FONDMAPFRE RENTA MEDIO, FI
Cartera
Este fondo se corresponde con los siguientes códigos ISIN: ES0138903036
Patrimonio | 58.263.000€ |
---|---|
Partícipes | 2.485 |
Patrimonio por partícipe | 23.445,88€ |
Cartera del fondo a 2018-09-30
El fondo invierte en 81 activos diferentes:
Activo | ISIN | Porcentaje |
---|---|---|
BONOS|TESORO|1,800000000|2024-11-30| | ES00000126A4 | 8,27% |
EU|BANKINTER|100,000000000|2019-03-01| | 7,71% | |
DEUD|FRANCIA|0,250000000|2026-11-25| | FR0013200813 | 4,80% |
DEUDA|ITALIA|0,432000000|2022-12-15| | IT0005137614 | 4,61% |
CUPON|TESORO|100,000000000|2021-07-30| | ES0000012668 | 4,04% |
BONOS|TESORO|5,850000000|2022-01-31| | ES00000123K0 | 3,77% |
PARTICIPACIONES|AEGONEUROABS| | IE00BZ005D22 | 3,19% |
BONOS|TESORO|4,850000000|2020-10-31| | ES00000122T3 | 2,73% |
DEUDA|ITALIA|0,282000000|2022-06-15| | IT0005104473 | 2,73% |
EU|REPINTFIN|4,875000000|2019-02-19| | XS0733696495 | 2,35% |
DEUDA|ITALIA|100,000000000|2019-09-13| | IT0005344855 | 2,29% |
BANKNOVASCOT|0,282000000|2022-10-05| | XS1694774420 | 1,95% |
DEUDA|ITALIA|4,500000000|2024-03-01| | IT0004953417 | 1,93% |
BONOS Y|BBVA|2,000000000|2027-03-16| | XS1579039006 | 1,74% |
PARTICIPACIONES|AMUNDI6MI| | FR0007032990 | 1,63% |
DEU|PORTUGAL|4,125000000|2027-04-14| | PTOTEUOE0019 | 1,57% |
BONOS|TESORO|0,050000000|2021-01-31| | ES00000128X2 | 1,57% |
EURO|MORSTAN|0,181000000|2019-12-03| | XS1529837947 | 1,54% |
DEUDA|ITALIA|0,532000000|2020-12-15| | IT0005056541 | 1,52% |
BONOS|TESORO|0,750000000|2021-07-30| | ES00000128B8 | 1,39% |
EUR|VODAFONE|0,375000000|2021-11-22| | XS1574681620 | 1,39% |
DEU|PORTUGAL|5,650000000|2024-02-15| | PTOTEQOE0015 | 1,29% |
EUROBON|BOAM|0,481000000|2022-02-07| | XS1560862580 | 1,24% |
EUROBON|BBVA|0,279000000|2022-04-12| | XS1594368539 | 1,24% |
E|KBCGROEPNV|0,231000000|2022-11-24| | BE0002281500 | 1,23% |
EUROBON|BOAM|0,052000000|2021-09-21| | XS1687279841 | 1,23% |
BONOS|TESORO|0,650000000|2027-11-30| | ES00000128S2 | 1,18% |
DTELECINTFIN|0,375000000|2021-10-30| | XS1557095459 | 1,16% |
WELLS FARGO|0,299000000|2021-04-26| | XS1400169428 | 1,09% |
TEFEMISIONES|0,318000000|2020-10-17| | XS1505554698 | 1,08% |
EUROBONO|ICO|6,000000000|2021-03-08| | XS0599993622 | 1,05% |
EURO|GOLDMAN|0,679000000|2021-07-27| | XS1458408306 | 1,03% |
EUROBON|BOAM|1,141000000|2019-05-06| | XS0191752434 | 0,94% |
BONOS Y|FADE|0,625000000|2022-03-17| | ES0378641288 | 0,93% |
WELLS FARGO|0,101000000|2020-06-02| | XS1240966348 | 0,93% |
EUROBONO|ICO|0,050000000|2020-07-30| | XS1590041478 | 0,92% |
BONOS|TESORO|1,000000000|2030-11-30| | ES00000127C8 | 0,87% |
EURO|CITIINC|0,511000000|2021-05-24| | XS1417876759 | 0,79% |
WELLS FARGO|0,180000000|2022-01-31| | XS1558022866 | 0,77% |
EUROBON|SUMI|0,131000000|2022-06-14| | XS1621087359 | 0,77% |
EURO|MORSTAN|0,081000000|2021-05-21| | XS1824289901 | 0,77% |
MITSUBISHIFG|0,231000000|2023-05-30| | XS1828132735 | 0,77% |
BANQUEFEDERA|0,500000000|2022-11-16| | XS1856833543 | 0,77% |
BONOS|TESORO|4,800000000|2024-01-31| | ES00000121G2 | 0,63% |
EU|BMONTREAL|0,181000000|2021-09-28| | XS1691466756 | 0,62% |
EUROB|GOBAIN|1E-9|2020-03-27| | XS1493428426 | 0,62% |
AMADEUSCAPMK|0,125000000|2020-10-06| | XS1501162876 | 0,62% |
UBSAGLONDON|0,125000000|2021-11-05| | XS1673620016 | 0,61% |
RABOBANUTREC|3,875000000|2023-07-25| | XS0954910146 | 0,53% |
EUROB|INTESA|4,375000000|2019-10-15| | XS0842828120 | 0,51% |
EURO|GOLDMAN|0,131000000|2020-12-16| | XS1791719534 | 0,49% |
SANTANCONFIN|0,900000000|2020-02-18| | XS1188117391 | 0,47% |
SANT INT DEB|0,281000000|2020-03-04| | XS1195284705 | 0,47% |
SCHISSUANCES|2,500000000|2025-03-18| | XS1201001572 | 0,47% |
EURO|AMADEUS|0,131000000|2022-03-18| | XS1878190757 | 0,46% |
E|INGGROEPNV|0,531000000|2023-09-20| | XS1882544205 | 0,46% |
EUROB|NORDEA|0,875000000|2023-06-26| | XS1842961440 | 0,46% |
EUROBONO|ALD|0,021000000|2021-02-26| | XS1782508508 | 0,46% |
BONOS|TESORO|4,000000000|2020-04-30| | ES00000122D7 | 0,46% |
EURO|ABNAMST|7,125000000|2022-07-06| | XS0802995166 | 0,39% |
EURO|SOCIETE|2,625000000|2025-02-27| | XS1195574881 | 0,32% |
EUROB|CAINDO|2,625000000|2027-03-17| | XS1204154410 | 0,32% |
BONOS Y|FADE|3,375000000|2019-03-17| | ES0378641171 | 0,31% |
EUR|BNPPARIS|2,250000000|2027-01-11| | XS1470601656 | 0,31% |
UBSAGLONDON|0,179000000|2021-04-23| | XS1810806049 | 0,31% |
BONOS|TESORO|0,400000000|2022-04-30| | ES00000128O1 | 0,31% |
SANTANDERBKP|0,750000000|2021-09-20| | XS1849525057 | 0,31% |
EU|BMONTREAL|0,250000000|2021-11-17| | XS1857073180 | 0,31% |
EU|ABBIREFIN|0E-9|2020-09-27| | XS1883354547 | 0,31% |
SANTCONSBANK|0,750000000|2023-03-01| | XS1781346801 | 0,31% |
BONOS|TESORO|1,400000000|2028-07-30| | ES0000012B88 | 0,31% |
SUMITOMOTRUS|0,181000000|2020-09-25| | XS1882030510 | 0,23% |
TEFEMISIONES|4,693000000|2019-11-11| | XS0462999573 | 0,17% |
EURO|GOLDMAN|0,381000000|2020-05-29| | XS1240146891 | 0,16% |
UBSGROFUNSWI|0,377000000|2022-09-20| | CH0359915425 | 0,15% |
ASTRAZENECA|0,250000000|2021-05-12| | XS1411403709 | 0,15% |
SNAMRETEGAS|0,281000000|2022-02-21| | XS1568906421 | 0,15% |
SANTCONSBANK|0,250000000|2019-09-30| | XS1496344794 | 0,15% |
EUROB|BPCESA|0,875000000|2024-01-31| | FR0013312493 | 0,15% |
DEU|PORTUGAL|1,900000000|2022-04-12| | PTOTVJOE0005 | 0,05% |
DEU|PORTUGAL|1,100000000|2022-12-05| | PTOTVLOE0001 | 0,05% |
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
FONDMAPFRE RENTA MEDIO, FI
Fondo de inversión armonizado gestionado por MAPFRE ASSET MANAGEMENT, SGIIC, S.A.
58,3M
patrimonio
2,5k
partícipes
3, en una escala de 1 al 7
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