CS RENTA FIJA 0-5, FI
Cartera
Este fondo se corresponde con los siguientes códigos ISIN: ES0124880032
Patrimonio | 142.794.459€ |
---|---|
Partícipes | 486 |
Patrimonio por partícipe | 293.815,76€ |
Cartera del fondo a 2009-06-30
El fondo invierte en 58 activos diferentes:
Activo | ISIN | Porcentaje |
---|---|---|
LETRAS|TESORO PUBLICO|0,230|2009-07-01 | ES0L01005211 | 44,46% |
LETRAS|TESORO PUBLICO|1,013|2009-12-18 | ES0L00912185 | 3,31% |
PAGARES|TELEFONICA DE ESPAÑA|1,290|2009-09-15 | ES0578430GY8 | 2,82% |
PAGARES|UNION FENOSA|1,390|2009-12-28 | ES0581380IQ2 | 2,64% |
BONOS|BANCO SANTANDER TOTTA SA|3,750|2012-06-12 | PTCPP4OM0023 | 2,12% |
BONOS|RED ELECTRICA FINANCE BV|4,750|2013-09-18 | XS0176347044 | 2,09% |
BONOS|THALES S.A.|4,375|2013-04-02 | XS0420972258 | 2,04% |
BONOS|RWE FINANCE BV|2,500|2011-09-16 | XS0434069497 | 2,04% |
BONOS|BRITISH TELECOM PLC|5,250|2013-01-22 | XS0332154524 | 1,93% |
BONOS|REPSOL INT FINANCE|6,500|2014-03-27 | XS0419352199 | 1,91% |
BONOS|NATIONAL GRID PLC|6,500|2014-04-22 | XS0408880127 | 1,80% |
BONOS|CARREFOUR|5,125|2014-10-10 | FR0010526848 | 1,75% |
BONOS|PFIZER|3,625|2013-06-03 | XS0432069747 | 1,69% |
BONOS|CAJA AHORROS Y MONTE DE PIEDAD|3,625|2011 | ES0314950538 | 1,66% |
BONOS|REDES ENERGICAS NACIONAIS|6,375|2013-12-1 | PTRELAOM0000 | 1,43% |
BONOS|GE CAPITAL EURO FUNDING|4,750|2012-09-28 | XS0323621416 | 1,36% |
BONOS|DEUTSCHE TELEKOM INT FINANCE|4,375|2014-0 | XS0431772572 | 1,36% |
BONOS|COMUNIDAD DE MADRID|4,051|2013-06-12 | ES0000101362 | 1,34% |
BONOS|ATLANTIA SPA|5,000|2014-06-09 | XS0193947271 | 1,24% |
PAGARES|HIDROCANTABRICO|1,500|2009-11-27 | ES05060252Q0 | 1,19% |
BONOS|PORTUGAL TELECOM INT FIN|3,750|2012-03-26 | XS0215828830 | 1,00% |
BONOS|PORTUGAL TELECOM INT FIN|6,000|2013-04-30 | XS0426126180 | 0,91% |
BONOS|GAS NATURAL FINANCE BV|5,250|2014-07-09 | XS0436905821 | 0,87% |
PAGARES|HIDROCANTABRICO|1,580|2009-10-30 | ES05060252N7 | 0,73% |
BONOS|SUEZ LYONNAISE DES EAUX|4,875|2014-04-08 | FR0010745984 | 0,69% |
PAGARES|EMP.NAC.ELECTRI(ENDESA)|1,683|2010-01-2 | ES05309912Z1 | 0,69% |
PAGARES|IBERDROLA SA|1,764|2010-04-29 | ES0544580FS5 | 0,69% |
BONOS|TELEFONICA EMISIONES SA|4,674|2014-02-07 | XS0284891297 | 0,69% |
BONOS|DEUTSCHE TELEKOM INT FINANCE|6,500|2009-1 | XS0155788150 | 0,68% |
BONOS|SHELL INTERNATIONAL FIN|3,000|2013-05-14 | XS0428146442 | 0,67% |
PAGARES|HIDROCANTABRICO|1,350|2009-12-30 | ES05060253G9 | 0,66% |
BONOS|KPN NV|5,000|2012-11-13 | XS0330631051 | 0,59% |
BONOS|CAJA AHORROS Y MONTE DE PIEDAD|1,634|2010 | ES0314950215 | 0,53% |
BONOS|SYNGENTA FINANCE NV|4,000|2014-06-30 | XS0436662828 | 0,51% |
PAGARES|EMP.NAC.ELECTRI(ENDESA)|1,480|2009-12-0 | ES05309911U4 | 0,50% |
PAGARES|IBERDROLA SA|1,835|2010-04-01 | ES0544580FP1 | 0,49% |
PAGARES|EMP.NAC.ELECTRI(ENDESA)|1,622|2009-10-2 | ES05309912H9 | 0,46% |
BONOS|FRANCE TELECOM|7,250|2013-01-28 | FR0000471948 | 0,45% |
BONOS|TELEFONICA EMISIONES SAU|5,580|2013-06-12 | XS0368055959 | 0,43% |
BONOS|TELECOM ITALIA SPA|6,750|2013-03-21 | XS0418509146 | 0,43% |
BONOS|BAT INTL FINANCE|5,125|2013-07-09 | XS0171786287 | 0,42% |
BONOS|PHILIP MORRIS INTERNATIONAL|4,250|2012-03 | XS0419179972 | 0,41% |
BONOS|VODAFONE GROUP PLC|3,625|2012-11-29 | XS0236598164 | 0,40% |
BONOS|PFIZER|4,450|2012-03-15 | US717081CZ40 | 0,37% |
BONOS|VATTENFALL AB|4,125|2013-03-18 | XS0417208591 | 0,34% |
BONOS|ROCHE HLDGS INC|2,761|2010-03-04 | XS0416141025 | 0,34% |
BONOS|E.ON INTERNATIONAL FIN BV|2,500|2011-11-3 | XS0430329507 | 0,33% |
LETRAS|TESORO PUBLICO|0,912|2009-10-23 | ES0L00910239 | 0,33% |
PAGARES|EMP.NAC.ELECTRI(ENDESA)|1,683|2009-10-0 | ES05309912W8 | 0,33% |
BONOS|REPSOL INT FINANCE|6,000|2010-05-05 | XS0110487062 | 0,28% |
BONOS|BRITISH TELECOM PLC|6,125|2014-07-11 | XS0433216339 | 0,27% |
BONOS|SANOFI-AVENTIS|3,500|2013-05-17 | XS0428037666 | 0,27% |
BONOS|BP CAPITAL MARKETS PLC|3,125|2012-03-10 | US05565QBG29 | 0,24% |
PAGARES|SANTANDER CONSUMER FINANCE|2,157|2009-0 | ES0513495Y63 | 0,20% |
BONOS|AGBAR INTERNATIONAL BV|6,000|2009-11-12 | XS0103884812 | 0,14% |
BONOS|REPSOL INT FINANCE|5,000|2013-07-22 | XS0172751355 | 0,11% |
BONOS|CATERPILLAR INC|5,125|2012-06-04 | XS0430329176 | 0,10% |
BONOS|BBVA FONDO DE TITULIZACION|5,361|2012-11- | ES0338619028 | 0,09% |
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
CS RENTA FIJA 0-5, FI
Fondo de inversión armonizado gestionado por CREDIT SUISSE GESTION, S.G.I.I.C., S.A.
142,8M
patrimonio
486
partícipes
3, en una escala de 1 al 7
perfil de riesgo