MUTUAFONDO GESTION OPTIMA DINAMICO, FI from 24/03/2015 to 24/03/2015 The price-sensitive information presented in other languages is a literal translation of the price-sensitive information stated in Spanish 24/03/2015 12:39 MUTUAFONDO GESTION OPTIMA DINAMICO, FI Redemptions or Decrease of NAV of more than 20% Reembolso superior al 20% del patrimonio. Register number: 220563