FM BCI CD CONSERV.

RUN: 8638-K | Administradora: BCI ASSET MANAGEMENT ADMINISTRADORA GENERAL DE FONDOS S.A. | Moneda: 💰 Pesos Chilenos

CLP
📋 Información General
RUN:
8638-K
Nombre:
FM BCI CD CONSERV.
Administradora:
BCI ASSET MANAGEMENT ADMINISTRADORA GENERAL DE FONDOS S.A.
Tipo:
6.0
Moneda:
CLP
Creado:
20/07/2025
📊 Resumen

4

Series Disponibles

20

Métricas Calculadas

📈 Series del Fondo
🎯 Filtro de Calidad Solo series con ≥100 partícipes
Serie Patrimonio Partícipes Última Actualización Acciones
ALTOP 44.0K 386 N/A
APV 24.9K 957 N/A
BPRIV 55.0K 191 N/A
CLASI 180.6K 9.1K N/A
🎯 Métricas Financieras Recientes
SERIE PERÍODO RENTABILIDAD VOLATILIDAD SHARPE VaR 95% MAX DD CALMAR FECHA CÁLCULO
ALTOP 1M 0.35% 1.64% 2.25 -0.08% -0.34% 25.21 22/10/2025
ALTOP 3M 3.2% 2.0% 4.35 -0.15% -0.48% 28.78 22/10/2025
ALTOP 6M 6.13% 1.85% 3.96 -0.14% -0.48% 25.9 22/10/2025
ALTOP 12M 8.09% 2.39% 1.11 -0.24% -1.34% 5.72 22/10/2025
ALTOP 36M 29.27% 2.89% 1.31 -0.26% -4.38% 2.01 22/10/2025
APV 1M 0.41% 1.66% 2.69 -0.08% -0.33% 28.55 22/10/2025
APV 3M 3.38% 2.01% 4.68 -0.15% -0.47% 30.58 22/10/2025
APV 6M 6.51% 1.85% 4.34 -0.14% -0.47% 27.66 22/10/2025
APV 12M 8.85% 2.39% 1.41 -0.24% -1.29% 6.52 22/10/2025
APV 36M 32.02% 2.9% 1.55 -0.25% -4.21% 2.26 22/10/2025
BPRIV 1M 0.39% 1.65% 2.56 -0.08% -0.34% 27.57 22/10/2025
BPRIV 3M 3.33% 2.01% 4.59 -0.15% -0.47% 30.06 22/10/2025
BPRIV 6M 6.4% 1.85% 4.23 -0.14% -0.47% 27.16 22/10/2025
BPRIV 12M 8.63% 2.39% 1.33 -0.24% -1.3% 6.28 22/10/2025
BPRIV 36M 31.23% 2.9% 1.48 -0.25% -4.26% 2.18 22/10/2025
CLASI 1M 0.33% 1.63% 2.09 -0.08% -0.35% 24.08 22/10/2025
CLASI 3M 3.13% 1.99% 4.23 -0.15% -0.48% 28.14 22/10/2025
CLASI 6M 6.0% 1.84% 3.83 -0.14% -0.48% 25.28 22/10/2025
CLASI 12M 7.82% 2.39% 1.01 -0.25% -1.36% 5.44 22/10/2025
CLASI 36M 28.31% 2.89% 1.22 -0.26% -4.44% 1.92 22/10/2025