Investment funds
Santander Future US Tech, FI
A fund that invests in large, innovative US companies, with exposure to major megatrends such as artificial intelligence, digitalisation, telecommunications and healthcare.
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Innovation, the future and technology in a single fund
Invest in leaders of the US technology ecosystem such as NVIDIA, Microsoft, Apple, Amazon, Meta and Alphabet.
Who is it for?
Investors interested in global megatrends who wish to diversify within the technology sector.
What’s the investment horizon?
This fund is designed for long-term investment (five years or longer).
What type of fund is it?
International equity fund, with at least 75% invested in technology companies.
Active management with the Nasdaq-100 Total Return as the benchmark, looking beyond the largest technology companies.
Why choose this fund?
Objective
Track the performance of the US technology sector, using the Nasdaq-100 Total Return Index as a benchmark.
Active management by specialists
Selection of companies with potential in AI, biotechnology, robotics and cloud computing.
Features of the Santander Future US Tech, FI thematic fund
- The fund is registered with the CNMV under number 2918.
- You can consult the Prospectus, the Key Information Document (KID) and the full product factsheet here.
Fund unit classes
Information on costs, charges and incentives for each unit class of the fund can be found in the relevant document included in the table above. The costs and charges ultimately borne (including those that may arise from currency changes) will depend on your personal circumstances.
Risks of investing in the Santander Future US Tech, FI fund
Investing in investment funds carries a certain level of risk, which will depend on the composition of each fund, market fluctuations and other factors associated with investing in securities. As a result, there is a risk of losing all or part of the investment.
In general, investing in funds carries the following risks:
Credit risk
Due to the quality of the assets in which the fund invests, as well as their issuers. This is the risk that the issuer may be unable to honour its payment obligations.
Market risk
The possibility that financial instruments may trade at or fall to a value below the price paid for them. More precisely, investments may be affected by:
- Interest rate risk: changes in interest rates affect the price of fixed income assets. Sensitivity to this risk depends on the duration of those assets.
- Exchange rate risk: fluctuations in exchange rates in the case of assets denominated in currencies other than the reference currency of the units.
- Market risk for investing in equities:arising from fluctuations in the price of equity securities.
- Risk of investing in emerging markets: political changes or economic events may affect the value of investments.
- Geographical or sectoral concentration risk: concentrating investments in a single region or sector increases market risk.
Risk of investing in financial derivations
Investing in derivatives (futures, options, etc.) may carry higher risk due to the nature of these products.
Liquidity risk
The risk that no counterparty can be found in the market and, therefore, that a product cannot be sold.
Sustainability risk
These risks relate to environmental, social or governance events or conditions. The sustainability risk of an investment will depend, among other things, on the type of issuer, the sector of activity and its geographical location.
Santander Future US Tech, FI
- Invest in leaders of the US technology ecosystem
- Investment horizon: 5 years or more.
- Active management in the hands of specialists.
Investment funds carry certain risks (market, credit, liquidity, currency, interest rate, sustainability, etc.), meaning there is a risk of losing part or even all of your investment. The risks are explained in the fund’s Prospectus and in the Key Information Document (KID) for investors.
Before making an investment decision, you should consult the fund’s Prospectus and KID, both of which are available from the relevant supervisory authority and can be found the website of the management company (www.santanderassetmanagement.es). The decision on whether to invest in the fund should be made having due regard to all the features and objectives of the fund, as described in its Prospectus and KID. The investment being promoted relates to the acquisition of units in an investment fund and not to a specific underlying asset. Past performance is not a reliable indicator of future results and, where the fund is denominated in a currency other than the euro, its performance may increase or decrease as a result of exchange rate fluctuations.
The taxation of returns obtained from investments will depend on the tax legislation applicable to your personal situation and may change in the future.
Management company: SANTANDER ASSET MANAGEMENT, S.A., S.G.I.I.C., registered with the CNMV under number 12. Depositary: CACEIS BANK SPAIN, S.A., registered with the CNMV under number 238. Distributor: BANCO SANTANDER, S.A., registered with the CNMV under number 49.
This communication constitutes advertising and its purpose is commercial. It is not contractual information or information required under any legislative provision, nor should it be treated as any kind of investment recommendation or advice, and it does not constitute sufficient information in itself on which to make an investment decision.
© BANCO SANTANDER, S.A. All rights reserved – Registered office: Paseo de Pereda, 9–12, SANTANDER. Tax ID no. A-39000013.
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