IBERCAJA MIXTO FLEXIBLE 15, FI
Cartera

Este fondo se corresponde con los siguientes códigos ISIN: ES0146944006, ES0146944014

Patrimonio 1.604.211.611€
Partícipes 61.912
Patrimonio por partícipe 25.911,16€

Cartera del fondo a 2016-03-31

El fondo invierte en 250 activos diferentes:

Activos en cartera
Activo ISIN Porcentaje
BONO|CITIGROUP|1,23|2019-02-10 XS0185490934 1,48%
BONO|FINMECCANICA SPA|4,38|2017-12-05 XS0861828407 1,25%
BONO|ANGLO AMER CAP|1,75|2018-04-03 XS1052677207 1,25%
BONO|BANKINTER|1,75|2019-06-10 ES03136793B0 1,24%
BONO|WENDEL|4,38|2017-08-09 XS0224749100 1,23%
DEPOSITOS|IBERCAJA BANCO|0,61|2016-05-06 1,15%
BONO|GMAC INTL FINANCE BV|0,85|2018-02-23 XS1193853006 1,14%
BONO|GLENCORE FINANCE|5,25|2017-03-22 XS0495973470 1,10%
BONO|RABOBANK NEDERLAND|5,88|2019-05-20 XS0429484891 1,09%
BONO|NIB CAPITAL BANK NV|2,00|2018-07-26 XS1173845352 1,07%
BONO|BANK OF AMERICA|0,60|2018-03-28 XS0249443879 0,98%
BONO|DELTA LLOYD NV|4,25|2017-11-17 XS0559434351 0,97%
BONO|COLONIAL|1,86|2019-06-05 XS1241699922 0,97%
BONO|REPSOL INTERNACIONAL|4,88|2019-02-19 XS0733696495 0,91%
BONO|WENDEL|6,75|2018-04-20 FR0011036979 0,85%
BONO|TESCO CORP TREASURY|1,25|2017-11-13 XS0992632702 0,83%
DEPOSITOS|IBERCAJA BANCO|0,56|2016-11-15 0,83%
DEPOSITOS|IBERCAJA BANCO|0,56|2016-11-08 0,83%
DEPOSITOS|IBERCAJA BANCO|0,46|2017-01-03 0,83%
BONO|MADRILEÑA RED GAS FI|3,78|2018-09-11 XS0969350999 0,81%
BONO|HBOS|0,47|2017-03-21 XS0292269544 0,81%
BONO|MEDIOBANCA|3,48|2017-05-31 IT0004713787 0,79%
BONO|LAFARGE|3,50|2020-09-30 XS0975113498 0,79%
BONO|MORGAN STANLEY|0,51|2019-11-19 XS1139320151 0,78%
BONO|TELECOM ITALIA SPA|4,50|2017-09-20 XS0831389985 0,76%
BONO|ARCELOR MITTAL|10,63|2016-06-03 XS0431928414 0,72%
BONO|CAISSE CENTRALE|4,00|2018-01-12 XS0557992889 0,71%
BONO|F VAN LANSCHOT BANK|3,13|2018-06-05 XS0940685091 0,69%
BONO|GOLDMAN SACHS|0,85|2022-07-26 XS1173867323 0,69%
BONO|BANCO MONTE DEI PAAS|3,47|2017-03-20 IT0004804362 0,68%
BONO|UBI BANCA|2,51|2016-12-30 IT0004659758 0,68%
BONO|VOLKSWAG INTL FIN|3,25|2018-05-10 XS0702452995 0,68%
BONO|F VAN LANSCHOT BANK|2,88|2016-10-17 XS0842560640 0,68%
BONO|SANTANDER ISSUANCES|0,62|2019-09-30 XS0201169439 0,67%
BONO|INTESA SANPAOLO|0,91|2019-04-17 XS1057822766 0,66%
BONO|GOLDMAN SACHS|0,59|2019-10-29 XS1130101931 0,66%
BONO|RCI BANQUE SA|0,31|2017-01-12 FR0012447068 0,66%
BONO|BANK OF AMERICA|0,62|2020-09-14 XS1290851184 0,66%
DEPOSITOS|IBERCAJA BANCO|0,56|2016-06-17 0,66%
PAGARE|B.SABADELL|0,50|2016-06-01 ES0513862U54 0,66%
BONO|BANK OF AMERICA|0,44|2017-05-23 XS0301928262 0,66%
BONO|JUNTA ANDALUCIA|4,75|2018-01-24 ES0000090581 0,65%
BONO|GOLDMAN SACHS|0,50|2020-05-29 XS1240146891 0,65%
BONO|STANDARD CHARTERED B|5,88|2017-09-26 XS0323411016 0,64%
BONO|VALLOUREC SA|4,25|2017-02-14 FR0011149947 0,63%
BONO|FCE BANK PLC|1,88|2019-04-18 XS1035001921 0,62%
BONO|UNICREDIT SPA|1,84|2017-10-31 IT0004767577 0,61%
BONO|FADE|0,85|2019-09-17 ES0378641205 0,60%
BONO|VOLKSWAG INTL FIN|1,88|2017-05-15 XS0782708456 0,59%
BONO|DEUTSCHE PFANDBRIEF|1,50|2019-09-17 DE000A12UAR2 0,59%
BONO|A.P.MOELLER MAERSK|1,37|2019-03-18 XS1381690574 0,59%
OBLIGACION|ESTADO ESPAÑOL|4,00|2020-04-30 ES00000122D7 0,59%
BONO|EDP FINANCE BV|5,75|2017-09-21 XS0831842645 0,55%
BONO|CASINO GUICHARD|4,48|2018-11-12 FR0010893396 0,55%
BONO|VODAFONE GROUP|0,75|2019-02-25 XS1372838083 0,52%
BONO|RCI BANQUE SA|0,44|2018-07-16 FR0012674182 0,52%
BONO|BNZ INTER FUNDING|0,30|2019-12-02 XS1145855646 0,52%
BONO|GOLDMAN SACHS|0,43|2018-09-11 XS1289966134 0,51%
BONO|2I RETE GAS|1,13|2020-01-02 XS1144492532 0,51%
BONO|FCE BANK PLC|0,75|2019-09-17 XS1292513105 0,50%
DEPOSITOS|UNICAJA BANCO|0,48|2016-06-17 0,50%
DEPOSITOS|UNICAJA BANCO|0,48|2016-05-13 0,49%
BONO|BANK OF AMERICA|1,29|2019-05-06 XS0191752434 0,49%
BONO|BANK OF IRELAND|0,65|2017-07-31 XS1269185697 0,49%
BONO|SANTANDER ISSUANCES|0,73|2017-07-25 XS0261717416 0,49%
BONO|RBS PLC|0,61|2019-10-08 NL0009062215 0,49%
BONO|MEDIOBANCA|0,07|2018-01-31 IT0004874654 0,49%
BONO|TESCO CORP TREASURY|1,38|2019-07-01 XS1082970853 0,49%
BONO|GENERAL MILLS INC|0,59|2020-01-15 XS1346107433 0,48%
BONO|CITIGROUP|1,07|2017-11-30 XS0236075908 0,48%
BONO|GMAC INTL FINANCE BV|1,88|2019-10-15 XS1121198094 0,48%
BONO|JEFFERIES GROUP LLC|2,38|2020-05-20 XS1069522057 0,47%
BONO|BANCA CARIGE SPA|6,75|2017-03-20 IT0004803141 0,47%
BONO|B.SABADELL|2,50|2016-12-05 ES0313860613 0,46%
ACCIONES|SYNGENTA AG CH0011037469 0,45%
BONO|RAIFFEISEN BANK|2,75|2017-07-10 XS0803117612 0,45%
BONO|LEASEPLAN CORP|1,38|2018-09-24 XS1295413345 0,45%
BONO|CARREFOUR BANQUE|0,75|2019-10-21 XS1301773799 0,44%
BONO|VALLOUREC SA|3,25|2019-08-02 FR0011302793 0,43%
BONO|ARCELOR MITTAL|1,89|2018-04-09 XS1214673565 0,43%
BONO|DISTRIBUIDORA INTERN|1,50|2019-07-22 XS1088135634 0,42%
BONO|ICAP GROUP HOLDING|3,13|2019-03-06 XS1041793123 0,42%
BONO|VOLTA ELECTRICITY|1,99|2019-02-12 PTTGUOOM0017 0,42%
DEPOSITOS|IBERCAJA BANCO|0,56|2016-06-03 0,41%
BONO|INTESA SANPAOLO|3,84|2017-10-25 IT0004851231 0,41%
BONO|C.A. MADRID|2,88|2019-04-06 ES0000101586 0,40%
ACCIONES|TNT EXPRESS NV NL0009739424 0,39%
BONO|CITIGROUP|5,00|2019-08-02 XS0197646218 0,38%
BONO|JUNTA DE GALICIA|6,13|2018-04-03 ES0001352477 0,38%
BONO|BUZZI UNICEM SPA|6,25|2018-09-28 XS0835273235 0,38%
BONO|TELECOM ITALIA SPA|4,50|2021-01-25 XS1020952435 0,38%
BONO|DEUTSCHE PFANDBRIEF|1,25|2019-02-04 DE000A13SWD8 0,38%
BONO|ENEL SPA|4,88|2018-02-20 IT0004794142 0,37%
BONO|POSTNL NV|5,38|2017-11-14 NL0006133175 0,37%
BONO|AUTOROUTES PARIS|0,57|2020-01-03 FR0013054020 0,36%
BONO|FGA CAPITAL IRELAND|4,00|2018-10-17 XS0982584004 0,36%
BONO|C.A. ARAGON|3,75|2018-04-01 ES0000107419 0,36%
BONO|ARCELOR MITTAL|5,88|2017-11-17 XS0559641146 0,36%
BONO|CASSA DEL TRENTINO|4,75|2016-12-20 XS0314997635 0,36%
BONO|REPUBLIC ICELAND|2,50|2020-07-15 XS1086879167 0,35%
BONO|THYSSENKRUPP AG|4,00|2018-08-27 DE000A1R08U3 0,35%
BONO|MEDIOBANCA|2,40|2018-09-30 IT0004955685 0,35%
BONO|INTESA SANPAOLO|2,56|2018-05-15 IT0004909013 0,35%
BONO|PROSEGUR|2,75|2018-04-02 XS0904823431 0,35%
BONO|MEDIOBANCA|3,12|2017-03-31 IT0004689755 0,35%
BONO|UNICREDIT SPA|3,14|2017-06-30 IT0004725914 0,35%
BONO|INTESA SANPAOLO|3,00|2017-08-03 IT0004619364 0,35%
BONO|CASINO GUICHARD|4,38|2017-02-08 FR0010850719 0,34%
BONO|JUNTA DE GALICIA|1,37|2019-05-10 ES0001352543 0,34%
ACCIONES|ITALCEMENTI IT0001465159 0,34%
BONO|INTESA SANPAOLO|0,83|2020-06-15 XS1246144650 0,34%
BONO|ANGLO AMER CAP|4,38|2016-12-02 XS0470632646 0,34%
BONO|BBVA|0,26|2017-02-15 ES0214973069 0,33%
BONO|SANTANDER CONS BANK|0,63|2018-04-20 XS1218217377 0,33%
BONO|AT&T INC|0,37|2019-06-04 XS1144084099 0,33%
BONO|CFCM NORD EUROPE|0,56|2019-07-30 FR0012057412 0,33%
DEPOSITOS|IBERCAJA BANCO|0,56|2016-09-30 0,33%
DEPOSITOS|IBERCAJA BANCO|0,44|2017-01-13 0,33%
BONO|SANTANDER CONS FINAN|0,32|2017-07-07 XS1254146134 0,33%
PAGARE|B.SABADELL|0,60|2016-09-21 ES0513862AH8 0,33%
CEDULAS|BANCO COMER. PORTUG.|4,75|2017-06-22 PTBCUB1E0005 0,33%
BONO|BANKINTER|0,57|2016-06-16 ES0213679154 0,33%
BONO|CCTS EU|0,76|2020-12-15 IT0005056541 0,33%
BONO|SANTAN INTNL DEBT|0,39|2020-03-04 XS1195284705 0,33%
BONO|GLENCORE FINANCE|3,38|2020-09-30 XS0974877150 0,32%
BONO|SKY PLC|0,62|2020-04-01 XS1212467911 0,32%
BONO|TESCO|3,38|2018-11-02 XS0697395472 0,32%
BONO|GEN.VALENCIANA|4,00|2016-11-02 XS0273564434 0,31%
BONO|ANHEUSER-BUSCH|0,51|2020-03-17 BE6285450449 0,30%
BONO|FCE BANK PLC|1,01|2018-08-11 XS1362349869 0,30%
BONO|ABBEY NAT. TREASURY|1,13|2022-01-14 XS1166160173 0,30%
BONO|FINMECCANICA SPA|4,50|2021-01-19 XS0999654873 0,28%
BONO|BP CIVIDALE|6,50|2017-02-23 IT0004800857 0,28%
BONO|HEIDELBERGCEMENT LUX|5,63|2018-01-04 DE000A0TKUU3 0,27%
BONO|NOMURA EUROPE|1,13|2020-06-03 XS1241710323 0,27%
BONO|SOLVAY|0,62|2017-12-01 BE6282455565 0,27%
BONO|RHEINMETALL|5,25|2017-09-22 XS0542369219 0,26%
BONO|POSTE VITA SPA|2,88|2019-05-30 XS1072613380 0,26%
BONO|FCE BANK PLC|0,30|2018-02-10 XS1186131634 0,26%
CEDULAS|AYT CEDULAS CAJAS GL|0,53|2018-02-22 ES0312298039 0,26%
BONO|TESCO|5,88|2016-09-12 XS0386772684 0,26%
ACCIONES|ENEL SPA IT0003128367 0,26%
BONO|UNICREDIT SPA|1,23|2017-09-01 XS0626669781 0,25%
BONO|C.A. ARAGON|4,00|2018-09-20 ES0000107427 0,25%
PAGARE|B.SABADELL|0,60|2016-12-28 ES0513862CF8 0,25%
BONO|BARRY CALLEBAUT|6,00|2017-07-13 BE0933072291 0,25%
BONO|HSH NORDBANK|0,65|2017-01-10 DE000HSH40S5 0,25%
BONO|AGUAS BARCELONA FINA|1,94|2021-09-15 XS1107552959 0,24%
BONO|ANGLO AMER CAP|1,75|2017-11-20 XS0995039806 0,24%
BONO|JUNTA CASTILLA-LEON|4,75|2016-05-16 ES0001351271 0,24%
BONO|AMERICAN HONDA|0,18|2019-03-11 XS1288342147 0,24%
BONO|UNICREDIT SPA|1,77|2017-12-19 IT0004776230 0,24%
BONO|AREVA SA|4,63|2017-10-05 FR0011125442 0,22%
BONO|REPUB PORTUGAL|5,65|2024-02-15 PTOTEQOE0015 0,20%
BONO|ACHMEA BANK|0,88|2018-09-17 XS1291332952 0,20%
BONO|UNICREDIT SPA|3,10|2017-07-31 IT0004740350 0,20%
BONO|COMUNIDAD CANARIAS|4,93|2020-03-09 ES0000093361 0,20%
BONO|BARRY CALLEBAUT|5,63|2021-06-15 BE6222320614 0,20%
BONO|BRISA CONCESSAO|6,88|2018-04-02 PTBSSGOE0009 0,20%
BONO|RYANAIR LTD|1,88|2021-06-17 XS1077584024 0,19%
BONO|MEDIOBANCA|4,50|2020-05-14 IT0004608797 0,19%
BONO|FCA CAPITAL IRELAND|1,25|2018-06-13 XS1321405968 0,19%
BONO|VOLVO TREASURY AB|0,23|2017-09-11 XS1107638832 0,19%
BONO|UNICREDIT SPA|2,70|2018-06-04 IT0004918543 0,19%
CEDULAS|CAJAS RURALES UNIDAS|3,75|2018-11-22 ES0422714024 0,19%
BONO|REMY COINTREAU SA|5,18|2016-12-15 FR0010914408 0,18%
BONO|3 I GROUP PLC|5,63|2017-03-17 XS0495913229 0,18%
ACCIONES|ATLANTIA IT0003506190 0,18%
BONO|REDEXIS GAS FINANCE|2,75|2021-04-08 XS1050547931 0,18%
BONO|HEIDELBERGCEMENT LUX|3,25|2021-10-21 XS1002933072 0,18%
BONO|RENAULT S.A|5,63|2017-03-22 FR0010871541 0,18%
ACCIONES|SABMILLER PLC GB0004835483 0,18%
BONO|GLENCORE FINANCE CAN|5,25|2017-06-13 XS0305188533 0,17%
BONO|GEN.CATALUÑA|4,95|2020-02-11 ES00000950E9 0,17%
BONO|GEN.CATALUÑA|4,75|2018-06-04 ES0000095929 0,17%
BONO|UNICREDIT SPA|2,00|2017-07-31 IT0004984198 0,17%
ACCIONES|VODAFONE GROUP GB00BH4HKS39 0,17%
BONO|UNICREDIT SPA|1,60|2017-12-23 IT0005004855 0,17%
ACCIONES|VINCI SA FR0000125486 0,17%
BONO|UNICREDIT SPA|1,79|2017-10-31 IT0004762578 0,17%
BONO|TELEFONICA EMISIONES|0,61|2017-04-10 XS1053304991 0,17%
BONO|C.A. ARAGON|0,81|2016-12-15 ES0000107161 0,17%
DEPOSITOS|IBERCAJA BANCO|0,46|2016-12-16 0,17%
DEPOSITOS|BANCA MARCH|0,33|2016-06-03 0,16%
BONO|ALBEMARLE|1,88|2021-12-08 XS1148074518 0,16%
BONO|MEDIOBANCA|0,13|2017-12-21 IT0003974760 0,16%
BONO|SANTANDER ISSUANCES|0,51|2017-03-23 XS0291652203 0,16%
BONO|MEDIOBANCA|0,34|2017-04-29 XS0605994242 0,16%
BONO|INTESA SANPAOLO|4,20|2017-03-03 IT0004682545 0,16%
BONO|UNIPOL BANCA|5,55|2017-01-20 IT0004789274 0,15%
BONO|CAIXABANK|3,13|2018-05-14 ES0340609199 0,14%
BONO|BSCH ISSUANCES LTD|0,60|2019-05-29 XS0301810262 0,14%
ACCIONES|LOUIS VUITTON FR0000121014 0,12%
ACCIONES|LLOYDS GB0008706128 0,12%
BONO|BPE FINANCIACIONES|2,50|2017-02-01 XS1017790178 0,12%
BONO|HEINEKEN NV|1,25|2021-09-10 XS1288852939 0,11%
ACCIONES|ENI IT0003132476 0,11%
ACCIONES|AXA SA FR0000120628 0,10%
BONO|CARREFOUR BANQUE|0,31|2020-03-20 XS1206712868 0,10%
BONO|C.F. NAVARRA|4,30|2020-02-17 ES0001353269 0,10%
ACCIONES|IBERDROLA ES0144580Y14 0,10%
BONO|PORTUGAL TEL FINANCE|5,88|2018-04-17 XS0843939918 0,10%
ACCIONES|HSBC HOLDINGS GB0005405286 0,09%
BONO|BANKIA SA|3,50|2019-01-17 ES0313307003 0,09%
ACCIONES|ABERTIS ES0111845014 0,09%
BONO|C.A. LA RIOJA|3,25|2016-06-03 ES0000103038 0,09%
BONO|GLENCORE FINANCE|4,63|2018-04-03 XS0767815599 0,09%
BONO|INTESA SANPAOLO|2,25|2018-07-18 XS0831556476 0,09%
ACCIONES|NOVARTIS CH0012005267 0,08%
DEPOSITOS|UNICAJA BANCO|0,48|2016-06-03 0,08%
ACCIONES|ROCHE HOLDINGS CH0012032048 0,07%
BONO|CELANESE US HOLDINGS|3,25|2019-10-15 XS1110862148 0,07%
BONO|UBI BANCA|2,75|2017-04-28 XS0986090164 0,07%
BONO|BANCA IMI|2,40|2016-10-30 IT0004532187 0,07%
ACCIONES|JOHNSON & JOHNSON US4781601046 0,07%
BONO|GLENCORE FINANCE|1,25|2021-03-17 XS1202846819 0,06%
ACCIONES|TOTAL FR0000120271 0,06%
ACCIONES|VIVENDI FR0000127771 0,06%
ACCIONES|TELEFONICA ES0178430E18 0,06%
ACCIONES|WALT DISNEY CO US2546871060 0,06%
ACCIONES|FREENET AG DE000A0Z2ZZ5 0,06%
ACCIONES|ROYAL DUTCH SHELL GB00B03MM408 0,06%
ACCIONES|PRUDENTIAL CORPORATI GB0007099541 0,05%
ACCIONES|ALPHABET INC COM US02079K1079 0,05%
BONO|JUNTA DE GALICIA|3,89|2016-05-10 ES0001352501 0,05%
ACCIONES|WPP JE00B8KF9B49 0,05%
ACCIONES|UBS GROUP AG CH0244767585 0,05%
ACCIONES|VALEO FR0000130338 0,05%
ACCIONES|MUNICHRE DE0008430026 0,04%
ACCIONES|ING GROEP NV NL0000303600 0,04%
ACCIONES|SES LU0088087324 0,04%
ACCIONES|SWISSCOM CH0008742519 0,04%
ACCIONES|FERROVIAL (ant cint) ES0118900010 0,04%
ACCIONES|AMEC FOSTER GB0000282623 0,04%
ACCIONES|ENDESA S.A. ES0130670112 0,04%
ACCIONES|BNP PARIBAS FR0000131104 0,04%
ACCIONES|SAP SE DE0007164600 0,04%
ACCIONES|SANOFI SA FR0000120578 0,04%
ACCIONES|RELX NV NL0006144495 0,04%
BONO|VOLTA ELECTRICITY|2,98|2018-02-16 PTTGUFOM0018 0,03%
ACCIONES|TECHNIP FR0000131708 0,03%
ACCIONES|BASF SE DE000BASF111 0,03%
ACCIONES|ENGIE SA FR0010208488 0,03%
ACCIONES|LAR ESPAÑA REAL ES0105015012 0,03%
ACCIONES|BAYER DE000BAY0017 0,03%
ACCIONES|ALLIANZ SE DE0008404005 0,02%
ACCIONES|DIAGEO GB0002374006 0,02%
ACCIONES|RIO TINTO PLC GB0007188757 0,02%
BONO|TELEFONICA EMISIONES|5,81|2017-09-05 XS0828012863 0,02%
ACCIONES|DAIMLER AG DE0007100000 0,02%

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 MIXTO FLEXIBLE 15, FI

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

1.604,2M

patrimonio

61,9k

partícipes

2, en una escala de 1 al 7

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