Plus FI |  | BBVA Asset Management | -4.99 | 95 /115 | -23,13 | 110 /117 | -34 | 69 /109 |
| Privat Acciones Plus RV Española FI |  | Privat Bank Patrimonio | -5.24 | 96 /115 | -19,92 | 51 /117 | -36.95 | 87 /109 |
| Manresa Borsa FI |  | Caixa Manresa Inversió | -5.76 | 97 /115 | -14,85 | 9 /117 | -28.05 | 15 /109 |
| Foncaixa Bolsa España 150 FI |  | Invercaixa Gestión | -5.83 | 98 /115 | -31,53 | 117 /117 | -51.87 | 107 /109 |
| FTSE4GOOD Ibex ETF FI | | BBVA Asset Management | -6.04 | 99 /115 | -20,79 | 66 /117 | - | - |
| CAN Acciones FI |  | Gesnavarra | -6.16 | 100 /115 | -22,44 | 100 /117 | -32.51 | 53 /109 |
| BBVA Bolsa Ibex Quant FI |  | BBVA Asset Management | -6.19 | 101 /115 | -31,3 | 116 /117 | -57.53 | 109 /109 |
| BK Bolsa España FI |  | Bankinter Gestión de Activos | -6.28 | 102 /115 | -21,44 | 85 /117 | -33.97 | 68 /109 |
| EDM-Inversión FI |  | EDM Gestión | -6.29 | 103 /115 | -17,88 | 25 /117 | -37.96 | 91 /109 |
| AC Acciones FI |  | Ahorro Corporación Gestión | -6.37 | 104 /115 | -22,74 | 106 /117 | -33.82 | 65 /109 |
| Cajasol Bolsa I FI |  | Ahorro Corporación Gestión | -6.38 | 105 /115 | -22,64 | 104 /117 | -34.54 | 75 /109 |
| Cajasur Hispania FI |  | Ahorro Corporación Gestión | -6.46 | 106 /115 | -22,69 | 105 /117 | -33.85 | 66 /109 |
| Cajaburgos Bolsa FI |  | Ahorro Corporación Gestión | -6.5 | 107 /115 | -22,8 | 107 /117 | -34.16 | 70 /109 |
| BK Bolsa España 2 FI |  | Bankinter Gestión de Activos | -6.61 | 108 /115 | -24,04 | 112 /117 | -19.57 | 2 /109 |
| E.S. Bolsa España Selección FI |  | Espírito Santo Gestión | -7.03 | 109 /115 | -24,67 | 113 /117 | -50.95 | 106 /109 |
| Caminos Bolsa Oportunidades FI |  | Gestifonsa | -7.41 | 110 /115 | -20,41 | 59 /117 | -42.76 | 101 /109 |
| Cartera Variable FI |  | Gestifonsa | -7.96 | 111 /115 | -21,63 | 90 /117 | -36.85 | 86 /109 |
| Caixa Catalunya Borsa Espanyola FI |  | Caixa Catalunya Gestió | -8.16 | 112 /115 | -20,81 | 68 /117 | -42.27 | 100 /109 |
| Bolsalíder FI |  | GVC Gaesco Gestión | -12.59 | 113 /115 | -25,46 | 114 /117 | -45.17 | 102 /109 |
| Unifond Renta Variable I FI |  | Unigest | -15.25 | 114 /115 | -23 | 109 /117 | -53.97 | 108 /109 |
| PBP Summum II FI | | Popular Gestión Privada | -25.03 | 115 /115 | -27,78 | 115 /117 | - | - |
| | | | | | | | | |