PBP CARTERA ACTIVA/ ACTIVA 50
Cartera
Este fondo se corresponde con los siguientes códigos ISIN: ES0157037013
Patrimonio | 12.386.516€ |
---|---|
Partícipes | 105 |
Patrimonio por partícipe | 117.966,82€ |
Cartera del fondo a 2018-03-31
El fondo invierte en 33 activos diferentes:
Activo | ISIN | Porcentaje |
---|---|---|
IIC AMUNDI FUNDS CASH EURO "RE" EUR | LU0987193264 | 7,16% |
IIC PBP AHORRO CORTO PLAZO FI CLASE A | ES0147074035 | 6,08% |
IIC EUROVALOR PARTICULARES VOLUMEN "I" FI | ES0133877003 | 5,69% |
IIC ROBECO BP GLOBAL PREMIUM EQUITIES "I" EUR | LU0233138477 | 4,86% |
IIC PBP BOLSA EUROPA FI CLASE A | ES0147101036 | 4,71% |
Acciones PBP CARTERA FLEXIBLE SICAV | ES0168832030 | 4,12% |
IIC JUPITER DYNAMIC BOND "D" EUR | LU0895805017 | 3,53% |
IIC ISHARES S&P 500 EUR HEDGED UCITS (IUSE LN) | IE00B3ZW0K18 | 3,48% |
IIC CARMIGNAC SECURITE "F" EUR | LU0992624949 | 3,43% |
IIC FIRST EAGLE AMUNDI INTERNATIONAL "IHE" EUR_H | LU0433182507 | 3,21% |
IIC LYXOR ETF EUROSTOXX 50 EUR (MSE FP) | FR0007054358 | 3,00% |
IIC PIMCO DYNAMIC MULTIASSET "I" EUR | IE00BYQDND46 | 2,96% |
IIC BGF EURO SHORT DURATION BOND "D2" EUR | LU0329592371 | 2,94% |
IIC PICTET EMERGING LOCAL CURRENCY DEBT "HI" EUR_H | LU0340553600 | 2,90% |
IIC PIMCO INCOME "I" EUR_H | IE00B80G9288 | 2,78% |
IIC M&G OPTIMAL INCOME "CH" EUR_H | GB00B1VMD022 | 2,62% |
IIC PARVEST ENHANCED CASH 6 MONTHS "I" EUR | LU0325598752 | 2,55% |
IIC AXA WF - EURO CREDIT SHORT DURATION "I" EUR | LU0227127643 | 2,40% |
IIC PBP RENTA FIJA FLEXIBLE FI CLASE A | ES0147140034 | 2,38% |
IIC LYXOR ETF BUND DAILY SHORT EUR (BUNS FP) | LU1523099700 | 2,24% |
IIC ALLIANZ ENHANCED SHORT TERM EURO "IT" EUR | LU0293295597 | 2,24% |
IIC CANDRIAM LONG SHORT CREDIT "V" EUR | FR0011510031 | 2,23% |
IIC BSF FIXED INCOME STRATEGIES "D2" EUR | LU0438336421 | 2,22% |
IIC ABERDEEN GLOBAL JAPANESE EQUITY "I2" EUR | LU0946090205 | 2,16% |
IIC SCHRODER ISF ASIAN OPPORTUNITIES "C" EUR | LU0248183658 | 2,05% |
IIC PIMCO DIVERSIFIED INCOME "I" EUR_H | IE00B1JC0H05 | 1,96% |
IIC LYXOR ETF COMMODITIES REUTER CRB TR EUR (CRB F | FR0010270033 | 1,80% |
IIC THREADNEEDLE CREDIT OPPORTUNITIES "2" IGA EUR | GB00B3D8PZ13 | 1,72% |
IIC PBP BOLSA ESPAÑA FI CLASE A | ES0115063036 | 1,62% |
IIC DB X TRACKERS MSCI EMERGING MARKETS INDEX UCIT | LU0292107645 | 1,49% |
IIC ISHARES STOXX 600 OIL & GAS EUR (SXEPEX GY ) | DE000A0H08M3 | 1,36% |
IIC BGF EURO BOND "D2" EUR | LU0297941469 | 1,13% |
Acciones PBP DOLAR PREMIUM SICAV | ES0135941039 | 0,55% |
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
PBP CARTERA ACTIVA/ ACTIVA 50
Fondo de inversión armonizado gestionado por POPULAR GESTION PRIVADA, S.G.I.I.C., S.A.
12,4M
patrimonio
105
partícipes