LIBERBANK MIX-RENTA FIJA, FI
Cartera
Este fondo se corresponde con los siguientes códigos ISIN: ES0111028033
Patrimonio | 41.696.661€ |
---|---|
Partícipes | 2.021 |
Patrimonio por partícipe | 20.631,70€ |
Cartera del fondo a 2017-03-31
El fondo invierte en 85 activos diferentes:
Activo | ISIN | Porcentaje |
---|---|---|
Obligaciones|DIRECCION GENERAL DE|4,100|2018-07 | ES00000121A5 | 3,32% |
Bonos|US GOVT|0,625|2021-03-31 | US912828Q376 | 3,24% |
Acciones|TELEFONICA | ES0178430E18 | 2,02% |
Bonos|DIRECCION GENERAL DE|4,750|2017-09-30 | ES00000123R5 | 1,84% |
Bonos|ROYAL BANK OF SCOTLA|2,500|2023-03-22 | XS1382368113 | 1,82% |
Acciones|INDITEX | ES0148396007 | 1,81% |
Bonos|JUNTA EXTREMADURA|4,100|2020-04-30 | ES0000099137 | 1,81% |
Bonos|GENERAL MILLS INC|0,100|2020-01-15 | XS1346107433 | 1,78% |
Bonos|GOBIERNO DE ITALIA|0,243|2022-12-15 | IT0005137614 | 1,77% |
Bonos|GOBIERNO DE ITALIA|0,167|2022-06-15 | IT0005104473 | 1,76% |
Acciones|VESTASA | DK0010268606 | 1,55% |
Acciones|SAP AG (PREF.) | DE0007164600 | 1,51% |
Acciones|ELIOR | FR0011950732 | 1,50% |
Acciones|BILBAO VIZCAYA ARGENTARIA | ES0113211835 | 1,47% |
Acciones|AIRBUS GROUP | NL0000235190 | 1,35% |
Bonos|COMUNIDAD AUTONOMA M|2,875|2019-04-06 | ES0000101586 | 1,33% |
Bonos|LIBERBANK SA|6,875|2027-03-14 | ES0268675032 | 1,27% |
Bonos|SANTANDER CONSUMER F|0,900|2020-02-18 | XS1188117391 | 1,26% |
Bonos|VODAFONE GROUP|0,150|2019-02-25 | XS1372838083 | 1,26% |
Bonos|CARREFOUR BANQUE|0,087|2021-04-20 | FR0013155868 | 1,25% |
Bonos|BARCLAYS PLC|6,000|2021-01-14 | XS0525912449 | 1,24% |
Acciones|LVMH | FR0000121014 | 1,24% |
Bonos|AUCHAN HOLDING SA|0,625|2022-02-07 | FR0013236312 | 1,23% |
Bonos|REN FINANCE BV|4,750|2020-10-16 | XS0982774399 | 1,22% |
Bonos|BAT INTL FINANCE PLC|3,625|2021-11-09 | XS0704178556 | 1,21% |
Bonos|REPSOL|4,875|2019-02-19 | XS0733696495 | 1,18% |
Bonos|ELECTRICITE DE FRANC|2,250|2021-04-27 | FR0011637586 | 1,15% |
Bonos|VOLKSWAGEN AG|2,375|2022-09-06 | XS0823975585 | 1,15% |
Bonos|MORGAN STANLEY|2,375|2021-03-31 | XS1050547857 | 1,14% |
Bonos|HEINEKEN|2,000|2021-04-06 | XS0911691003 | 1,14% |
Bonos|CAIXABANK|5,000|2023-11-14 | XS0989061345 | 1,13% |
Bonos|RYANAIR HOLDING|1,875|2021-06-17 | XS1077584024 | 1,12% |
Bonos|PHILIP MORRIS INTL.|1,750|2020-03-19 | XS0906815088 | 1,11% |
Bonos|BBVA|3,500|2027-02-10 | XS1562614831 | 1,11% |
Bonos|AP MOLLER MAERSK AS|1,750|2021-03-18 | XS1381693248 | 1,10% |
Bonos|CREDIT SUISSE AG LON|1,125|2020-09-15 | XS1291175161 | 1,09% |
Acciones|INGENICO GROUP | FR0000125346 | 1,09% |
Acciones|ALLIANZ | DE0008404005 | 1,09% |
Bonos|RENAULT|1,125|2019-09-30 | FR0012173144 | 1,08% |
Bonos|DIA DISTRIB. INTL. A|1,000|2021-04-28 | XS1400342587 | 1,08% |
Bonos|GOLDMAN SACHS|0,168|2021-07-27 | XS1458408306 | 1,08% |
Bonos|TOYOTA MOTOR CREDIT|1,000|2021-09-10 | XS1107890763 | 1,08% |
Bonos|VOLKSWAGEN BANK GMBH|0,000|2018-07-16 | XS1167637294 | 1,08% |
Bonos|ANZ NEW ZEALAND INT/|0,625|2021-06-01 | XS1422919594 | 1,07% |
Bonos|DEUTSCHE BANK|1,000|2019-03-18 | DE000DL19SQ4 | 1,07% |
Bonos|SANTANDER INTL DEBT|0,068|2020-03-04 | XS1195284705 | 1,07% |
Bonos|BRITISH TELECOMMUNIC|0,625|2021-03-10 | XS1377680381 | 1,06% |
Bonos|MCDONALDS CORPORATIO|0,000|2019-08-26 | XS1237187718 | 1,06% |
Bonos|JUNTA DE ANDALUCIA|4,850|2020-03-17 | ES0000090714 | 1,00% |
Bonos|TELEFONICA|4,693|2019-11-11 | XS0462999573 | 1,00% |
Acciones|CARREFOUR | FR0000120172 | 0,99% |
Bonos|COMUNIDAD ARAGON|2,875|2019-02-10 | ES0000107443 | 0,99% |
Acciones|BANCO SANTANDER | ES0113900J37 | 0,98% |
Bonos|TELIASONERA|4,000|2022-03-22 | XS0680904827 | 0,98% |
Bonos|COMUNIDAD ARAGON|5,750|2017-04-19 | ES0000107096 | 0,93% |
Bonos|UNITED TECHNOLOGIES|1,125|2021-12-15 | XS1366786983 | 0,91% |
Bonos|ABBEY NATIONAL|0,094|2019-08-13 | XS1098036939 | 0,89% |
Acciones|REPSOL | ES0173516115 | 0,85% |
Bonos|JUNTA DE ANDALUCIA|5,200|2019-07-15 | XS0439945907 | 0,80% |
Acciones|GRUPO ACCIONA | ES0125220311 | 0,76% |
Bonos|EDP|2,625|2019-04-15 | XS1057345651 | 0,75% |
Acciones|ORANGE | FR0000133308 | 0,74% |
Bonos|MACQUERIE GROUP LTD|2,500|2018-09-18 | XS0972491723 | 0,74% |
Acciones|RUBIS SCA | FR0000121253 | 0,73% |
Acciones|BAYER AG | DE000BAY0017 | 0,59% |
Bonos|REDEXIS GAS FINANCE|2,750|2021-04-08 | XS1050547931 | 0,58% |
Acciones|ANHEUSER-BUSCH INBEV NV | BE0974293251 | 0,58% |
Acciones|IBERDROLA | ES0144580Y14 | 0,58% |
Acciones|BASF AG | DE000BASF111 | 0,57% |
Acciones|TOTAL SA | FR0000120271 | 0,57% |
Acciones|SIEMENS | DE0007236101 | 0,57% |
Acciones|AXA - UAP | FR0000120628 | 0,56% |
Acciones|SANOFI SYNTHELABO | FR0000120578 | 0,56% |
Acciones|DASSAULT AVIATION SA | FR0000121725 | 0,56% |
Bonos|COMUNIDAD AUTONOMA M|5,750|2018-02-01 | ES0000101545 | 0,55% |
Bonos|SANTANDER TOTTA|1,625|2019-06-11 | PTBSQEOE0029 | 0,55% |
Acciones|ENEL | IT0003128367 | 0,53% |
Acciones|BNP | FR0000131104 | 0,52% |
Acciones|SCHNEIDER ELECTRIC | FR0000121972 | 0,51% |
Acciones|NEXANS | FR0000044448 | 0,50% |
Acciones|TUI AG | DE000TUAG000 | 0,48% |
Acciones|WIRECARD AG | DE0007472060 | 0,39% |
Acciones|LIBERBANK SA | ES0168675090 | 0,35% |
Acciones|BSN GERVAIS DANONE | FR0000120644 | 0,25% |
Bonos|AT&T CORP.|1,300|2023-09-05 | XS1196373507 | 0,18% |
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
LIBERBANK MIX-RENTA FIJA, FI
Fondo de inversión armonizado gestionado por LIBERBANK GESTION, SGIIC, S.A.
41,7M
patrimonio
2,0k
partícipes
3, en una escala de 1 al 7
perfil de riesgo