IBERCAJA CRECIMIENTO DINAMICO, FI
Cartera

Este fondo se corresponde con los siguientes códigos ISIN: ES0146843034, ES0146843000

Patrimonio 1.350.745.276€
Partícipes 59.426
Patrimonio por partícipe 22.729,87€

Cartera del fondo a 2016-03-31

El fondo invierte en 259 activos diferentes:

Activos en cartera
Activo ISIN Porcentaje
BONO|ESTADO ESPAÑOL|1,15|2020-07-30 ES00000127H7 3,63%
DEPOSITOS|IBERCAJA BANCO|0,56|2016-10-26 2,97%
ACCIONES|ITALCEMENTI IT0001465159 1,99%
ACCIONES|SYNGENTA AG CH0011037469 1,77%
DEPOSITOS|IBERCAJA BANCO|0,44|2017-01-13 1,66%
ACCIONES|TNT EXPRESS NV NL0009739424 1,57%
DEPOSITOS|IBERCAJA BANCO|0,44|2017-01-31 1,54%
ACCIONES|SABMILLER PLC GB0004835483 1,47%
DEPOSITOS|IBERCAJA BANCO|0,56|2016-07-22 1,43%
DEPOSITOS|IBERCAJA BANCO|0,38|2017-03-17 1,31%
BONO|INTESA SANPAOLO|0,83|2020-06-15 XS1246144650 1,20%
BONO|CCTS EU|0,51|2022-06-15 IT0005104473 1,20%
ACCIONES|ENEL SPA IT0003128367 1,09%
DEPOSITOS|IBERCAJA BANCO|0,61|2016-05-06 1,07%
ACCIONES|ATLANTIA IT0003506190 0,93%
BONO|MEDIOBANCA|2,40|2018-09-30 IT0004955685 0,89%
BONO|B.SABADELL|2,50|2016-12-05 ES0313860613 0,88%
BONO|REPSOL INTERNACIONAL|4,75|2017-02-16 XS0287409212 0,79%
BONO|EDP FINANCE BV|5,75|2017-09-21 XS0831842645 0,79%
BONO|TESCO CORP TREASURY|1,25|2017-11-13 XS0992632702 0,78%
BONO|3 I GROUP PLC|5,63|2017-03-17 XS0495913229 0,77%
BONO|NIB CAPITAL BANK NV|2,00|2018-07-26 XS1173845352 0,75%
BONO|DELTA LLOYD NV|4,25|2017-11-17 XS0559434351 0,75%
BONO|B.SABADELL|0,75|2016-12-29 ES03138621Y3 0,72%
BONO|COLONIAL|1,86|2019-06-05 XS1241699922 0,71%
BONO|GMAC INTL FINANCE BV|0,85|2018-02-23 XS1193853006 0,69%
BONO|CIMENTS FRANÇAIS|4,75|2017-04-04 FR0010454090 0,68%
BONO|RENAULT S.A|4,63|2017-09-18 FR0011321447 0,67%
BONO|BANK OF AMERICA|0,60|2018-03-28 XS0249443879 0,65%
BONO|CAIXABANK|2,38|2019-05-09 ES0314970239 0,62%
BONO|CCTS EU|0,76|2020-12-15 IT0005056541 0,61%
BONO|TESCO|3,38|2018-11-02 XS0697395472 0,60%
BONO|GOLDMAN SACHS|0,50|2020-05-29 XS1240146891 0,59%
BONO|GLENCORE FINANCE|5,25|2017-03-22 XS0495973470 0,58%
BONO|AREVA SA|3,88|2016-09-23 FR0010804492 0,58%
BONO|VALLOUREC SA|4,25|2017-02-14 FR0011149947 0,58%
ACCIONES|NOVARTIS CH0012005267 0,56%
ACCIONES|TOTAL FR0000120271 0,56%
BONO|A2A SPA|4,50|2019-11-28 XS0859920406 0,56%
BONO|VOLKSWAG INTL FIN|1,88|2017-05-15 XS0782708456 0,56%
BONO|ARCELOR MITTAL|10,63|2016-06-03 XS0431928414 0,55%
BONO|FIAT CHRYSLER FINANC|7,75|2016-10-17 XS0805410239 0,55%
BONO|WENDEL|6,75|2018-04-20 FR0011036979 0,54%
BONO|FCE BANK PLC|0,75|2019-09-17 XS1292513105 0,54%
BONO|BANK OF AMERICA|0,62|2020-09-14 XS1290851184 0,53%
BONO|GEN.CATALUÑA|4,30|2016-11-15 ES0000095895 0,52%
BONO|INTESA SANPAOLO|0,58|2017-05-18 XS0300196879 0,52%
BONO|FINMECCANICA SPA|4,38|2017-12-05 XS0861828407 0,51%
ACCIONES|F.C.C. ES0122060314 0,51%
BONO|CLARIANT FINANCE LUX|5,63|2017-01-24 XS0735784851 0,50%
BONO|TELECOM ITALIA SPA|4,50|2021-01-25 XS1020952435 0,50%
BONO|THYSSENKRUPP AG|4,38|2017-02-28 DE000A1MA9H4 0,50%
BONO|B.DELLE MARCHE SPA|5,50|2017-01-11 IT0004789076 0,50%
BONO|UNICREDIT BK AUSTRIA|2,63|2018-01-30 XS0881544281 0,49%
ACCIONES|TELEFONICA ES0178430E18 0,49%
BONO|BANCO MONTE DEI PAAS|3,47|2017-03-20 IT0004804362 0,49%
ACCIONES|IBERDROLA ES0144580Y14 0,49%
BONO|BPE FINANCIACIONES|2,00|2020-02-03 XS1169791529 0,49%
BONO|BPE FINANCIACIONES|2,88|2016-05-19 XS0993306603 0,48%
BONO|C.A. MADRID|5,75|2018-02-01 ES0000101545 0,48%
BONO|SOCIETE GENERALE|0,29|2018-07-22 XS1264495000 0,48%
DEPOSITOS|IBERCAJA BANCO|0,56|2016-11-22 0,48%
DEPOSITOS|IBERCAJA BANCO|0,56|2016-11-15 0,48%
DEPOSITOS|IBERCAJA BANCO|0,80|2016-07-19 0,48%
BONO|SANTANDER CONS FINAN|0,46|2017-07-31 XS1265772498 0,47%
BONO|SANTANDER CONS FINAN|0,32|2017-07-07 XS1254146134 0,47%
PAGARE|B.SABADELL|0,60|2016-05-11 ES0513862T57 0,47%
BONO|BANKINTER|1,75|2019-06-10 ES03136793B0 0,46%
BONO|VOLTA ELECTRICITY|1,99|2019-02-12 PTTGUOOM0017 0,45%
ACCIONES|LOUIS VUITTON FR0000121014 0,43%
BONO|CASINO GUICHARD|4,48|2018-11-12 FR0010893396 0,43%
BONO|NEXANS SA|5,75|2017-05-02 FR0010465427 0,43%
BONO|TELEFONICA EMISIONES|4,69|2019-11-11 XS0462999573 0,42%
ACCIONES|EUTELSAT COMMUNICAT FR0010221234 0,41%
BONO|UNICREDIT SPA|1,08|2017-09-13 IT0004750615 0,41%
BONO|REPSOL INTERNACIONAL|2,13|2020-12-16 XS1334225361 0,40%
BONO|BPE FINANCIACIONES|2,50|2017-02-01 XS1017790178 0,40%
BONO|DEUTSCHE PFANDBRIEF|1,38|2018-01-15 DE000A13SWA4 0,40%
BONO|ESTADO ITALIAN0|3,50|2018-06-01 IT0004907843 0,40%
BONO|BANKIA SA|1,50|2017-10-09 ES0313307185 0,40%
BONO|BANKINTER|0,57|2016-06-16 ES0213679154 0,39%
ACCIONES|VINCI SA FR0000125486 0,39%
BONO|SANTAN INTNL DEBT|4,13|2017-10-04 XS0544546780 0,39%
BONO|BANK OF AMERICA|0,44|2017-05-23 XS0301928262 0,38%
BONO|INTESA SANPAOLO|4,20|2017-03-03 IT0004682545 0,38%
ACCIONES|VIVENDI FR0000127771 0,38%
BONO|UBI BANCA|2,88|2019-02-18 XS1033018158 0,38%
BONO|FCE BANK PLC|2,88|2017-10-03 XS0838847381 0,38%
BONO|JUNTA DE GALICIA|1,89|2016-12-12 ES0001352527 0,38%
BONO|GOLDMAN SACHS|0,43|2018-09-11 XS1289966134 0,37%
BONO|UNICREDIT SPA|1,23|2017-09-01 XS0626669781 0,36%
BONO|FCE BANK PLC|1,01|2018-08-11 XS1362349869 0,36%
BONO|TELEFONICA EMISIONES|1,48|2021-09-14 XS1290729208 0,36%
DEPOSITOS|IBERCAJA BANCO|0,46|2017-01-03 0,36%
DEPOSITOS|IBERCAJA BANCO|0,56|2016-07-01 0,36%
DEPOSITOS|UNICAJA BANCO|0,48|2016-06-03 0,36%
DEPOSITOS|UNICAJA BANCO|0,48|2016-05-13 0,36%
BONO|BANK OF IRELAND|0,65|2017-07-31 XS1269185697 0,36%
PAGARE|EL CORTE INGLES|0,70|2016-06-07 ES0505113144 0,36%
BONO|SANTAN INTNL DEBT|0,39|2020-03-04 XS1195284705 0,35%
BONO|ANGLO AMER CAP|1,75|2017-11-20 XS0995039806 0,34%
BONO|C.A. ARAGON|1,15|2017-07-30 ES0000107484 0,34%
BONO|AUTOROUTES PARIS|0,57|2020-01-03 FR0013054020 0,33%
BONO|ARCELOR MITTAL|1,89|2018-04-09 XS1214673565 0,33%
BONO|WENDEL|4,38|2017-08-09 XS0224749100 0,33%
BONO|RENAULT S.A|3,63|2018-09-19 FR0011568963 0,32%
BONO|BANCO POPOLARE|3,50|2019-03-14 XS1044894944 0,31%
BONO|TESCO CORP TREASURY|1,38|2019-07-01 XS1082970853 0,30%
BONO|VODAFONE GROUP|0,75|2019-02-25 XS1372838083 0,30%
BONO|MEDIOBANCA|0,88|2017-11-14 XS1137512312 0,30%
BONO|ESTADO ESPAÑOL|0,50|2017-10-31 ES00000126V0 0,30%
BONO|GOLDMAN SACHS|0,59|2019-10-29 XS1130101931 0,30%
BONO|CREDIT SUISSE LON|0,50|2018-03-29 XS1211053225 0,29%
BONO|MEDIOBANCA|3,48|2017-05-31 IT0004713787 0,29%
BONO|ANGLO AMER CAP|4,38|2016-12-02 XS0470632646 0,29%
BONO|DEUTSCHE PFANDBRIEF|1,25|2019-02-04 DE000A13SWD8 0,29%
DEPOSITOS|BANCA MARCH|0,33|2016-06-03 0,28%
BONO|REPSOL INTERNACIONAL|4,88|2019-02-19 XS0733696495 0,27%
BONO|UNICREDIT SPA|1,84|2017-10-31 IT0004767577 0,27%
BONO|RCI BANQUE SA|0,44|2018-07-16 FR0012674182 0,27%
BONO|GLENCORE FIN DUB LTD|1,75|2016-05-19 XS0857214968 0,27%
BONO|UNICREDIT SPA|0,81|2020-02-19 XS1169707087 0,27%
BONO|MORGAN STANLEY|5,50|2017-10-02 XS0323657527 0,27%
BONO|ESTADO ITALIAN0|4,75|2017-06-01 IT0004820426 0,27%
BONO|GENERAL MILLS INC|0,59|2020-01-15 XS1346107433 0,26%
BONO|TELECOM ITALIA SPA|4,50|2017-09-20 XS0831389985 0,26%
BONO|C.A. MADRID|6,21|2016-06-21 ES0000101446 0,26%
BONO|NIB CAPITAL BANK NV|2,25|2019-09-24 XS1385996126 0,26%
BONO|C.A. MADRID|2,88|2019-04-06 ES0000101586 0,26%
BONO|THYSSENKRUPP AG|4,00|2018-08-27 DE000A1R08U3 0,26%
BONO|VALLOUREC SA|3,25|2019-08-02 FR0011302793 0,26%
BONO|MORGAN STANLEY|3,75|2017-09-21 XS0832446230 0,26%
BONO|ALLIED IRISH BANK|2,75|2019-04-16 XS1057481084 0,25%
BONO|HEIDELBERGCEMENT LUX|8,50|2019-10-31 XS0458685913 0,25%
BONO|ARCELOR MITTAL|5,75|2018-03-29 XS0765621569 0,25%
BONO|GMAC INTL FINANCE BV|1,88|2019-10-15 XS1121198094 0,24%
BONO|UNICREDIT SPA|2,61|2016-09-10 IT0004628548 0,24%
BONO|BANK OF IRELAND|2,75|2016-06-05 XS0940658361 0,24%
BONO|ESTADO ITALIAN0|1,15|2017-05-15 IT0005023459 0,24%
BONO|ACCIONA S.A.|4,63|2019-07-22 XS1086530604 0,24%
BONO|AREVA SA|4,63|2017-10-05 FR0011125442 0,24%
BONO|GLENCORE FINANCE|4,63|2018-04-03 XS0767815599 0,24%
BONO|ITALCEMENTI FINANCE|6,13|2018-02-21 XS0893201433 0,24%
BONO|LANDSBANKI ISLANDS|3,00|2016-05-16 XS1068092599 0,24%
DEPOSITOS|IBERCAJA BANCO|0,56|2016-11-08 0,24%
DEPOSITOS|IBERCAJA BANCO|0,56|2016-09-09 0,24%
DEPOSITOS|IBERCAJA BANCO|1,00|2016-04-01 0,24%
PAGARE|B.SABADELL|0,50|2017-03-15 ES0513862DX9 0,24%
BONO|UNICREDIT SPA|1,03|2017-10-31 IT0004854060 0,23%
BONO|UBI BANCA|2,51|2016-12-30 IT0004659758 0,23%
BONO|SOLVAY|0,62|2017-12-01 BE6282455565 0,23%
BONO|ANGLO AMER CAP|1,75|2018-04-03 XS1052677207 0,22%
BONO|RAIFFEISEN BANK|2,75|2017-07-10 XS0803117612 0,22%
BONO|IBERCAJA BANCO|5,00|2025-07-28 ES0244251007 0,22%
BONO|ICAP GROUP HOLDING|3,13|2019-03-06 XS1041793123 0,22%
BONO|RWE FINANCE|6,63|2019-01-31 XS0399647675 0,22%
BONO|STANDARD CHARTERED B|5,88|2017-09-26 XS0323411016 0,22%
BONO|SKY PLC|0,62|2020-04-01 XS1212467911 0,21%
BONO|CITIGROUP|1,07|2017-11-30 XS0236075908 0,21%
BONO|RBS PLC|0,61|2019-10-08 NL0009062215 0,21%
BONO|UNICREDIT SPA|1,10|2017-10-31 IT0004854060 0,21%
ACCIONES|DAIMLER AG DE0007100000 0,21%
BONO|FCA CAPITAL IRELAND|1,25|2018-06-13 XS1321405968 0,21%
BONO|AMERICAN HONDA|0,18|2019-03-11 XS1288342147 0,21%
BONO|TELECOM ITALIA SPA|3,63|2024-01-19 XS1347748607 0,21%
ACCIONES|ENAGAS ES0130960018 0,21%
ACCIONES|FERROVIAL (ant cint) ES0118900010 0,20%
BONO|BMW US CAPITAL LLC|0,15|2019-03-18 DE000A1Z6M04 0,20%
PAGARE|IM FORTIA 1FONDO TIT|0,60|2016-04-11 ES0505087041 0,19%
BONO|FCE BANK PLC|0,30|2018-02-10 XS1186131634 0,19%
BONO|INTESA SANPAOLO|2,56|2018-05-15 IT0004909013 0,19%
BONO|MEDIOBANCA|3,12|2017-03-31 IT0004689755 0,18%
BONO|INTESA SANPAOLO|2,25|2017-11-22 XS0788138906 0,18%
BONO|UNICREDIT SPA|2,30|2016-11-29 IT0004967383 0,18%
BONO|FCE BANK PLC|1,53|2020-11-09 XS1317725726 0,18%
BONO|INTESA SANPAOLO|2,25|2018-07-18 XS0831556476 0,17%
BONO|CAIXABANK|2,50|2017-04-18 ES0340609215 0,17%
BONO|BANCA IMI|2,00|2016-12-18 XS0460430142 0,17%
BONO|BANCO POPOLARE|2,38|2018-01-22 XS1070681397 0,17%
BONO|BANCO POPOLARE|2,75|2020-07-27 XS1266866927 0,17%
BONO|LEASEPLAN CORP|1,38|2018-09-24 XS1295413345 0,16%
BONO|PROSEGUR|2,75|2018-04-02 XS0904823431 0,16%
BONO|UNICREDIT SPA|1,69|2017-10-31 IT0004854060 0,16%
BONO|RBS|1,50|2016-11-28 XS0997797054 0,16%
ACCIONES|ENI IT0003132476 0,15%
BONO|HEINEKEN NV|1,25|2021-09-10 XS1288852939 0,15%
BONO|PETROLEOS MEXICANOS|5,50|2017-01-09 XS0456477578 0,15%
BONO|SANTANDER CONS BANK|0,63|2018-04-20 XS1218217377 0,14%
BONO|FCA CAPITAL IRELAND|1,25|2020-09-23 XS1383510259 0,14%
BONO|TELECOM ITALIA SPA|6,13|2018-12-14 XS0794393396 0,14%
BONO|GENERAL ELECTRIC|0,10|2020-05-28 XS1238900515 0,14%
BONO|VOLVO TREASURY AB|0,23|2017-09-11 XS1107638832 0,14%
BONO|BANCA CARIGE SPA|6,75|2017-03-20 IT0004803141 0,14%
BONO|JEFFERIES GROUP LLC|2,38|2020-05-20 XS1069522057 0,14%
BONO|SANTANDER CONS FINAN|1,10|2018-07-30 XS1264601805 0,13%
BONO|INTESA SANPAOLO|5,00|2017-02-28 XS0750763806 0,13%
BONO|SANTANDER CONS BANK|1,00|2019-02-25 XS1369254310 0,13%
BONO|EDP FINANCE BV|2,63|2022-01-18 XS1111324700 0,13%
BONO|SANTANDER ISSUANCES|0,73|2017-07-25 XS0261717416 0,13%
BONO|CAIXABANK|3,13|2018-05-14 ES0340609199 0,13%
BONO|VOLTA ELECTRICITY|2,98|2018-02-16 PTTGUFOM0018 0,13%
BONO|BBVA SENIOR FINANCE|4,88|2016-04-15 XS0615986428 0,13%
BONO|C.A. MADRID|4,11|2016-06-23 ES0000101255 0,13%
BONO|EDP FINANCE BV|4,75|2016-09-26 XS0435879605 0,12%
BONO|THYSSENKRUPP AG|3,13|2019-10-25 DE000A1R0410 0,12%
BONO|RAIFFEISEN BANK|1,88|2018-11-08 XS0989620694 0,12%
BONO|JUNTA DE GALICIA|1,37|2019-05-10 ES0001352543 0,12%
BONO|PETROLEOS MEXICANOS|3,75|2019-03-15 XS1379157404 0,12%
BONO|BANCO POPOLARE|2,63|2018-09-21 XS1293577208 0,12%
BONO|UNICREDIT SPA|0,99|2017-09-30 IT0004762586 0,12%
BONO|B.SABADELL|0,90|2016-08-02 ES03138601O6 0,12%
BONO|TELECOM ITALIA SPA|0,58|2016-06-07 XS0304816076 0,12%
PAGARE|EL CORTE INGLES|0,75|2016-05-03 ES0505113086 0,12%
BONO|BANCA IMI|0,37|2017-06-30 IT0004611932 0,12%
CEDULAS|CAIXABANK|0,39|2018-01-09 ES0414970220 0,12%
PAGARE|ACS|1,23|2016-04-07 XS1218050901 0,12%
BONO|ANGLO AMER CAP|2,50|2018-09-18 XS0830380639 0,11%
BONO|F VAN LANSCHOT BANK|3,13|2018-06-05 XS0940685091 0,11%
BONO|AIR FRANCE|6,75|2016-10-27 FR0010814459 0,11%
BONO|REPSOL INTERNACIONAL|4,38|2018-02-20 XS0831370613 0,11%
BONO|NOMURA EUROPE|1,13|2020-06-03 XS1241710323 0,10%
BONO|REPSOL INTERNACIONAL|2,63|2020-05-28 XS0933604943 0,10%
BONO|FADE|2,25|2016-12-17 ES0378641189 0,10%
BONO|GEN.VALENCIANA|4,00|2016-11-02 XS0273564434 0,09%
ACCIONES|TECHNIP FR0000131708 0,09%
BONO|TELEMAR NORTE|5,13|2017-12-15 XS0569301327 0,09%
BONO|UNICREDIT SPA|1,02|2017-10-31 IT0004854060 0,09%
BONO|CASINO GUICHARD|4,38|2017-02-08 FR0010850719 0,09%
BONO|THYSSENKRUPP AG|2,75|2021-03-08 DE000A2AAPF1 0,08%
BONO|RADIOTELEVISIONE IT|1,50|2020-05-28 XS1237519571 0,08%
BONO|FGA CAPITAL IRELAND|0,76|2017-10-17 XS1220057043 0,08%
BONO|HIPERCOR SA|3,88|2022-01-19 XS1169199152 0,07%
BONO|UBI BANCA|2,75|2017-04-28 XS0986090164 0,07%
BONO|UNICREDIT SPA|2,65|2017-01-31 IT0004669575 0,07%
BONO|JUNTA ANDALUCIA|5,20|2019-07-15 XS0439945907 0,07%
BONO|CELLNEX TELECOM SAU|3,13|2022-07-27 XS1265778933 0,07%
BONO|ACS|2,88|2020-04-01 XS1207309086 0,07%
BONO|C.A. ARAGON|5,75|2017-04-19 ES0000107096 0,07%
BONO|TELECOM ITALIA SPA|7,00|2017-01-20 XS0693940511 0,07%
BONO|VENETO BANCA|4,00|2019-05-20 XS1069508494 0,06%
CEDULAS|AYT CEDULAS CAJAS GL|4,00|2016-12-20 ES0312298104 0,06%
CEDULAS|AYT CEDULAS XXIII|4,75|2016-06-15 ES0312298229 0,06%
BONO|BANKIA SA|4,38|2017-02-14 ES0214977144 0,06%
BONO|JUNTA DE GALICIA|2,75|2017-02-02 ES0001352519 0,06%
BONO|UNICRED BANK IRELAND|4,00|2016-05-04 DE000A1G3U23 0,06%
BONO|UNICREDIT SPA|1,77|2017-12-19 IT0004776230 0,06%
BONO|UNICREDIT SPA|2,35|2016-09-30 IT0004638653 0,06%
BONO|BANCO SANTAN TOTTA|1,50|2017-04-03 PTBSQDOE0020 0,06%
BONO|CARREFOUR BANQUE|0,31|2020-03-20 XS1206712868 0,06%
PAGARE|ACCIONA S.A.|1,18|2016-09-20 XS1296764936 0,06%
ACCIONES|TELECOM ITALIA SPA IT0003497176 0,06%
BONO|SANTAN INTNL DEBT|1,38|2017-03-25 XS1046276504 0,05%
BONO|SINOPEC GRP OVERSEA|0,50|2018-04-27 XS1220876384 0,05%
BONO|B.FEDERATIVE DU CRED|3,00|2024-05-21 XS1069549761 0,04%
BONO|AMADEUS FINANCE|0,63|2017-12-02 XS1146627473 0,04%
BONO|ELSEVIER FIN|0,31|2017-05-20 XS1069860374 0,04%
PAGARE|GRUPOPIKOLIN, S.L.|0,90|2016-04-18 ES0505072027 0,04%
BONO|PORTUGAL TEL FINANCE|5,88|2018-04-17 XS0843939918 0,03%
BONO|IBERDROLA INTL|4,25|2018-10-11 XS0767977811 0,03%

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 CRECIMIENTO DINAMICO, FI

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

1.350,7M

patrimonio

59,4k

partícipes

4, en una escala de 1 al 7

perfil de riesgo

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