BBVA BONOS INTERNACIONAL FLEXIBLE 0-3, FI
Cartera
Este fondo se corresponde con los siguientes códigos ISIN: ES0179396009
Patrimonio | 507.760.000€ |
---|---|
Partícipes | 16.954 |
Patrimonio por partícipe | 29.949,27€ |
Cartera del fondo a 2019-03-31
El fondo invierte en 94 activos diferentes:
Activo | ISIN | Porcentaje |
---|---|---|
DEUDA|UNITED STATES OF AME|0,125|2021-04-15 | US912828Q608 | 23,25% |
DEUDA|REPUBLIC OF ITALY|0,100|2022-05-15 | IT0005188120 | 4,98% |
FONDO|GAM MULTIBOND - LOCA | LU0256065409 | 4,46% |
RENTA|BNG BANK NV|2,500|2020-02-28 | XS1783238493 | 4,35% |
EMISIONES|KREDITANSTALT FUER W|1,625|2021-03-15 | US500769GX62 | 4,11% |
RENTA|CPPIB CAPITAL INC|0,375|2024-06-20 | XS1633248148 | 3,99% |
EMISIONES|TREASURY CORP OF VIC|2,250|2021-10-29 | AU0000027948 | 3,42% |
DEUDA|KINGDOM OF NORWAY|4,500|2019-05-22 | NO0010429913 | 3,21% |
DEUDA|CANADA|4,250|2026-12-01 | CA135087VS05 | 2,94% |
DEUDA|KINGDOM OF SPAIN|1,300|2026-10-31 | ES00000128H5 | 2,91% |
DEUDA|NEW ZEALAND|6,000|2021-05-15 | NZGOVD0521C2 | 2,51% |
DEUDA|FRENCH REPUBLIC|1,300|2019-07-25 | FR0010850032 | 2,47% |
DEUDA|KINGDOM OF SWEDEN|1,875|2020-11-02 | XS1709538356 | 2,41% |
BONOS/OBLIGA.|EXPORT DEVELOPMENT C|2,300|2020-02-1 | XS1768007715 | 2,25% |
DEUDA|REPUBLIC OF POLAND|1,500|2020-04-25 | PL0000108510 | 2,06% |
REPOS|BANCO BILBAO VIZCAYA ARGENTARIA SA|-0,45|201 | ES00000126N7 | 2,05% |
REPOS|BANCO BILBAO VIZCAYA ARGENTARIA SA|-0,45|201 | ES00000122Z0 | 1,99% |
REPOS|BANCO BILBAO VIZCAYA ARGENTARIA SA|-0,45|201 | ES00000126L1 | 1,67% |
DEUDA|KINGDOM OF SWEDEN|2,375|2023-02-15 | XS1748232862 | 1,05% |
EMISIONES|NEW ZEALAND LOCAL GO|2,250|2024-04-15 | NZLGFDT011C6 | 1,01% |
EMISIONES|EUROPEAN FINANCIAL S|1,625|2020-07-17 | EU000A1G0BG1 | 0,99% |
EMISIONES|KREDITANSTALT FUER W|1,500|2019-09-09 | US500769HN71 | 0,98% |
EMISIONES|BANCA MONTE DEI PASC|0,750|2020-01-25 | IT0005240509 | 0,83% |
DEUDA|KINGDOM OF THE NETHE|0,250|2029-07-15 | NL0013332430 | 0,71% |
BONOS|ENEL SPA|5,000|2075-01-15 | XS1014997073 | 0,50% |
RENTA|ING BANK NV|4,500|2022-02-21 | XS0748187902 | 0,32% |
RENTA|UBS AG/LONDON|1,250|2021-09-03 | XS1105680703 | 0,31% |
RENTA|UBS AG/LONDON|1,125|2020-06-30 | XS1254428540 | 0,29% |
RENTA|BANCO SANTANDER SA|1,375|2022-12-14 | XS1330948818 | 0,24% |
RENTA|SOCIETE GENERALE SA|0,250|2022-01-18 | FR0013365491 | 0,23% |
RENTA|VOLKSWAGEN FINANCIAL|0,375|2021-04-12 | XS1806453814 | 0,23% |
RENTA|ABN AMRO BANK NV|0,250|2021-12-03 | XS1917577931 | 0,21% |
BONOS|VOLKSWAGEN INTERNATI|3,750|2049-03-24 | XS1048428012 | 0,21% |
BONOS|TOTAL SA|2,250|2049-12-29 | XS1195201931 | 0,21% |
RENTA|BANCO SANTANDER SA|1,375|2021-03-03 | XS1370695477 | 0,21% |
RENTA|CREDIT AGRICOLE SA/L|0,875|2022-01-19 | XS1169630602 | 0,21% |
BONOS|TAKEDA PHARMACEUTICA|1,125|2022-11-21 | XS1843449049 | 0,19% |
BONOS|MERLIN PROPERTIES SO|2,225|2023-04-25 | XS1398336351 | 0,18% |
LETRAS|FEDERAL REPUBLIC OF|-0,730|2019-04-10 | DE0001137768 | 0,18% |
LETRAS|FEDERAL REPUBLIC OF|-0,564|2019-08-14 | DE0001137784 | 0,18% |
RENTA|ING BANK NV|0,375|2021-11-26 | XS1914937021 | 0,17% |
BONOS|AT&T INC|2,750|2023-05-19 | XS1374344668 | 0,17% |
RENTA|FERROVIAL EMISIONES|3,375|2021-06-07 | XS0940284937 | 0,16% |
BONOS|RCI BANQUE SA|0,750|2022-01-12 | FR0013230737 | 0,16% |
BONOS|NORTEGAS ENERGIA DIS|0,918|2022-09-28 | XS1691349796 | 0,16% |
BONOS|AT&T INC|1,450|2022-06-01 | XS1144086110 | 0,16% |
BONOS|SOCIETE GENERALE SA|2,500|2026-09-16 | XS1110558407 | 0,15% |
RENTA|BANCO BILBAO VIZCAYA|0,750|2022-09-11 | XS1678372472 | 0,15% |
RENTA|A2A SPA|3,625|2022-01-13 | XS1004874621 | 0,14% |
BONOS|VERIZON COMMUNICATIO|0,500|2022-06-02 | XS1405767275 | 0,13% |
BONOS|ALLERGAN FUNDING SCS|0,500|2021-06-01 | XS1622630132 | 0,13% |
RENTA|ING BANK NV|0,700|2020-04-16 | XS1169586606 | 0,13% |
RENTA|INTESA SANPAOLO SPA|2,000|2021-06-18 | XS1077772538 | 0,13% |
RENTA|TERNA RETE ELETTRICA|1,000|2023-07-23 | XS1858912915 | 0,11% |
RENTA|COOPERATIEVE RABOBAN|2,375|2023-05-22 | XS0933540527 | 0,11% |
BONOS|INMOBILIARIA COLONIA|2,728|2023-06-05 | XS1241701413 | 0,11% |
BONOS|ORANGE SA|4,000|2049-10-01 | XS1115490523 | 0,11% |
BONOS|INTERNATIONAL BUSINE|0,375|2023-01-31 | XS1944456018 | 0,11% |
RENTA|COOPERATIEVE RABOBAN|4,000|2022-01-11 | XS0728812495 | 0,10% |
BONOS|IMPERIAL BRANDS FINA|1,125|2023-08-14 | XS1951313680 | 0,10% |
RENTA|INTESA SANPAOLO SPA|1,125|2022-03-04 | XS1197351577 | 0,10% |
BONOS|COOPERATIEVE RABOBAN|2,500|2026-05-26 | XS1069772082 | 0,10% |
BONOS|ABN AMRO BANK NV|2,875|2025-06-30 | XS1253955469 | 0,09% |
BONOS|FEDEX CORP|1,000|2023-01-11 | XS1319814577 | 0,09% |
RENTA|BANCO BILBAO VIZCAYA|1,000|2021-01-20 | XS1346315200 | 0,09% |
RENTA|GLENCORE FINANCE EUR|3,375|2020-09-30 | XS0974877150 | 0,09% |
BONOS|GLENCORE FINANCE EUR|1,250|2021-03-17 | XS1202846819 | 0,08% |
BONOS|INMOBILIARIA COLONIA|2,000|2026-04-17 | XS1808395930 | 0,08% |
BONOS|PROSEGUR CIA DE SEGU|1,000|2023-02-08 | XS1759603761 | 0,08% |
BONOS|ALLIANZ FINANCE II B|5,750|2041-07-08 | DE000A1GNAH1 | 0,08% |
BONOS|FORTUM OYJ|0,875|2023-02-27 | XS1956028168 | 0,08% |
BONOS|DIAGEO FINANCE PLC|0,250|2021-10-22 | XS1896661870 | 0,08% |
BONOS|UBS AG|4,750|2026-02-12 | CH0236733827 | 0,08% |
RENTA|DANSKE BANK A/S|1,375|2022-05-24 | XS1957541953 | 0,08% |
RENTA|BNP PARIBAS SA|1,125|2023-10-10 | XS1547407830 | 0,07% |
BONOS|ATOS SE|0,750|2022-05-07 | FR0013378445 | 0,07% |
BONOS|BAYER CAPITAL CORP B|0,625|2022-12-15 | XS1840614900 | 0,07% |
RENTA|JAB HOLDINGS BV|1,750|2023-05-25 | DE000A181034 | 0,07% |
RENTA|BMW FINANCE NV|0,625|2023-10-06 | XS1948612905 | 0,07% |
RENTA|CREDIT SUISSE AG/LON|1,125|2020-09-15 | XS1291175161 | 0,06% |
BONOS|CAIXABANK SA|3,500|2027-02-15 | XS1565131213 | 0,06% |
BONOS|BANCO BILBAO VIZCAYA|2,575|2029-02-22 | XS1954087695 | 0,06% |
BONOS|INTERNATIONAL BUSINE|0,875|2025-01-31 | XS1944456109 | 0,05% |
BONOS|ABERTIS INFRAESTRUCT|1,500|2024-06-27 | XS1967635621 | 0,05% |
BONOS|ASSICURAZIONI GENERA|7,750|2042-12-12 | XS0863907522 | 0,04% |
BONOS|MUENCHENER RUECKVERS|6,000|2041-05-26 | XS0608392550 | 0,04% |
BONOS|ABN AMRO BANK NV|2,875|2028-01-18 | XS1346254573 | 0,04% |
BONOS|SCHAEFFLER AG|1,125|2022-03-26 | DE000A2YB699 | 0,04% |
BONOS|ASSICURAZIONI GENERA|10,125|2042-07-10 | XS0802638642 | 0,03% |
BONOS|BARCLAYS BANK PLC|6,625|2022-03-30 | XS0611398008 | 0,03% |
BONOS|ALLIANZ SE|5,625|2042-10-17 | DE000A1RE1Q3 | 0,02% |
BONOS|BANQUE FEDERATIVE DU|3,000|2024-05-21 | XS1069549761 | 0,02% |
BONOS|CNP ASSURANCES|6,875|2041-09-30 | FR0011033851 | 0,02% |
BONOS|CNP ASSURANCES|6,000|2040-09-14 | FR0010941484 | 0,02% |
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
BBVA BONOS INTERNACIONAL FLEXIBLE 0-3, FI
Fondo de inversión armonizado gestionado por BBVA ASSET MANAGEMENT, S.A., SGIIC
507,8M
patrimonio
17,0k
partícipes
2, en una escala de 1 al 7
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