BANKIA DURACION FLEXIBLE 0-2, FI
Cartera

Este fondo se corresponde con los siguientes códigos ISIN: ES0147507034

Patrimonio 1.068.306.690€
Partícipes 58.876
Patrimonio por partícipe 18.145,03€

Cartera del fondo a 2012-03-31

El fondo invierte en 106 activos diferentes:

Activos en cartera
Activo ISIN Porcentaje
BONO|BFA, S.A.|3.875|2013-11-30 ES0314950660 6,69%
OBLIGACIONES|Reino de Espana|4.65|2025-07-30 ES00000122E5 6,00%
CEDULA|Bankia S.A.|3|2013-04-15 ES0414977357 4,21%
EURODEPOSITO|Bankia S.A. 0,65%
CEDULA|La Caixa|4.5|2012-11-21 ES0414970162 3,23%
LETRAS|Reino de Espana ES0L01210191 2,88%
CEDULA|La Caixa|3.125|2013-09-16 ES0414970584 2,77%
CEDULA|Bankinter|2.625|2013-04-09 ES0413679079 1,72%
CEDULA|Banesto|4.625|2015-03-30 ES0413440217 1,68%
BONO|Unicaja|3|2012-06-18 ES0364872095 1,63%
BONO|CIF Euromortgag|1.875|2012-04-30 FR0010827626 1,63%
OBLIGACIONES|AyT CedCaja FTA|2.748|2012-12-14 ES0312298005 1,60%
CEDULA|B.Popular|4.5|2013-02-04 ES0413790124 1,45%
BONO|Lloyds TSB Bank|3.375|2015-03-17 XS0482808465 1,36%
CEDULA|Bankinter|4.875|2013-01-21 ES0413679111 1,32%
CEDULA|La Caixa|3.75|2014-05-26 ES0414970519 1,32%
BONO|Caixagalicia|3.25|2012-04-17 ES0314843303 1,30%
CEDULA|Bankia S.A.|3.5|2014-11-13 ES0414950784 1,27%
BONO|Banco CAM SAU|2.875|2012-05-14 ES0314400120 1,21%
CEDULA|Bankia S.A.|4.875|2014-03-31 ES0414950842 1,15%
BONO|Caixa Catalunya|3|2014-10-29 ES0314840184 1,13%
OBLIGACIONES|BankofScotland|4.375|2016-07-13 XS0260981229 1,06%
BONO|Caixanova|3.125|2015-04-15 ES0314958069 1,02%
BONO|FROB|4.4|2013-10-21 ES0302761038 1,00%
CEDULA|B.Popular|4.375|2014-06-16 ES0413790058 1,00%
BONO|BBVA Senior Fin|4|2013-03-22 XS0605136273 0,99%
CEDULA|Banco Sabadell|3.25|2012-09-10 ES0413860208 0,98%
OBLIGACIONES|Banesto|2.75|2012-09-07 ES0413440076 0,98%
BONO|Banesto|2.625|2013-02-28 ES0413440167 0,98%
CEDULA|Bco. Pastor|3.25|2014-03-17 ES0413770092 0,95%
CEDULA|Banco CAM SAU|3.375|2014-10-22 ES0414400079 0,92%
BONO|Banesto Fin.Pro|4|2012-05-08 XS0426539184 0,88%
OBLIGACIONES|France Telecom|7.25|2013-01-28 FR0000471948 0,85%
CEDULA|Banesto|4.5|2013-07-12 ES0413440092 0,83%
OBLIGACIONES|Banca Carige|3.75|2016-11-25 IT0004548464 0,79%
OBLIGACIONES|Estado Holandes|3.5|2020-07-15 NL0009348242 0,72%
BONO|INTERNATIONAL B|6.625|2014-01-30 XS0397540294 0,72%
OBLIGACIONES|Estado Aleman|4.25|2014-07-04 DE0001135259 0,71%
OBLIGACIONES|Sparebkn1Boligk|3.25|2017-03-17 XS0495145657 0,69%
BONO|Swedbank AB|3.375|2014-05-27 XS0429465163 0,68%
BONO|BankofScotland|5.625|2013-05-23 XS0365381473 0,68%
OBLIGACIONES|Telef. Emis SAU|4.674|2014-02-07 XS0284891297 0,67%
BONO|Rabobank Neder|3|2015-02-16 XS0487438979 0,67%
BONO|FADE|4.4|2013-09-17 ES0378641049 0,67%
BONO|I.C.O.|4.5|2013-09-10 XS0386473267 0,67%
CEDULA|Banco Sabadell|4.5|2013-02-11 ES0413860232 0,66%
CEDULA|Westdeutsche Im|2.5|2013-06-24 DE000A1A6DP2 0,66%
BONO|BBVA Senior Fin|3.625|2012-05-14 XS0427109896 0,65%
DEPOSITOS|BBVA 0,65%
BONO|La Caixa|2.5|2013-04-29 ES0414970550 0,65%
BONO|Bankia S.A.|2.875|2012-04-16 ES0314950470 0,65%
CEDULA|Banco Sabadell|3.125|2014-01-20 ES0413860182 0,65%
PAGARES|Caja Ru Navarra ES0515306U12 0,64%
BONO|BFA, S.A.|3.125|2015-01-21 ES0314977366 0,64%
CEDULA|La Caixa|3.375|2014-06-30 ES0414970238 0,59%
OBLIGACIONES|SwedBK Hypotek|3.375|2017-03-22 XS0496542787 0,52%
BONO|BNP Public Sect|3.625|2014-06-16 FR0010767194 0,51%
BONO|SNS BANK NV|3.5|2015-10-27 XS0460318495 0,50%
BONO|Bank of Montrea|4.25|2013-01-23 XS0341749116 0,50%
CEDULA|Banco Sabadell|4.5|2013-04-29 ES0413860000 0,50%
BONO|UNEDIC|2.125|2012-12-03 FR0010830190 0,49%
BONO|Dexia Credit L.|2.625|2014-01-21 XS0480266484 0,49%
BONO|Rabobank Neder|4.125|2012-04-04 XS0293707617 0,49%
BONO|I.C.O.|3.25|2015-02-10 XS0485309313 0,49%
BONO|Caixagalicia|3|2014-11-03 ES0314843329 0,48%
OBLIGACIONES|Barclays Bank P|4|2019-10-07 XS0456178580 0,35%
OBLIGACIONES|ING BANK NV|3.375|2017-03-23 XS0497141142 0,35%
BONO|ABN Amro Bank|3.75|2014-07-15 XS0439522938 0,34%
BONO|Fortis Bk Neder|3.375|2014-05-19 XS0428611973 0,34%
BONO|Ge.Elec.Capital|3.75|2014-07-22 FR0010778928 0,34%
BONO|OP Mortgage Bnk|3.125|2014-11-19 XS0467956529 0,34%
BONO|SFEF|3.125|2014-06-30 FR0010772988 0,34%
BONO|Aust y NZ Bank|5.25|2013-05-20 XS0363415489 0,34%
BONO|GE Capital EF|4.875|2013-03-06 XS0350465422 0,34%
BONO|GE Capital EF|2.875|2014-10-28 XS0553035840 0,34%
BONO|RBOS Group Plc|5.25|2013-05-15 XS0363669408 0,33%
BONO|DnB NOR Boligkr|4.125|2013-02-01 XS0342241295 0,33%
BONO|Dexia Munic.Agn|3.5|2016-09-16 FR0010801068 0,33%
CEDULA|Bankinter|3.75|2013-09-23 ES0413679095 0,33%
BONO|Cred.Agr CovBds|2.25|2013-01-29 FR0010851337 0,33%
BONO|Sparebkn1Boligk|2.375|2012-12-03 XS0470740969 0,33%
OBLIGACIONES|MorganStyCo Int|4.375|2016-10-12 XS0270800815 0,33%
BONO|BNP ParibasCov|2.25|2012-10-01 FR0010807917 0,33%
BONO|Nat Australia B|4.625|2012-06-07 XS0304358186 0,33%
BONO|La Caixa|3.75|2013-11-05 ES0314970163 0,33%
BONO|Intesa Sanpaolo|3.25|2013-02-01 XS0586635061 0,33%
BONO|CaixaBank|4.125|2014-11-20 ES0340609009 0,33%
BONO|Banco CAM SAU|3|2014-11-12 ES0314400187 0,32%
OBLIGACIONES|Intesa Sanpaolo|3.75|2016-11-23 XS0467864160 0,32%
CEDULA|Cajamar|3.5|2014-10-23 ES0414601023 0,32%
BONO|Stadshypotek AB|3|2014-10-01 XS0455319029 0,31%
BONO|ING BANK NV|3|2014-09-30 XS0455122076 0,31%
BONO|Aust y NZ Bank|2.625|2012-11-16 XS0466878419 0,30%
CEDULA|BBVA|3|2014-10-09 ES0413211337 0,29%
OBLIGACIONES|KIG|3.625|2017-01-25 AT0000A0GMG9 0,26%
BONO|Abbey N.Treasur|2.5|2013-03-18 XS0496065672 0,25%
BONO|Vodafone Grp|6.875|2013-12-04 XS0402707367 0,21%
OBLIGACIONES|BMW US Cap. LLC|5|2015-05-28 XS0364671346 0,18%
BONO|Fortis Bk Neder|4|2015-02-03 XS0483673132 0,17%
BONO|PFIZER INC|3.625|2013-06-03 XS0432069747 0,17%
BONO|Banco Sabadell|4.375|2012-05-22 ES0313860233 0,16%
CEDULA|Bco. Pastor|3.625|2012-09-24 ES0413770134 0,16%
OBLIGACIONES|B.Pop. Milano|3.5|2016-10-17 IT0004540289 0,16%
OBLIGACIONES|GDF Suez|3.125|2020-01-21 FR0011147305 0,13%
CEDULA|La Caixa|4.75|2015-03-18 ES0414970667 0,07%
CEDULA|Banesto|3.625|2013-06-04 ES0413440159 0,07%

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

BANKIA DURACION FLEXIBLE 0-2, FI

Fondo de inversión armonizado gestionado por BANKIA FONDOS, S.G.I.I.C., S.A.

1.068,3M

patrimonio

58,9k

partícipes

2, en una escala de 1 al 7

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