European Equities
These investment funds1 invest in European companies operating in key economic sectors with a global strategic impact, notably Industry, Consumer and Financials.
ISIN: LU0289089384
Currency: EUR
Risk2: 4/7
This fund aims to provide long-term capital growth through exposure to European companies, by investing directly in their securities and through the use of derivatives.
ISIN:LU1670707527
Currency: EUR
Risk2: 4/7
This fund aims to outperform the MSCI Europe Net Return index by investing in equity securities of European companies whose market value does not reflect their true value as a company.
ISIN: LU0072462186
Currency: EUR
Risk2: 4/7
This fund invests in equity securities of European companies that are undervalued in relation to their ability to generate earnings and return.
ISIN: ES0119203018
Currency: EUR
Risk2: 5/7
This fund replicates the Spanish IBEX 35 Net Total Return index, which contains the 35 most liquid stocks with the largest market capitalisation in the Spanish market.
ISIN: LU0261948904
Currency: EUR
Risk2: 4/7
It invests in shares of companies across the Iberian Peninsula, mainly in Spain and to a lesser extent in Portugal, which the fund considers to be undervalued by the market, with the objective of generating growth.
Check out other thematic funds that reflect current international trends.
Please note that any investment carries some level of risk, including the lack of return, loss of invested capital and/or the foreign exchange risk for non-euro denominated investment funds.

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The level of risk and information for each of the investment funds marketed by Open Bank, S.A., are set out in the prospectus or Key Investor Information Document (KIID) for each one of the investment funds, available at www.openbank.es/en and www.cnmv.es.
1 The aim of the fund lists provided by Openbank is to give examples of the thematic funds that have performed best regarding risk and return over a medium to long-term horizon (3 years) and not just those with the highest returns. As such, the criteria followed to create these lists are exclusively quantitative and free of qualitative bias, except for the theme itself. Openbank does not distribute these products through a consultancy service. Therefore, when investing in the funds, neither the financial situation, nor investment goals, nor the personal requirements of any investor has been taken into consideration. In this regard, the investment funds presented are not personalised recommendations and they do not entail a contractual or advisory element, a customised invitation to the subscription, purchase or sale of financial instruments or to undertake any transaction. Therefore, Openbank is explicitly exempt from any liability that may arise relating to the chosen product. The investment, where applicable, should be made based on the legal documentation of each product and it should be read before any investment decision is made. This documentation is available on the information page of each fund at openbank.es/en and cnmv.es.
2 The level of risk shown is that defined in the KIID of each fund. It is established by the CNMV (National Securities Market Commission) as a reference indicator of the potential return and risk. It is calculated using the historical data that may or may not be a reliable indicator of the future performance of the fund. On a scale of 1 to 7, a lower risk potentially entails a smaller return. Under no circumstance does level 1 mean it is risk free.