Davivienda Investment Advisor USA
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Portfolios are built with BlackRock
USD $250,000+ accounts
USD $250,000+ accounts

Statistics
Annual Performance
Number of Holdings
Bond Analysis
RISK NAME RISK VALUE Y UNIDAD
Top Sectors
Top Regions
Maturity
Credit Quality
Stock Analysis
Top Sectors
Top Regions
DISCLAIMER Important general information The information outlined is presented by Davivienda Investment Advisor USA LLC d/b/a Davivienda Advisors, but has been compiled and managed by BCP Advisors LLC (“BCP Global”) which is a Registered Investment Advisor with the United States Securities and Exchange Commission ("SEC"). BCP Global maintains a sub-advisory arrangement with Davivienda Advisors. As referenced, the online advisory services including BCP’s Portfolio Model Composites (the "Models") are offered as a white-label platform (website and mobile application) by Davivienda Advisors and are developed and maintained by BCP Global. No content published here constitutes a recommendation of any particular investment, security, portfolio of securities, transaction, or investment strategy. Past performance of BCP’s Models is no guarantee of future performance, and BCP’s strategies, like most investment strategies, involve the risk of loss. No chart, graph, or other figure provided should be used to determine which securities to buy or sell. Asset allocation and diversification strategies do not assure a profit or protect against a loss. Investment advisory services are only provided to investors who become BCP Clients pursuant to a written account agreement, which investors are urged to read and carefully consider in determining whether such agreement is suitable for their individual facts and circumstances. Important index comparison and ETF information Inclusion of market index information is for informational purposes only and does not imply that a Model will achieve similar returns. Index performance does not reflect the deduction of transaction costs, management fees, or other costs which would reduce returns. An investor cannot invest directly in an index. The composition of a benchmark index does not reflect the manner in which a Model is constructed in relation to expected or achieved returns, investment guidelines, restrictions, sectors, correlations, concentrations, volatility or tracking error targets, all of which may change over time. Exchange-Traded Funds are subject to risks similar to those of stocks. Investment returns may fluctuate and are subject to market volatility, so that an investor’s shares, when redeemed, or sold, may be worth more or less than their original cost. ETFs may yield investment results that, before expenses, generally correspond to the price and yield of a particular index. There is no assurance that the price and yield performance of the index can be fully matched.