Private equity

Investing in the growth of the real economy

Private Debt

Direct financing as an alternative to traditional banking

Real assets

Tangible assets for long-term investment
Home | Funds | Solventis Cronos RF International, FI

Solventis Cronos RF International, FI

It is a flexible fixed income fund designed to adapt to different market scenarios and offer investors dynamic and diversified management.

Stock Photo 10
KEY DATA

KEY DATA

Net asset value: 10,8327 € | YTD: 0,77 % OFF | Data date: 07/09/2026
Category: Flexible Fixed Income | Lower Risk Higher Risk
ANNUAL RETURN
YTD
2025
2024
2023
2022
2021
-0,77%
2,77 %
4,12 %
7,29 %
-4,90%
--

The fund invests 100% of its total exposure in fixed-income assets —public and/or private—and money market instruments , both listed and unlisted, that are liquid and carefully selected to optimize the risk-return ratio. Issues with lower credit quality, below Investment Grade (BBB-), are limited to a maximum of 50%, ensuring that at least half of the portfolio consists of high-credit-quality assets.

Thanks to its flexible approach, the fund actively adjusts the portfolio's duration according to the macroeconomic environment and interest rate outlook, seeking to maximize opportunities and minimize risks at all times. There are no geographical or sector restrictions, and it may include exposure to different currencies, allowing the management team to identify the best instruments globally.

ISIN: ES0141336000

Class assets: €14.236.157,45

CNMV Category: International Fixed Income

Management Fee: 0,60%

Recommended minimum term: > 3 years

Success Commission: 0,00%

Minimum Investment: 1 Share

TER: 0,73%

Manager: Javier Fernández Palacios

EVOLUTION OF THE NET ASSET VALUE

TEMPORAL RANGE

YTD

YTD

1Y

3Y

5Y

Historical

talk to a
with an advisor

We analyze whether this fund fits your investor profile, objectives, and time horizon. No obligation. Just professional, independent advice.


2023 – Best Conservative Multi-Asset Fund Award
2022 - Best Aggressive Multi-Asset Pension Plan Award
2014 – Best Conservative Multi-Asset Fund Award
2015 – Best Aggressive Mixed Breed Award


2018 – EOS Award for Best Equity Pension Plan in Europe
2013 – Pension Growth Award for Best Moderate Mixed Pension Plan

You might be interested in other investment funds

We have other funds that may better suit your expectations.

ALL types of funds
Explore other Solventis investment funds.

FIXED INCOME

At Solventis, we manage fixed income with a philosophy based on prudence, quality, and the constant search for opportunities that generate real value for our clients.

MIXED FUNDS

They seek to make the most of all available resources in the market to maximize the risk-reward ratio.
With a “top-down” approach.

EQUITY FUNDS

Solventis' investment philosophy is distinguished by a rigorous bottom-up fundamental analysis process, where asset selection is focused individually on the intrinsic quality of the company.

You may also be interested in

Want to learn more about our philosophy, vision, and positioning?

We invite you to explore the content from Solventis that we have selected for you: From our understanding of responsible investment, to market perspectives and analysis from our team.

Discover our investment philosophy and the principles that guide our approach to asset management.

Your Questions, Answered

Clear answers to help you make informed financial decisions with confidence.

What is the minimum initial investment?

The minimum initial investment depends on each investment fund.
Some products are accessible with relatively small investment amounts, while others require a higher minimum capital. In all cases, this information is provided before investing.

How can I start investing?

To begin investing, the first step is an initial consultation. We analyze your investor profile, your financial goals, and your time horizon to identify the most suitable investment solutions.
Once the appropriate solution has been identified, we will guide you through the onboarding and investment process.

What fees exist and how are they applied?

Investment funds primarily charge a management fee, a depositary fee and other applicable fund expenses.
The applicable fees and ongoing charges vary by fund and share class and are disclosed in the relevant legal documentation.

What is net asset value and when does it apply to my transactions?

The net asset value (NAV) represents the value per unit or share of the fund, calculated from net assets divided by units/shares outstanding.
Subscriptions and redemptions are processed at the applicable NAV in accordance with each fund's dealing arrangements and cut-off times.

Solventis uses Accessibility Checker to monitor our website's accessibility.