EDM-AHORRO, FI
Cartera
Este fondo se corresponde con los siguientes códigos ISIN: ES0168673038
Patrimonio | 10.139€ |
---|---|
Partícipes | 1 |
Patrimonio por partícipe | 10.139,00€ |
Cartera del fondo a 2010-09-30
El fondo invierte en 99 activos diferentes:
Activo | ISIN | Porcentaje |
---|---|---|
Bonos|IBERDROLA|6,375|2011-11-25 | XS0400002670 | 2,41% |
Deposito|CAIXA CATALUNYA|3,000|2011 04 15 | ES0000000781 | 1,88% |
Letras|ESTADO ESPAÑOL|0,650|2010-10-01 | ES00000121A5 | 1,72% |
Bonos|BRITISH TELECOM|5,250|2013-01-22 | XS0332154524 | 1,66% |
Bonos|CIE FINANCEMENT FONCIER|4,000|2012-10-25 | FR0010422600 | 1,66% |
Bonos|UNION FENOSA (EXTRANJERO)|5,000|2010-12-0 | XS0181571364 | 1,61% |
Bonos|MADRID-AYUNTAMIENTO|5,100|2011-12-21 | ES0201001114 | 1,61% |
Deposito|BANKINTER|4,000|2011 09 09 | ES0000001437 | 1,56% |
Bonos|REPSOL (EXTRANJERO)|0,293|2012-02-16 | XS0287416423 | 1,54% |
Bonos|B SANTANDER|0,327|2013-01-18 | XS0477243843 | 1,52% |
Letras|ESTADO ESPAÑOL|0,000|2011-12-16 | ES0L01112165 | 1,51% |
Bonos|BANKINTER|0,494|2013-01-15 | ES0313679484 | 1,51% |
Bonos|TITULARIZACION ACTIVOS|0,234|2012-12-14 | ES0312298005 | 1,47% |
Bonos|CENTRICA PCL|7,125|2013-12-09 | XS0402535131 | 1,46% |
Bonos|REDES ENERGETICAS|6,375|2013-12-10 | PTRELAOM0000 | 1,38% |
Bonos|THAMES WATER UTIL CAYMAN|6,125|2013-02-04 | XS0411560153 | 1,37% |
Bonos|BAYER AG|4,625|2014-09-26 | XS0420117383 | 1,37% |
Bonos|SUEZ LYONNAISE DES EAUX|4,875|2014-04-08 | FR0010745984 | 1,36% |
Bonos|TELECOM ITALIA|7,250|2012-04-24 | XS0146643191 | 1,36% |
Bonos|BBVA (BONOS)|3,625|2012-05-14 | XS0427109896 | 1,35% |
Bonos|B EDP FINANCE 5% VT.0308|4,250|2012-06-12 | XS0256996538 | 1,29% |
Obligaciones|GAS NATURAL|3,125|2012-11-02 | XS0458747028 | 1,27% |
Bonos|DIAGEO CAPITAL BV|0,252|2012-05-22 | XS0301967757 | 1,25% |
Deposito|CAIXA D'ESTALVIS DE GIRONA|3,300|2011 | ES0000001534 | 1,25% |
Obligaciones|SCHNEIDER ELECTRIC S.A.|0,264|2011 | XS0260903348 | 1,24% |
Obligaciones|TELENOR|0,321|2011-09-28 | XS0269251855 | 1,09% |
Bonos|SODEXHO|6,250|2015-01-30 | XS0408827409 | 1,08% |
Obligaciones|BASF AG|5,125|2015-06-09 | XS0412154378 | 1,05% |
Bonos|ELSEVIER FINANCE|6,500|2013-04-02 | XS0420657065 | 1,04% |
Bonos|NOKIA|5,500|2014-02-04 | XS0411735300 | 1,04% |
Obligaciones|E.ON|5,125|2013-05-07 | XS0361244402 | 1,02% |
Bonos|TELEFONICA,S.A.|5,431|2014-02-03 | XS0410258833 | 1,02% |
Bonos|AMERICAN HONDA FINANCE|5,125|2012-10-03 | XS0323882133 | 1,00% |
Bonos|REPSOL (EXTRANJERO)|5,000|2013-07-22 | XS0172751355 | 1,00% |
Obligaciones|GAS NATURAL|5,250|2014-07-09 | XS0436905821 | 0,99% |
Bonos|GAZPROM ADR|4,560|2012-12-09 | XS0237713226 | 0,97% |
Bonos|TELEFONICA,S.A.|3,750|2011-02-02 | XS0241945236 | 0,95% |
Bonos|PEUGEOT|3,875|2013-01-18 | XS0478488066 | 0,95% |
Bonos|MICHELIN|8,625|2014-04-24 | XS0424686573 | 0,95% |
Bonos|IRISH TREASURE|5,000|2013-04-18 | IE0031256328 | 0,94% |
Bonos|LA CAIXA|4,125|2014-11-20 | ES0340609009 | 0,94% |
Deposito|BANCO PASTOR|3,000|2011 05 04 | ES0000001440 | 0,94% |
Bonos|IRISH TREASURE|3,900|2012-03-05 | IE00B5S94L21 | 0,94% |
Bonos|GENERALITAT CATALUÑA|4,125|2013-04-23 | ES0000095903 | 0,93% |
Bonos|ENEL|0,272|2014-06-20 | XS0306644930 | 0,92% |
Bonos|BERTELSMANN FINANCE|7,875|2014-01-16 | XS0408678133 | 0,91% |
Bonos|BACARDI|7,750|2014-04-09 | XS0423639953 | 0,91% |
Bonos|BANCO BPI|0,365|2012-01-25 | PTBB5VOM0004 | 0,91% |
Bonos|KRAFT FOODS INC|6,250|2015-03-20 | XS0353181190 | 0,90% |
Bonos|B BANESTO|0,331|2013-01-11 | XS0478822496 | 0,90% |
Bonos|EDP RENOVAVEIS S.A.|3,250|2015-03-16 | XS0495010133 | 0,90% |
Bonos|ANHEUSER BUSCH|6,570|2014-02-27 | BE6000006716 | 0,89% |
Bonos|ACCOR|7,500|2014-02-04 | FR0010720045 | 0,89% |
Bonos|KPN|6,250|2013-09-16 | XS0387992661 | 0,88% |
Bonos|DEUTSCHE TELECOM|8,125|2012-05-29 | XS0148956559 | 0,87% |
Bonos|BMW|6,375|2012-07-23 | XS0408730157 | 0,86% |
Bonos|MERCK & CO|4,875|2013-09-27 | XS0419828024 | 0,84% |
Bonos|PORTUGAL TELECOM|6,000|2013-04-30 | XS0426126180 | 0,84% |
Bonos|KPN|5,000|2012-11-13 | XS0330631051 | 0,84% |
Obligaciones|ADIDAS|4,750|2014-07-14 | XS0439260398 | 0,83% |
Bonos|HUTCHISON WHAMPOA LIMITED|4,750|2016-11-1 | XS0466303194 | 0,83% |
Bonos|VOLKSWAGEN FIN SERV AG|5,625|2012-02-09 | XS0412447632 | 0,83% |
Bonos|FRANCE TELECOM|4,375|2012-02-21 | XS0286704787 | 0,82% |
Bonos|BELGACOM S.A.|4,125|2011-11-23 | BE0932179097 | 0,81% |
Bonos|ALLIANDER|4,000|2012-04-20 | XS0423530434 | 0,81% |
Bonos|INSTITUT.CREDIT.OFICIAL|3,750|2013-07-15 | XS0525700778 | 0,80% |
Bonos|PORTUGAL TELECOM|3,750|2012-03-26 | XS0215828830 | 0,79% |
Bonos|DEUTSCHE TELECOM|0,340|2012-05-23 | XS0276898417 | 0,78% |
Bonos|ATLANTIA SPA|0,281|2011-06-09 | XS0193944765 | 0,78% |
Bonos|SOUTHERN GAS|0,283|2010-10-21 | XS0232333129 | 0,78% |
Obligaciones|TELIA AB|0,299|2013-03-07 | XS0289507484 | 0,78% |
Bonos|ENDESA|0,279|2012-07-05 | ES0330991003 | 0,77% |
Bonos|VODAFONE|0,311|2014-06-06 | XS0304458564 | 0,76% |
Bonos|GENERALITAT CATALUÑA|3,875|2015-09-15 | ES0000095861 | 0,75% |
Bonos|TELEFONICA,S.A.|5,125|2013-02-14 | XS0162867880 | 0,67% |
Bonos|ROCHE|4,625|2013-03-04 | XS0415624393 | 0,67% |
Bonos|ERICSSON|5,000|2013-06-24 | XS0435008726 | 0,67% |
Bonos|TOYOTA|4,625|2013-09-18 | XS0388495490 | 0,67% |
Bonos|VIVENDI|3,875|2012-02-15 | FR0010160929 | 0,65% |
Bonos|ENERGIAS DE PORTUGAL|5,875|2011-03-28 | XS0126990778 | 0,64% |
Bonos|VW CREDIT INC|3,375|2012-10-26 | XS0459999982 | 0,64% |
Bonos|OTE PLC|5,375|2011-02-14 | XS0346402547 | 0,64% |
Letras|ESTADO ESPAÑOL|0,480|2010-10-01 | ES00000122T3 | 0,63% |
Bonos|VIVENDI|0,351|2011-10-03 | FR0010369637 | 0,62% |
Bonos|ERICSSON|0,304|2014-06-27 | XS0307504034 | 0,61% |
Bonos|TELECOM ITALIA|0,357|2012-12-06 | XS0237303598 | 0,61% |
Bonos|TELSTRA CORPORATION SLD.|6,376|2011-06-29 | XS0131858838 | 0,57% |
Bonos|B CAJA MADRID|3,125|2012-02-20 | ES0314950454 | 0,55% |
Bonos|VOLVO TREASURY AB|7,875|2012-10-01 | XS0428962848 | 0,53% |
Obligaciones|METRO AG|5,750|2014-07-14 | DE000A0Z2CS9 | 0,52% |
Bonos|PFIZER|3,625|2013-06-03 | XS0432069747 | 0,49% |
Bonos|BMW|6,125|2012-04-02 | XS0415007789 | 0,48% |
Obligaciones|NGG FINANCE PLC|4,125|2013-03-21 | XS0247626962 | 0,48% |
Bonos|VIVENDI|7,750|2014-01-23 | FR0010714196 | 0,45% |
Bonos|METRO AG|4,750|2012-05-29 | DE000A0NV975 | 0,33% |
Bonos|ELISA OYJ|4,375|2011-09-22 | XS0201780516 | 0,32% |
Bonos|ENDESA|0,252|2011-11-22 | XS0275436185 | 0,31% |
Bonos|HELENIC REPUBLIC GGB|3,800|2011-03-20 | GR0110019214 | 0,31% |
Bonos|PACCAR FIN EUROPE BV|5,125|2011-05-19 | XS0363742338 | 0,28% |
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
EDM-AHORRO, FI
Fondo de inversión armonizado gestionado por EDM GESTION, S.A., S.G.I.I.C.
10,1k
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