ALTAIR RENTA FIJA, FI
Cartera
Este fondo se corresponde con los siguientes códigos ISIN: ES0107574008
Patrimonio | 5.721.049€ |
---|---|
Partícipes | 171 |
Patrimonio por partícipe | 33.456,43€ |
Cartera del fondo a 2016-03-31
El fondo invierte en 36 activos diferentes:
Activo | ISIN | Porcentaje |
---|---|---|
WELLS FARGO&COMPANY FLOAT | XS1240966348 | 7,57% |
TORONTO-DOMINION BANK FRN 09/08/20 | XS1287714502 | 7,08% |
INTESA SAN PAOLO SPA 1.037% 15/06/20 | XS1246144650 | 5,46% |
ABBEY NATIONAL TREASURY SERV | XS1190294063 | 4,88% |
CREDIT SUISSE CS FLOAT 0.436% 18/06/2018 | XS1247516088 | 4,35% |
OBRASCON HUARTE LAIN SA.VTO.15/03/22(CALL03/15/18) | XS1043961439 | 3,45% |
BARCLAYS BANK PLC 1.875 03/23/21 | XS1385051112 | 3,29% |
HPHT FINANCE 15 LTD 2.875% 17/03/20 | USG22117AB45 | 2,91% |
SUMIMOTO MITSUI BANKING 2.45 | US865622BR44 | 2,72% |
NH HOTELES 6.875 VTO 15/11/2019 | XS0954676283 | 2,40% |
AP MOELLER MAERSK A/S 1.75% VTO.18/03/2021 | XS1381693248 | 2,22% |
BANCO POPULAR 11.50%VTO.10/10/18 | XS0979444402 | 2,21% |
CAIXABANK 0.625 VTO 11/12/20 | ES0440609305 | 2,21% |
PGE SWEDEN 1.625% VTO. 09/06/2019 | XS1075312626 | 2,20% |
AP MOELLER MAERSK A/S 1.37% | XS1381690574 | 2,20% |
OMV AG 6.25% VTO.12/29/49 CORP | XS1294343337 | 2,19% |
OMV AG 5.25% VTO.12/29/49 CORP | XS1294342792 | 2,17% |
AAREAL BANK AG 7.625 11/29/49 | DE000A1TNDK2 | 2,07% |
AFRICAN EXPORT-IMPORT BA | XS1091688660 | 1,98% |
DAIMLER FINANCE NA LLC 02/03/2020 | USU2339CBT46 | 1,93% |
LUKOIL INTL FINANCE BV | XS0304274599 | 1,53% |
PETROBRAS GLOBAL FIN 6.25% VTO.17/03/2024 | US71647NAM11 | 1,52% |
BARCLAYS BANK PLC 2.625 11/11/25 | XS1319647068 | 1,51% |
LA MONDIALE | XS1155697243 | 1,40% |
ARCELORMITTAL 3.125% VTO.14/01/2022 | XS1167308128 | 1,39% |
JPMORGAN CHASE 1,875 10/02/2020 | XS1185978696 | 1,38% |
JAB HOLDINGS | DE000A1Z6C06 | 1,14% |
REPUBLIC PERU 2.75% VTO.30/01/26 | XS1315181708 | 1,12% |
PETROLEOS MEXICANOS 5.125 03/15/23 | XS1379158048 | 1,12% |
NOMURA FINANCE 1.5 12/05/21 | XS1136388425 | 1,11% |
SANTAN CONSUMER FINANCE 1.1 | XS1264601805 | 1,11% |
NIB BANK NV 2% 07/26/18 | XS1173845352 | 1,09% |
BRISA CONCESSAO RODOV SA | PTBSSJOM0014 | 1,09% |
ACS ACTIVIDADES 2.875 01/04/2020 | XS1207309086 | 1,03% |
PEMEX 4.5 % 01/23/26 | US71656MBD02 | 0,80% |
BP CAPITAL MARKETS PLC | US05565QCT31 | 0,29% |
Tenga en cuenta que el informe de cartera del fondo hace referencia a cierre del mercado del día y en ningún caso los activos que aparecen aquí están ponderados durante las sesiones del trimestre anterior
ALTAIR RENTA FIJA, FI
Fondo de inversión armonizado gestionado por RENTA 4 GESTORA, S.G.I.I.C., S.A.
5,7M
patrimonio
171
partícipes
2, en una escala de 1 al 7
perfil de riesgo