IBERCAJA BP GLOBAL BONDS, FI
Cartera

Este fondo se corresponde con los siguientes códigos ISIN: ES0146822004, ES0146822012

Patrimonio 245.323.478€
Partícipes 36.405
Patrimonio por partícipe 6.738,73€

Cartera del fondo a 2014-09-30

El fondo invierte en 138 activos diferentes:

Activos en cartera
Activo ISIN Porcentaje
PARTICIPACIONES|DB X-TRACKERS II EMG LU0321462953 4,22%
PARTICIPACIONES|AMUNDI CAAM GLOB EME FR0007038708 3,12%
PARTICIPACIONES|EDMOND EMERGING FR0010906255 2,93%
PARTICIPACIONES|PIONEER EMERG MKTS LU0330608232 2,64%
PARTICIPACIONES|EMERGING MARKETS BON LU0496363002 2,29%
PARTICIPACIONES|JULIUS BAER-LOC LU0256065409 2,14%
PARTICIPACIONES|ISHARES JP EMERGING IE00B2NPKV68 1,90%
PARTICIPACIONES|PIMCO EMERGING MARKE IE0032568770 1,85%
PARTICIPACIONES|AXA WORLD EMG ST BND LU0800572702 1,81%
CEDULAS|AYT CEDULAS XXIII|4,75|2016-06-15 ES0312298229 1,71%
PARTICIPACIONES|BLUEBAY EMERGING LU0271023524 1,64%
PARTICIPACIONES|ISHARES EURO HY IE00B66F4759 1,58%
PARTICIPACIONES|CANDRIAM BONDS EMG D LU0616945282 1,34%
PARTICIPACIONES|JPM EMERGING MARK LU0332400232 1,32%
BONO|ESTADO ITALIAN0|5,46|2022-11-01 IT0004848831 1,24%
PARTICIPACIONES|LFP OBLIGATIONS FR0010225037 1,20%
BONO|REFER-REDE FERROVIA|4,00|2015-03-16 XS0214446188 1,16%
PARTICIPACIONES|GS GLOBAL EMER MAR LU0302283675 1,12%
BONO|EDP FINANCE BV|3,25|2015-03-16 XS0495010133 1,08%
BONO|EDP FINANCE BV|2,63|2022-01-18 XS1111324700 1,07%
PARTICIPACIONES|DB X-TRACKERS II LU0290359032 1,06%
BONO|CP COMBOIOS PORTUGAL|4,17|2019-10-16 PTCFPAOM0002 1,06%
BONO|ALTICE FINANCING SA|6,50|2022-01-15 XS1003905152 1,05%
BONO|PORTUGAL TEL FINANCE|4,38|2017-03-24 XS0215828913 1,04%
BONO|REPUBLICA DE TURQUIA|4,13|2023-04-11 XS1057340009 1,03%
BONO|CAMPOFRIO|8,25|2016-10-31 XS0461087958 1,03%
CEDULAS|IM CEDULAS 6|3,50|2015-12-02 ES0362859003 1,02%
BONO|GAZ CAPITAL SA|8,13|2015-02-04 XS0442330295 1,02%
PARTICIPACIONES|PICTET FUNDS EME LOC LU0280437160 1,01%
PARTICIPACIONES|ABSOLUTE INSIGHT EMG IE00B1HL8W03 1,01%
BONO|ENCE|7,25|2020-02-15 XS0879841251 1,01%
BONO|UNICREDIT SPA|1,60|2017-09-01 XS0626669781 1,00%
BONO|FIAT FINANCE & TRADE|7,00|2017-03-23 XS0764640149 0,98%
BONO|SANTANDER ISSUANCES|0,83|2017-03-23 XS0291652203 0,97%
BONO|SBERBANK|3,35|2019-11-15 XS1082459568 0,93%
BONO|ABENGOA|8,48|2016-03-31 XS0498817542 0,90%
BONO|NOKIA OYJ|6,75|2019-02-04 XS0411735482 0,82%
BONO|ANGLO AMER CAP|1,75|2018-04-03 XS1052677207 0,81%
BONO|OBRASCON HUARTE LAIN|7,69|2020-03-15 XS0760705631 0,75%
BONO|BPE FINANCIACIONES|4,00|2015-07-17 XS0875105909 0,71%
BONO|BULGARIAN ENERGY|4,25|2018-11-07 XS0989152573 0,68%
PARTICIPACIONES|LATIN AMERICA CURREN LU0325327566 0,63%
BONO|ESTADO ITALIAN0|5,50|2022-09-01 IT0004801541 0,62%
BONO|TELENET FINANCE|6,38|2020-11-15 XS0555929263 0,62%
BONO|ESTADO ESPAÑOL|5,40|2023-01-31 ES00000123U9 0,61%
BONO|VENETO BANCA|4,00|2019-05-20 XS1069508494 0,60%
BONO|REPUB PORTUGAL|5,65|2024-02-15 PTOTEQOE0015 0,59%
BONO|OBRASCON HUARTE LAIN|7,35|2015-04-28 XS0503993627 0,57%
BONO|PEUGEOT SA|7,38|2018-03-06 FR0011439975 0,57%
BONO|TELEFONICA EMISIONES|3,99|2023-01-23 XS0874864860 0,57%
BONO|BARRY CALLEBAUT|6,00|2017-07-13 BE0933072291 0,55%
BONO|CEMEX ESPAÑA LUX|9,88|2019-04-30 XS0752095686 0,55%
BONO|INTESA SANPAOLO|4,80|2017-10-03 IT0004849300 0,55%
BONO|JUNTA ANDALUCIA|4,75|2018-01-24 ES0000090581 0,55%
CEDULAS|BANCO MARE NOSTRUM|3,13|2019-01-21 ES0413056047 0,54%
BONO|RENAULT S.A|3,63|2018-09-19 FR0011568963 0,53%
BONO|BANKIA SA|3,50|2019-01-17 ES0313307003 0,53%
BONO|CAIXABANK|5,00|2023-11-14 XS0989061345 0,53%
CEDULAS|UNICAJA BANCO|5,50|2016-03-23 ES0458759034 0,53%
BONO|GLENCORE FINANCE|2,75|2021-04-01 XS1051003538 0,53%
BONO|MARCOLIN SPA|8,50|2019-11-15 XS0991759076 0,52%
BONO|LABCO SAS|8,50|2018-01-15 XS0577452823 0,52%
BONO|PORTUGAL TEL FINANCE|5,63|2016-02-08 XS0587805457 0,52%
BONO|TELEMAR NORTE|5,13|2017-12-15 XS0569301327 0,52%
BONO|BANCO POPOLARE|3,50|2019-03-14 XS1044894944 0,51%
BONO|WIND ACQUISITION|7,00|2021-04-23 XS1055940206 0,51%
BONO|INTESA SANPAOLO|2,25|2018-07-18 XS0831556476 0,51%
BONO|VENETO BANCA|4,00|2017-01-20 XS1016053537 0,51%
BONO|PORTAVENTURA|7,25|2020-12-01 XS0982712365 0,50%
BONO|CNH INDUSTRIAL FIN|2,75|2019-03-18 XS1046851025 0,50%
BONO|GALP ENERGIA|3,00|2021-01-14 PTGALJOE0008 0,49%
BONO|C.A. ARAGON|1,18|2016-12-15 ES0000107161 0,49%
BONO|ALDESA FINANCIA|7,25|2021-04-01 XS1028959754 0,49%
BONO|CNH INDUSTRIAL FIN|2,88|2021-09-27 XS1114452060 0,48%
PAGARE|ACS|2,88|2015-01-21 XS1022506130 0,48%
BONO|NOVO BANCO SA|5,88|2015-11-09 PTBESWOM0013 0,48%
BONO|BANKIA SA|4,00|2024-05-22 ES0213307004 0,47%
BONO|ABENGOA|9,60|2015-02-25 XS0469316458 0,47%
BONO|THREEAB OPTIQUE|5,63|2019-04-15 XS1028956909 0,46%
BONO|AG SPRING FIN II|9,50|2019-06-01 XS0936805539 0,44%
BONO|C.A. MADRID|4,11|2016-06-23 ES0000101255 0,42%
BONO|FIAT FINANCE & TRADE|6,38|2016-04-01 XS0613002368 0,42%
BONO|ITALCEMENTI FINANCE|6,13|2018-02-21 XS0893201433 0,42%
BONO|JUNTA DE GALICIA|2,75|2017-02-02 ES0001352519 0,41%
BONO|BANCO COMER. PORTUG.|3,38|2017-02-27 PTBITIOM0057 0,40%
BONO|ZIGGO BOND CO|8,00|2018-05-15 XS1028398540 0,38%
BONO|ARCELOR MITTAL|5,75|2018-03-29 XS0765621569 0,33%
CEDULAS|CEDULAS TDA 5|4,13|2019-11-29 ES0317045005 0,33%
BONO|FAURECIA|8,75|2019-06-15 XS0778917814 0,33%
BONO|BUZZI UNICEM SPA|5,13|2016-12-09 XS0472205300 0,32%
CEDULAS|AYT CEDULAS CAJAS GL|4,00|2016-12-20 ES0312298104 0,32%
BONO|ESTADO ESPAÑOL|4,25|2016-10-31 ES00000123J2 0,32%
BONO|MOL HUNGARIAN OIL|5,88|2017-04-20 XS0503453275 0,31%
BONO|CIRSA FUNDING|8,75|2018-05-15 XS0506591519 0,31%
CEDULAS|CAJAS RURALES UNIDAS|3,38|2016-05-16 ES0422714016 0,31%
BONO|STENA AB|6,13|2017-02-01 XS0285176458 0,30%
BONO|REPUBLICA CROACIA|3,88|2022-05-30 XS1028953989 0,30%
BONO|SANTANDER CONS FINAN|1,15|2015-10-02 XS1049100099 0,30%
PAGARE|ACCIONA S.A.|2,42|2015-06-19 XS1081135375 0,29%
PAGARE|ACCIONA S.A.|2,89|2015-02-13 XS1035006995 0,29%
BONO|IGLO FOODS BONDCO|4,58|2020-06-15 XS1084586822 0,29%
CEDULAS|IBERCAJA BANCO|3,38|2014-11-27 ES0414954141 0,29%
BONO|GAZ CAPITAL SA|3,39|2020-03-20 XS0906946008 0,28%
BONO|FIAT FINANCE & TRADE|7,75|2016-10-17 XS0805410239 0,27%
BONO|THYSSENKRUPP AG|3,13|2019-10-25 DE000A1R0410 0,26%
BONO|TELECOM ITALIA SPA|8,25|2016-03-21 XS0418508924 0,24%
BONO|AG SPRING FINANCE|7,50|2018-06-01 XS0936772341 0,23%
BONO|NARA CABLE FUN II|8,50|2020-03-01 XS0883726118 0,23%
BONO|ALLIED IRISH BANK|5,63|2014-11-12 XS0465876349 0,23%
BONO|FIAT FINANCE & TRADE|6,63|2018-03-15 XS0906420574 0,22%
BONO|ONO FINANCE II|11,13|2019-07-15 XS0584389448 0,22%
BONO|SANTAN INTNL DEBT|4,63|2016-03-21 XS0828735893 0,21%
BONO|FERROVIAL EMISIONES|3,38|2018-01-30 XS0879082914 0,21%
BONO|PICARD BONDCO|9,00|2018-10-01 XS0544395808 0,21%
BONO|EUROPCAR GROUPE|9,38|2018-04-15 XS0562670181 0,21%
BONO|UBI BANCA|2,75|2017-04-28 XS0986090164 0,21%
BONO|MEDIOBANCA|2,25|2019-03-18 XS1046272420 0,21%
CEDULAS|AYT CEDULAS CAJAS GL|4,00|2017-03-21 ES0312298112 0,21%
BONO|GMAC INTL FINANCE|7,50|2015-04-21 XS0503684838 0,20%
BONO|MERRILL LYNCH & CO|0,63|2018-09-14 XS0267827169 0,19%
BONO|CAIXABANK|1,06|2016-09-21 ES0213249008 0,19%
BONO|GRP ISOLUX CORSAN|6,63|2021-04-15 XS1046702293 0,19%
BONO|LEVI STRAUSS|7,75|2018-05-15 XS0520235218 0,16%
BONO|REN- REDES|4,75|2020-10-16 XS0982774399 0,14%
BONO|FIAT INDUSTRIAL|6,25|2018-03-09 XS0604641034 0,14%
BONO|ASTALDI SPA|7,13|2020-12-01 XS1000393899 0,13%
BONO|WENDEL|6,75|2018-04-20 FR0011036979 0,12%
BONO|ESTADO HUNGRIA|5,75|2018-06-11 XS0369470397 0,11%
BONO|PORTUGAL TEL FINANCE|5,88|2018-04-17 XS0843939918 0,11%
BONO|RENAULT S.A|4,63|2017-09-18 FR0011321447 0,11%
BONO|REXEL SA|7,00|2018-12-17 XS0629656496 0,11%
BONO|ECO - BAT FINANCE|7,75|2017-02-15 XS0754797438 0,10%
BONO|WIND ACQUISITION|5,46|2019-04-30 XS0922256580 0,10%
BONO|WENDEL|4,88|2016-05-26 XS0253989635 0,10%
PAGARE|ESPIRITO SANTO FINAN|2015-04-22 XS1061376924 0,10%
BONO|OTE PLC|4,63|2016-05-20 XS0275776283 0,10%
BONO|PEMEX|6,38|2016-08-05 XS0197620411 0,06%
BONO|HBOS|4,38|2019-10-30 XS0203871651 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

IBERCAJA BP GLOBAL BONDS, FI

Fondo de inversión armonizado gestionado por IBERCAJA GESTION, SGIIC, S.A.

245,3M

patrimonio

36,4k

partícipes

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