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 2013-12-31
El fondo invierte en 65 activos diferentes:
Activo | ISIN | Porcentaje |
---|---|---|
REPO|CS SUC ESP|0,200|2014-01-02 | ES00000122F2 | 17,65% |
PARTICIPACIONES|AHORRO CORP. FONDEPOSITOS | ES0106933007 | 7,65% |
BONOS|BPE FINANCIACIONES SA|2,875|2016-05-19 | XS0993306603 | 2,82% |
CEDULA|CAJAS RURALES UNIDAS|3,750|2018-11-22 | ES0422714024 | 2,80% |
PAGARES|OBRASCON HUARTE LAIN SA|2,869|2014-10-3 | XS0989580963 | 2,73% |
BONOS|LA CAIXA (CAIXABANK)|5,000|2023-11-14 | XS0989061345 | 2,47% |
BONOS|BBVA|4,375|2019-10-20 | ES0213211099 | 2,40% |
BONOS|INSTITUTO DE CREDITO OFICIAL|4,875|2017-0 | XS0849423081 | 2,04% |
PARTICIPACIONES|DWS INVESTMENT SA GERMANY | LU0632808951 | 1,88% |
BONOS|TESORO PUBLICO|3,750|2018-10-31 | ES00000124B7 | 1,86% |
BONOS|PETROLEOS MEXICANOS|2,437|2024-01-18 | US71654QBH48 | 1,70% |
BONOS|CHINA RAILWAY GROUP LTD|1,925|2023-02-05 | XS0880288997 | 1,66% |
BONOS|DEUTSCHE BANK FINANCE NV|8,000|2049-05-15 | DE000A0TU305 | 1,53% |
BONOS|ENEL SPA|6,500|2074-01-10 | XS0954675129 | 1,51% |
BONOS|INTESA SANPAOLO SPA|8,047|2049-06-20 | XS0371711663 | 1,51% |
BONOS|TELEFONICA EUROPE BV (NL)|6,500|2049-09-1 | XS0972570351 | 1,50% |
BONOS|MAPFRE SA|5,125|2015-11-16 | ES0324244005 | 1,49% |
BONOS|A2A SPA|4,375|2021-01-10 | XS0951567030 | 1,49% |
BONOS|IBERDROLA INTL BV|5,750|2049-02-27 | XS0808632763 | 1,49% |
BONOS|EDP FINANCE BV|4,875|2020-09-14 | XS0970695572 | 1,49% |
BONOS|BANCO ESPIRITO SANTO|5,875|2015-11-09 | PTBESWOM0013 | 1,47% |
BONOS|AMERICA MOVIL S.A.|5,125|2073-09-06 | XS0969340768 | 1,47% |
BONOS|REN FINANCE BV|4,750|2020-10-16 | XS0982774399 | 1,46% |
BONOS|BBVA INTL PREF UNIPERSON|8,500|2049-10-21 | XS0457228137 | 1,46% |
BONOS|TELECOM ITALIA SPA|7,750|2073-03-20 | XS0906837645 | 1,45% |
Deposito|BANCO SANTANDER IPF|3,250|2014 01 11 | 1,40% | |
BONOS|ALLIANZ SE|4,750|2049-10-24 | DE000A1YCQ29 | 1,35% |
BONOS|OBRASCON HUARTE LAIN SA|7,375|2015-04-28 | XS0503993627 | 1,01% |
Deposito|BANKIA|3,250|2014 06 05 | 0,98% | |
BONOS|COMUNIDAD DE MADRID|4,688|2020-03-12 | ES0000101396 | 0,98% |
BONOS|BUONI POLIENNALI DEL TESORO|1,750|2018-06 | IT0004907843 | 0,97% |
BONOS|TSY INFL IX|0,062|2023-01-15 | US912828UH11 | 0,97% |
BONOS|GAZPROM OAO|3,700|2018-07-25 | XS0954912514 | 0,97% |
CEDULA|BANCO POPULAR ESPAÑOL|3,500|2017-09-11 | ES0413790314 | 0,97% |
CEDULA|BANKIA SAU|3,625|2016-10-05 | ES0414950776 | 0,97% |
BONOS|XUNTA DE GALICIA|5,000|2014-12-12 | ES0001352394 | 0,97% |
BONOS|BPE FINANCIACIONES SA|4,000|2015-07-17 | XS0875105909 | 0,96% |
BONOS|ATLANTIA SPA|2,875|2021-02-26 | XS0986174851 | 0,94% |
Deposito|BANCO ESPAÑOL DE CREDITO|4,030|2014 03 | 0,94% | |
Deposito|BANCO SANTANDER IPF|3,000|2014 03 18 | 0,94% | |
Deposito|BANKINTER|3,000|2014 03 26 | 0,94% | |
Deposito|BANCO SANTANDER IPF|3,100|2014 02 13 | 0,94% | |
Deposito|BANCO SABADELL DEPOSITOS|3,500|2014 01 | 0,94% | |
Deposito|BANCO SANTANDER IPF|0,000|2014 10 16 | 0,94% | |
BONOS|COMUNIDAD FORAL NAVARRA|4,000|2021-11-23 | ES0001353228 | 0,93% |
BONOS|RZD CAPITAL PLC|3,374|2021-05-20 | XS0919581982 | 0,90% |
BONOS|SANTANDER ISSUANCES|4,750|2019-05-29 | XS0301810262 | 0,89% |
BONOS|FADE,F.DE TIT DEFICIT SIST ELE|2,875|2016 | ES0378641163 | 0,86% |
BONOS|CREDIT SUISSE GROUP AG|3,750|2049-12-11 | XS0989394589 | 0,72% |
BONOS|PETROBRAS INTL FIN CO|1,500|2019-01-15 | US71647NAB55 | 0,70% |
BONOS|REPSOL INTL FINANCE|3,625|2021-10-07 | XS0975256685 | 0,68% |
BONOS|BANCA IMI|4,000|2014-11-18 | XS0389817064 | 0,68% |
BONOS|INSTITUTO DE CREDITO OFICIAL|4,000|2018-0 | XS0900792473 | 0,64% |
BONOS|PETROBRAS INTL FIN CO|2,187|2023-05-20 | US71647NAF69 | 0,61% |
Deposito|BANCO SANTANDER IPF|3,000|2014 04 04 | 0,56% | |
BONOS|PETROBRAS INTL FIN CO|2,812|2043-05-20 | US71647NAA72 | 0,56% |
BONOS|BANCO POPULAR ESPAÑOL|2,875|2049-10-10 | XS0979444402 | 0,51% |
BONOS|INTESA SANPAOLO SPA|5,350|2018-09-18 | XS0972240997 | 0,50% |
BONOS|MADRILEÑA RED DE GAS FIN|3,779|2018-09-11 | XS0969350999 | 0,49% |
BONOS|LA CAIXA (CAIXABANK)|3,250|2016-01-22 | ES0340609140 | 0,48% |
BONOS|ALLIED IRISH BANKS PLC|2,875|2016-11-28 | XS0997144505 | 0,47% |
BONOS|VALE OVERSEAS LIMITED|2,187|2022-01-11 | US91911TAM53 | 0,43% |
BONOS|FOMENTO ECONOMICO MEX-SP ADR|1,437|2023-0 | US344419AA47 | 0,39% |
BONOS|BANCO BPCE SA|2,850|2023-10-22 | US05578UAA25 | 0,35% |
BONOS|SANTANDER ISSUANCES|4,500|2019-09-30 | XS0201169439 | 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