CX PATRIMONI PLUS, FI
Cartera

Este fondo se corresponde con los siguientes códigos ISIN: ES0117091035

Patrimonio 264.830.000€
Partícipes 164
Patrimonio por partícipe 1.614.817,07€

Cartera del fondo a 2017-12-31

El fondo invierte en 146 activos diferentes:

Activos en cartera
Activo ISIN Porcentaje
BONO|CREDIT SUISSE/LONDO|01,375|2019-11-29 XS1074053130 2,76%
BONO|SES GLOBAL AMERICAS|01,875|2018-10-24 XS0984751254 2,63%
BONO|BANQUE FÉDÉRATIVE D|00,250|2019-06-14 XS1379128215 2,40%
BONO|UNICREDIT, SOCIETÀ|01,500|2019-06-19 XS1078760813 2,11%
BONO|DNB ASA|04,375|2021-02-24 XS0595092098 2,03%
BONO|BANK OF AMERICA COR|01,875|2019-01-10 XS1002977103 1,92%
BONO|LVMH MOET HENNESSY|00,000|2020-05-26 FR0013257607 1,87%
BONO|ING BANK N.V.|00,700|2020-04-16 XS1169586606 1,87%
BONO|CREDIT SUISSE/LONDO|00,375|2019-04-11 XS1392459209 1,81%
BONO|COöPERATIEVE CENTRA|04,125|2020-01-14 XS0478074924 1,62%
BONO|INTESA SANPAOLO SPA|01,125|2020-01-14 XS1168003900 1,58%
BONO|VOLKSWAGEN INTL FIN|03,250|2019-01-21 XS0731681556 1,31%
BONO|GAS NATURAL CAPITAL|04,500|2020-01-27 XS0479542580 1,30%
BONO|THE ROYAL BANK OF S|05,500|2020-03-23 XS0496481200 1,30%
BONO|MEDIOBANCA SPA|02,500|2018-09-30 IT0004955685 1,23%
BONO|TELEFONICA EMISIONE|04,693|2019-11-11 XS0462999573 1,22%
BONO|LANDESBANK BADEN-WÜ|00,375|2019-01-29 XS1353555003 1,22%
BONO|ANHEUSER BUSCH INBE|01,950|2021-09-30 BE6265141083 1,22%
BONO|ABBVIE INC|00,375|2019-11-18 XS1520897163 1,18%
BONO|BRITISH TELECOM PLC|00,625|2021-03-10 XS1377680381 1,11%
BONO|BANK OF AMERICA COR|02,500|2020-07-27 XS0954946926 1,10%
BONO|SOCIÉTÉ GÉNÉRALE|02,250|2020-01-23 XS0876828541 1,08%
BONO|DAIMLER AG|00,500|2019-09-09 DE000A2AAL23 1,08%
BONO SUBORDI|ING BANK N.V.|03,500|2023-11-21 XS0995102695 1,06%
BONO|SANTANDER INTL DEBT|04,000|2020-01-24 XS0877984459 1,05%
BONO|NATIONWIDE BUILDING|00,500|2019-10-29 XS1402175811 1,04%
BONO|CIE DE ST-GOBAIN|00,000|2020-03-27 XS1493428426 1,02%
BONO|MORGAN STANLEY|05,000|2019-05-02 XS0298899534 1,00%
BONO SUBORDI|DANSKE BANK A/S|03,875|2023-10-04 XS0974372467 0,98%
BONO|BAT INTL FINANCE PL|04,000|2020-07-07 XS0522407351 0,98%
BONO|BHP BILLITON FINANC|02,125|2018-11-29 XS0787785715 0,95%
BONO|STANDARD CHARTERED|04,125|2019-01-18 XS0732522965 0,93%
BONO|DAIMLER AG|02,000|2020-04-07 DE000A1TNK86 0,93%
BONO|BMW FINANCE NV|02,000|2020-09-04 XS0968316256 0,92%
BONO|COöPERATIEVE CENTRA|01,750|2019-01-22 XS1020295348 0,90%
BONO|SANTANDER CONSUMER|00,900|2020-02-18 XS1188117391 0,89%
BONO|EDF SA|06,250|2021-01-25 XS0409749206 0,89%
BONO|IBERDROLA INTL BV|02,875|2020-11-11 XS0940711947 0,88%
BONO|JPMORGAN CHASE & CO|01,875|2019-11-21 XS0856977144 0,84%
BONO|INNOGY FINANCE BV|06,500|2021-08-10 XS0412842857 0,83%
BONO|BRITISH TELECOM PLC|01,125|2019-06-10 XS1075430741 0,82%
BONO|RCI BANQUE|00,625|2020-03-04 FR0012596179 0,82%
BONO|VOLKSWAGEN LEASING|00,750|2020-08-11 XS1273507100 0,78%
BONO|MERCK FIN SERVICES|04,500|2020-03-24 XS0497186758 0,78%
BONO|BP CAPITAL MARKETS|02,994|2019-02-18 XS0747744232 0,77%
BONO|E.ON INTERNATIONAL|05,750|2020-05-07 XS0361244667 0,73%
BONO|DEUTSCHE BANK AKTIE|01,250|2021-09-08 DE000DB7XJB9 0,72%
BONO|INNOGY FINANCE BV|06,625|2019-01-31 XS0399647675 0,70%
BONO|ENBW INTL FINANCE B|06,875|2018-11-20 XS0399861086 0,68%
BONO|UNICREDIT, SOCIETÀ|01,070|2020-02-19 XS1169707087 0,67%
BONO|INNOGY FINANCE BV|05,125|2018-07-23 XS0172851650 0,67%
BONO|BARCLAYS BANK PLC|02,125|2021-02-24 XS1035751764 0,67%
BONO SUBORDI|ENGIE|03,000|2049-06-02 FR0011942226 0,64%
BONO SUBORDI|LLOYDS TSB BANK PLC|06,500|2020-03-24 XS0497187640 0,60%
BONO|HEINEKEN|02,125|2020-08-04 XS0811554962 0,58%
BONO|BANQUE FÉDÉRATIVE D|02,000|2019-09-19 XS0906403059 0,57%
BONO|TELEFONICA EMISIONE|04,710|2020-01-20 XS0842214818 0,57%
BONO SUBORDI|KBC GROEP NV|02,375|2024-11-25 BE0002479542 0,57%
BONO SUBORDI|HSBC HOLDINGS PLC|03,375|2024-01-10 XS0969636371 0,57%
BONO|COCA-COLA HBC FINAN|02,375|2020-06-18 XS0944362812 0,54%
BONO|BANKIA, S.A.|03,500|2019-01-17 ES0313307003 0,54%
BONO|ATLANTIA SPA|03,625|2018-11-30 IT0004869985 0,54%
BONO|UNIONE DI BANCHE IT|02,875|2019-02-18 XS1033018158 0,54%
BONO|ABERTIS INFRAESTRUC|04,375|2020-03-30 ES0211845203 0,53%
BONO|GLENCORE FIN DUBAI|02,625|2018-11-19 XS0857215346 0,53%
BONO|YORKSHIRE BUILDING|02,125|2019-03-18 XS1046237431 0,53%
BONO|CARREFOUR SA|01,750|2019-05-22 XS0934191114 0,53%
BONO|BANKINTER, S.A.|01,750|2019-06-10 ES03136793B0 0,53%
BONO SUBORDI|COMMONWEALTH BANK O|05,500|2019-08-06 XS0443708242 0,53%
BONO|GOLDMAN SACHS GROUP|00,805|2019-10-29 XS1130101931 0,52%
BONO|CRITERIA CAIXAHOLDI|02,375|2019-05-09 ES0314970239 0,50%
BONO|SIEMENS FINANCIERIN|01,500|2020-03-10 DE000A1G85B4 0,50%
BONO|ENI SPA|02,625|2021-11-22 XS0996354956 0,48%
BONO|GOLDMAN SACHS GROUP|00,750|2019-05-10 XS1362373570 0,48%
BONO|PFIZER|00,046|2020-03-06 XS1574156623 0,48%
BONO|REPSOL INTL FINANCE|02,625|2020-05-28 XS0933604943 0,47%
BONO|INTESA SANPAOLO SPA|01,377|2019-04-17 XS1057822766 0,47%
BONO|GAS NATURAL CAPITAL|06,000|2020-01-27 XS0829360923 0,46%
BONO|MEDIOBANCA SPA|00,750|2020-02-17 XS1551000364 0,45%
BONO SUBORDI|CRÉDIT AGRICOLE S.A|06,250|2019-04-17 FR0010743096 0,44%
BONO|ABB FINANCE BV|02,625|2019-03-26 XS0763122578 0,42%
BONO|LEASEPLAN CORPORATI|01,000|2020-04-08 XS1392460397 0,41%
BONO|VODAFONE GROUP PLC|00,751|2019-02-25 XS1372838083 0,41%
BONO|VOLKSWAGEN INTL FIN|02,000|2020-01-14 XS0873793375 0,40%
BONO|GE CAP EURO FUNDING|06,000|2019-01-15 XS0385688097 0,40%
BONO|CREDIT AGRICOLE SA|02,375|2020-11-27 XS0997520258 0,40%
BONO|TELECOM ITALIA S.P.|04,875|2020-09-25 XS0974375130 0,39%
BONO|VONOVIA FINANCE BV|03,125|2019-07-25 DE000A1HNW52 0,39%
BONO|INTESA SANPAOLO SPA|03,000|2019-01-28 XS0997333223 0,38%
BONO|CREDIT SUISSE/LONDO|01,125|2020-09-15 XS1291175161 0,38%
BONO SUBORDI|SWEDBANK AB (PUBL)|02,375|2024-02-26 XS1036494638 0,38%
BONO|MCDONNALS CORPORATI|04,000|2021-02-17 XS0592505316 0,37%
BONO|NORDEA BANK AB (PUB|04,000|2020-06-29 XS0520755488 0,37%
BONO|TOTAL CAPITAL SA|04,875|2019-01-28 XS0410303647 0,36%
BONO|BHARTI AIRTEL INTER|04,000|2018-12-10 XS0997979249 0,35%
BONO SUBORDI|SUEZ ENVIRONMENT|03,000|2049-06-23 FR0011993500 0,35%
BONO SUBORDI|BBVA SUB CAPITAL UN|03,500|2024-04-11 XS1055241373 0,34%
BONO SUBORDI|NGG FINANCE PLC|04,250|2076-06-18 XS0903531795 0,32%
BONO|AT&T INC|01,875|2020-12-04 XS0861594652 0,31%
BONO SUBORDI|EDF SA|04,250|2049-01-29 FR0011401736 0,31%
BONO|HSBC HOLDINGS PLC|01,500|2022-03-15 XS1379182006 0,31%
BONO SUBORDI|POSTE VITA SPA|02,875|2019-05-30 XS1072613380 0,31%
BONO|EDP FINANCE BV|02,625|2019-04-15 XS1057345651 0,31%
BONO|BANK OF AMERICA COR|00,203|2019-07-26 XS1458405112 0,30%
BONO SUBORDI|NORDEA BANK AB (PUB|04,500|2020-03-26 XS0497179035 0,29%
BONO SUBORDI|NATIONAL AUSTRALIA|04,625|2020-02-10 XS0485326085 0,29%
BONO|SUEZ ENVIRONMENT|06,250|2019-04-08 FR0010745976 0,28%
BONO|ADP -AEROPORTS DE P|03,886|2020-05-10 FR0010895987 0,28%
BONO|GE CAP EURO FUNDING|02,250|2020-07-20 XS0954025267 0,27%
BONO SUBORDI|VONOVIA FINANCE BV|04,625|2074-04-08 XS1028959671 0,27%
BONO SUBORDI|SVENSKA HANDELSBANK|02,656|2024-01-15 XS1014674227 0,26%
BONO|GAS NATURAL CAPITAL|05,375|2019-05-24 XS0627188468 0,26%
BONO|REPSOL INTL FINANCE|04,875|2019-02-19 XS0733696495 0,26%
BONO|AUTOROUTES DU SUD D|07,375|2019-03-20 FR0010737882 0,25%
BONO SUBORDI|AXA SA|05,250|2040-04-16 XS0503665290 0,24%
BONO|ENI SPA|04,125|2019-09-16 XS0451457435 0,24%
BONO SUBORDI|VOLKSWAGEN INTL FIN|03,875|2049-01-01 XS0968913268 0,22%
BONO|DEUTSCHE TELEKOM IN|00,375|2021-10-30 XS1557095459 0,22%
BONO SUBORDI|DEUTSCHE BANK AKTIE|05,000|2020-06-24 DE000DB5DCW6 0,20%
BONO|BMW US CAPITAL LLC|00,116|2019-03-18 DE000A1Z6M04 0,20%
BONO SUBORDI|ORANGE|04,250|2049-12-29 XS1028600473 0,20%
BONO|COCA COLA EUROPEAN|00,750|2022-02-24 XS1415535183 0,19%
BONO|BANQUE FÉDÉRATIVE D|00,209|2020-06-03 XS1426782170 0,19%
BONO|TELEFONICA EMISIONE|00,750|2022-04-13 XS1394777665 0,19%
BONO|COCA-COLA CO/THE|00,000|2019-09-09 XS1197832832 0,18%
BONO|DAIMLER AG|00,250|2020-05-11 DE000A169NA6 0,18%
BONO|DEUTSCHE TELEKOM IN|00,250|2021-04-19 XS1396830058 0,18%
BONO|HEIDELBERGERGCEMENT|07,500|2020-04-03 XS0478803355 0,18%
BONO|THE ROYAL BANK OF S|05,375|2019-09-30 XS0454984765 0,17%
BONO|COMMERZBANK AKTIENG|00,625|2019-03-14 DE000CZ40K31 0,17%
BONO|ITALCEMENTI FINANCE|05,375|2020-03-19 XS0496716282 0,17%
BONO|TELIA CO AB|04,250|2020-02-18 XS0592627003 0,16%
BONO|TELEFONICA EMISIONE|04,797|2018-02-21 XS0746276335 0,16%
BONO|REPSOL INTL FINANCE|02,125|2020-12-16 XS1334225361 0,16%
BONO|RENAULT|03,625|2018-09-19 FR0011568963 0,15%
BONO|UBS AG|01,125|2020-06-30 XS1254428540 0,15%
BONO|CITIGROUP INC|00,572|2021-05-24 XS1417876759 0,15%
BONO|MCDONNALS CORPORATI|00,500|2021-01-15 XS1403263723 0,15%
BONO SUBORDI|GROUPAMA S.A|07,875|2039-10-27 FR0010815464 0,12%
BONO SUBORDI|STANDARD CHARTERED|04,000|2025-10-21 XS0983704718 0,12%
BONO SUBORDI|ABN AMRO BANK N.V.|02,875|2025-06-30 XS1253955469 0,12%
BONO|ANZ NEW ZEALAND INT|00,625|2021-06-01 XS1422919594 0,11%
BONO|CITIGROUP INC|00,601|2019-11-11 XS1135549167 0,09%
BONO|ENEL SPA|04,875|2018-02-20 IT0004794142 0,08%
BONO|CARREFOUR BANQUE|00,430|2021-04-20 FR0013155868 0,07%
BONO|SANTANDER CONSUMER|00,750|2019-04-03 XS1385935769 0,04%

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

CX PATRIMONI PLUS, FI

Fondo de inversión armonizado gestionado por BBVA ASSET MANAGEMENT, S.A., SGIIC

264,8M

patrimonio

164

partícipes

2, en una escala de 1 al 7

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