BMN BONOS CORPORATIVOS, FI
Fondo de inversión armonizado gestionado por TREA AM
49,8M
patrimonio
1,7k
partícipes
2, en una escala de 1 al 7
perfil de riesgo
Clases
Rentabilidad del fondo
Rentabilidad anual
Año | Rentabilidad |
---|---|
2017 | 1,16% * |
2016 | 1,20% |
Rentabilidad acumulada
Últimos años | Rentabilidad anualizada | Rentabilidad acumulada |
---|---|---|
3 meses | 2,04% | 0,51% |
1 año | 2,79% | 2,79% |
2 años | 1,99% | 4,02% |
3 años | 1,97% | 6,02% |
4 años | 2,60% | 10,84% |
5 años | 3,94% | 21,30% |
Últimos valores liquidativos
Ver evolución del patrimonioFecha | Valor liquidativo |
---|---|
12,1868€ | |
12,1255€ | |
11,9942€ | |
11,9245€ | |
11,8565€ | |
11,8832€ | |
11,8342€ | |
11,8319€ | |
11,7162€ | |
11,7447€ | |
11,7528€ | |
11,4654€ | |
11,4944€ | |
11,4831€ | |
11,1856€ | |
10,9948€ | |
10,8398€ | |
10,4030€ | |
10,4204€ | |
10,0465€ | |
9,6106€ | |
10,0041€ |
Posiciones en cartera
El fondo BMN BONOS CORPORATIVOS, FI invierte en 115 activos diferentes. Consulta el informe completo de inversiones de la cartera del fondo
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2,76%1.373.755€, XS1626771791
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2,32%1.156.459€, PTCFPBOM0001
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2,32%1.152.653€, FR0011302793
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1,84%916.356€, IT0004960669
-
1,76%876.459€, XS1388625425
-
1,66%824.227€, XS1577948174
-
1,62%804.637€, XS0802995166
-
1,58%787.722€, FR0010804500
-
1,49%743.252€, XS1497527736
-
1,41%700.119€, XS1639097747
-
1,32%655.098€, XS1050460739
-
1,23%614.188€, XS1627337881
-
1,23%610.353€, XS1560862580
-
1,20%598.404€, NL0000120889
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1,20%595.325€, PTMENNOE0008
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1,11%550.985€, XS1014997073
-
1,08%536.518€, ES0214950190
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1,07%534.050€, XS1075963485
-
1,06%526.642€, DE000A11QR65
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1,06%525.162€, XS1043513529
-
1,05%523.772€, IT0004841778
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1,03%512.404€, PTMENROM0004
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1,03%512.179€, XS1576777566
-
1,03%510.763€, XS1551347393
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1,01%504.499€, PTJLLCOM0009
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0,98%487.729€, DE000A1TM5X8
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0,96%476.173€, PTOTEUOE0019
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0,89%442.850€, ES0214974075
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0,87%433.433€, XS1211044075
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0,87%430.708€, FR0011261064
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0,85%422.508€, XS1492458044
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0,85%421.063€, XS1224710399
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0,82%409.618€, IT0004907850
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0,82%407.822€, ES0376156008
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0,82%407.388€, XS1542427676
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0,82%407.240€, XS1691349952
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0,82%406.836€, DE000A2BPET2
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0,81%403.426€, XS1581375182
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0,81%400.809€, XS1696459731
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0,80%400.410€, PTBCPWOM0034
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0,80%399.193€, XS1679158094
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0,80%399.165€, XS1725526765
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0,80%399.149€, XS1485748393
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0,80%398.285€, DE000HSH4VK9
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0,80%398.027€, XS1731882186
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0,78%390.535€, XS1571293684
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0,75%371.892€, IT0004842370
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0,74%369.920€, ES0211839206
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0,73%363.723€, XS0972588643
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0,70%346.585€, XS1439749281
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0,68%339.046€, IT0004605074
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0,68%337.658€, IT0004645542
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0,68%337.453€, XS1347748607
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0,67%332.633€, XS1074396927
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0,64%317.955€, XS1551678409
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0,64%317.603€, XS1113441080
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0,64%316.233€, XS1174211471
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0,62%310.046€, XS1319647068
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0,62%307.922€, XS0205935470
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0,62%306.911€, XS1608362379
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0,61%305.797€, XS1598757760
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0,61%305.552€, PTSDRDOM0001
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0,61%303.312€, XS1637351138
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0,61%303.275€, ES0205045018
-
0,60%300.336€, ES0315306011
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0,58%290.185€, NL0000120004
-
0,51%253.752€, XS0487711573
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0,51%253.299€, FR0013232444
-
0,51%252.096€, US294829AA48
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0,46%227.468€, XS1059385861
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0,45%225.123€, PTEDPUOM0024
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0,45%223.416€, XS1041042828
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0,45%223.205€, PTPETUOM0018
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0,44%218.858€, XS1385395121
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0,43%215.460€, XS1001668950
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0,43%214.660€, XS1086530604
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0,43%213.642€, XS1558083652
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0,43%213.272€, XS1205644047
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0,43%212.784€, XS1384278203
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0,42%210.326€, XS1214547777
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0,42%209.321€, XS1514470316
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0,42%208.647€, XS1409362784
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0,42%207.710€, XS1512736379
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0,42%206.942€, ES0311843009
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0,41%206.218€, XS1616917800
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0,41%205.064€, IT0005244774
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0,41%204.790€, XS1651444140
-
0,41%203.626€, XS1649668792
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0,41%203.150€, XS1569103259
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0,41%201.506€, XS1716945586
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0,40%201.342€, XS1492691008
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0,40%200.295€, ES0305039010
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0,40%199.314€, IT0005204406
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0,40%198.821€, PTGALLOM0004
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0,40%198.780€, XS1720922175
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0,40%198.647€, XS1731657497
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0,40%198.297€, DE000HSH4ZU9
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0,40%198.276€, XS1731105612
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0,40%198.116€, XS1501367921
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0,40%197.905€, XS0130717134
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0,40%197.177€, XS1716833352
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0,33%165.339€, NO0010810054
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0,33%161.860€, IT0004941412
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0,31%154.706€, XS1678966935
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0,28%141.721€, XS0802638642
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0,26%128.033€, ES0282103003
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0,25%125.525€, XS0808635436
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0,25%125.104€, ES0213056007
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0,21%106.239€, XS1207309086
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0,21%105.746€, XS1490960942
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0,20%99.677€, XS1733958927
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0,20%99.424€, XS1553923985
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0,18%91.367€, ES0276156009
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0,14%70.618€, XS0185672291
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0,12%61.143€, PTCPEJOM0004
Distribución geográfica
Región | Inversión | Porcentaje |
---|---|---|
XS | 24.725.841€ | 49,71% |
PT | 4.659.114€ | 9,35% |
IT | 3.464.580€ | 6,96% |
ES | 3.112.462€ | 6,25% |
FR | 2.624.382€ | 5,28% |
DE | 2.017.789€ | 4,06% |
NL | 888.589€ | 1,78% |
US | 252.096€ | 0,51% |
NO | 165.339€ | 0,33% |
Distribución por tipo de activo
Tipo de activo | Capital |
---|---|
Renta fija cotizada (> 1 año) | 34.144.140€ |
Liquidez | 7.843.290€ |
Renta fija cotizada (< 1 año) | 6.231.880€ |
Inversiones (> 1 año) | 1.031.037€ |
Inversiones (< 1 año) | 403.711€ |
Renta fija no cotizada | 99.424€ |
Novedades
-
31-12-2017
-
COMPRAS
RENTA FIJA|ARENA LUXEMBOURG|2,88|2020-11-01
XS1577948174
RENTA FIJA|BANCA FARMAFACTORING|2,00|2022-06-29
XS1639097747
RENTA FIJA|Mota Engil SGPS SA|5,50|2019-04-22
PTMENNOE0008
RENTA FIJA|UBI Banca Scpa|4,67|2019-10-08
IT0004841778
RENTA FIJA|Mota Engil SGPS SA|3,90|2020-02-03
PTMENROM0004
RENTA FIJA|MYLAN NV|3,13|2028-08-22
XS1492458044
RENTA FIJA|Iccrea Banca Spa|1,50|2022-10-11
XS1696459731
RENTA FIJA|ROADSTER FINANCE|1,63|2024-12-09
XS1731882186
RENTA FIJA|Banco Comercial Port|4,50|2022-12-07
PTBCPWOM0034
RENTA FIJA|LANDSBANKINN HF|1,00|2023-05-30
XS1725526765
RENTA FIJA|UBI Banca Scpa|6,00|2019-10-08
IT0004842370
RENTA FIJA|Mediobanca|5,00|2020-11-15
IT0004645542
RENTA FIJA|Royal Bank Scotland|5,50|2018-03-31
XS0205935470
RENTA FIJA|Grifols|3,20|2020-05-01
XS1598757760
RENTA FIJA|ERICSSON|4,13|2022-05-15
US294829AA48
RENTA FIJA|GROUPAMA AM|6,00|2027-01-23
FR0013232444
RENTA FIJA|ENERGIAS DE PORTUGAL|5,38|2021-03-16
PTEDPUOM0024
RENTA FIJA|Parpublica|3,75|2021-07-05
PTPETUOM0018
RENTA FIJA|PRYSMIAN SPA|2,50|2022-04-11
XS1214547777
RENTA FIJA|TEOLLISUUDEN VOIMA|2,63|2023-01-13
XS1514470316
RENTA FIJA|EUROFINS SCIENTIFIC|3,25|2025-11-13
XS1716945586
RENTA FIJA|BRITISH TELECOM|1,00|2024-08-21
XS1720922175
RENTA FIJA|Galp Energía SGPS|1,00|2023-02-15
PTGALLOM0004
RENTA FIJA|UNICREDIT SPA|2,25|2024-08-31
IT0005204406
RENTA FIJA|REXEL SA|2,13|2020-12-15
XS1716833352
RENTA FIJA|Banco Sabadell|0,88|2023-03-05
XS1731105612
RENTA FIJA|REGION OF LAZIO|3,09|2043-03-31
XS1731657497
RENTA FIJA|BOREALIS FINANCE|7,50|2020-05-16
NO0010810054
RENTA FIJA|Banco Mare Nostrum|9,00|2021-11-16
ES0213056007
RENTA FIJA|TELEFONICA EUROPE|3,75|2022-03-15
XS1490960942
RENTA FIJA|PRO-GEST SPA|3,25|2020-12-15
XS1733958927
RENTA FIJA|Copasa|7,00|2018-12-19
ES0276156009
RENTA FIJA|Axa|2,26|2018-02-06
XS0185672291
-
VENTAS
REPO|Banco Mare Nostrum|2017-10-02
ES00000128H5
RENTA FIJA|VENETO BANCA|4,00|2019-05-20
XS1069508494
RENTA FIJA|Fiat Finance & Trade|6,75|2019-10-14
XS0953215349
RENTA FIJA|Liberbank|6,88|2022-03-14
ES0268675032
RENTA FIJA|IBERCAJA|5,00|2020-07-28
ES0244251007
PAGARE|ACS|0,67|2017-10-20
XS1509038409
RENTA FIJA|BANCA POP VICENZA|5,00|2018-10-25
XS0985326502
RENTA FIJA|SKF AB-B SHS|1,63|2022-09-02
XS1327531486
RENTA FIJA|MONTE PASCHI|0,75|2020-01-25
IT0005240509
RENTA FIJA|B.OF AMMERRILL LYNCH|0,45|2022-05-04
XS1602557495
RENTA FIJA|TERNA|2,73|2023-09-15
XS0328430003
RENTA FIJA|Glencore Finance|3,38|2020-09-30
XS0974877150
RENTA FIJA|AREVA SA|4,38|2019-11-06
FR0010817452
RENTA FIJA|BUONI POLIENNALI DEL|0,45|2023-05-22
IT0005253676
RENTA FIJA|TELEFONICA|6,50|2018-09-18
XS0972570351
RENTA FIJA|GOLDMAN SACHS GROUP|1,38|2022-07-26
XS1173845436
Comisiones y gastos
Concepto | Clase |
---|---|
Ratio de gastos (TER) | 1,07% |
Base de cálculo | Patrimonio |
Comisión de gestión | 1,00% |
Comisión de resultados | 0.0000 |
Comisión depositario | 0,05% |
Perfil de riesgo: 2 en una escala del 1 al 7.
Vocación inversora: Renta fija euro (2).
Categoría: Otros (8).