FONDCOYUNTURA, FI
Cartera
Este fondo se corresponde con los siguientes códigos ISIN: ES0138969037
Patrimonio | 7.820.676€ |
---|---|
Partícipes | 99 |
Patrimonio por partícipe | 78.996,73€ |
Cartera del fondo a 2017-12-31
El fondo invierte en 73 activos diferentes:
Activo | ISIN | Porcentaje |
---|---|---|
TELEFONICA | ES0178430E18 | 6,08% |
AUTOP.DEL ATLANTICO CESA 4.75 01/04/2020 | ES0211839206 | 5,00% |
REPSOL | ES0173516115 | 4,31% |
DAXEX | DE0005933931 | 3,07% |
LABORATORIOS ALMIRALL | ES0157097017 | 2,59% |
DIA | ES0126775032 | 2,53% |
BOEING | US0970231058 | 2,24% |
SIEMENS AG | DE0007236101 | 2,12% |
ARCELORMITTAL | LU1598757687 | 1,98% |
BANCO SANTANDER | ES0113900J37 | 1,95% |
ARCELORMITTAL 3% VTO.25/03/2019 | XS1048518358 | 1,89% |
INDRA SISTEMAS | ES0118594417 | 1,88% |
BBVA | ES0113211835 | 1,82% |
BANCO SANTANDER SA 21/11/2024 | XS1717591884 | 1,81% |
ANTENA 3 TELEVISION | ES0109427734 | 1,75% |
ENGIE S.A. | FR0010208488 | 1,70% |
NORDEX SE | DE000A0D6554 | 1,54% |
AIRBUS GROUP (PARIS) | NL0000235190 | 1,52% |
ERICSSON | SE0000108656 | 1,45% |
FERROVIAL, S.A. | ES0118900010 | 1,45% |
KONINKLIJE PHILIPS NV | NL0000009538 | 1,44% |
MEDIASET ESPA�A | ES0152503035 | 1,37% |
KFW 7.875% VTO.15/012020 | XS1075906252 | 1,24% |
NOVO NORDISK B ORD | DK0060534915 | 1,23% |
ARYZTA AG | CH0043238366 | 1,21% |
REPSOL INTL FINANCE 5,375% 27/01/31 | XS1352121724 | 1,20% |
SHIRE PLC -- LONDRES | JE00B2QKY057 | 1,20% |
ENAGAS | ES0130960018 | 1,20% |
BUNDESREPUB. DEUTSCHLAND 2.5 vto. 04/07/2044 | DE0001135481 | 1,19% |
BME | ES0115056139 | 1,19% |
GLAXOSMITHKLINE | GB0009252882 | 1,13% |
IBERDROLA | ES0144580Y14 | 1,12% |
ELDORADO GOLD CORP | CA2849021035 | 1,09% |
MOTA ENIL SGPS SA 4.375 06/18/18 | PTMENPOE0006 | 1,07% |
GENERAL ELECTRIC CO. | US3696041033 | 1,06% |
AIR LIQUIDE | FR0000120073 | 1,06% |
ELECT.DE FRANCE PERP 5.375% CALL 29/1/25 | FR0011401751 | 1,03% |
BASF AG | DE000BASF111 | 1,01% |
AIR FRANCE-KLM 6,25 29/12/49 | FR0012650281 | 1,01% |
AHOLD DELHAIZE NV | NL0011794037 | 1,00% |
TECNICAS REUNIDAS SA | ES0178165017 | 0,99% |
KPN 6.125 VTO. 29/03/2049 | XS0903872355 | 0,99% |
SANOFI | FR0000120578 | 0,98% |
DAIMLER AG | DE0007100000 | 0,97% |
NOVARTIS AG REG.SHS. | CH0012005267 | 0,96% |
IBERCAJA CAZAR 5% VTO 28-07-2020 CALL | ES0244251007 | 0,95% |
BHP BILLITON PLC | GB0000566504 | 0,94% |
GRIFOLS SA 3.2 05/01/25 | XS1598757760 | 0,93% |
ACCIONA S.A. 1.55% vto. 11/10/2019 | XS1592885013 | 0,92% |
AUDAX ENERG�A 4.2% vto. 02/06/2022 | ES0305039010 | 0,91% |
ECP OHL 0.82% VTO. 24/01/2018 | XS1706991657 | 0,91% |
RENTA 4 | ES0173358039 | 0,91% |
PAGARE MASMOVIL 1.6% VTO.22/03/2018 | ES0584696043 | 0,90% |
COCA-COLA EUROPEAN PARTNERS | GB00BDCPN049 | 0,90% |
PAGARES MOTA ENGIL 13/12/2018 | PTME1BJM0034 | 0,88% |
OBRASCON HUARTE LAIN SA.VTO.15/03/22(CALL03/15/18) | XS1043961439 | 0,87% |
ACERINOX | ES0132105018 | 0,87% |
LAR ESPA�A REAL ESTATE | ES0105015012 | 0,81% |
KORIAN S.A. | FR0010386334 | 0,75% |
NOS SPGS | PTZON0AM0006 | 0,70% |
ENI | IT0003132476 | 0,63% |
LIBERBANK | ES0168675090 | 0,63% |
SIEMENS GAMESA RENEWABLE ENE | ES0143416115 | 0,63% |
RWE AG | DE0007037129 | 0,62% |
GOB.RUSSIA 7,85% VTO.10/3/2018 | XS0564087541 | 0,62% |
IBERDROLA FIN IRELAND 5% 11/09/19 | USG4721SAQ42 | 0,59% |
CREDIT AGRICOLE | FR0000045072 | 0,53% |
STEINHOFF EUROPE AG 01/24/2025 | XS1650590349 | 0,44% |
K+S AG | DE000KSAG888 | 0,36% |
STEINHOFF INTERNATIONAL H NV | NL0011375019 | 0,25% |
CARBURES EUROPE SA | ES0116162068 | 0,17% |
ABENGOA - B | ES0105200002 | 0,15% |
MATTEL INC 05/06/19 | US577081AZ57 | 0,15% |
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
FONDCOYUNTURA, FI
Fondo de inversión armonizado gestionado por RENTA 4 GESTORA, S.G.I.I.C., S.A.
7,8M
patrimonio
99
partícipes
5, en una escala de 1 al 7
perfil de riesgo