RENTA 4 ACCIONES GLOBALES, FI
Cartera

Este fondo se corresponde con los siguientes códigos ISIN: ES0173128002

Patrimonio 11.812.840€
Partícipes 1.462
Patrimonio por partícipe 8.079,92€

Cartera del fondo a 2018-12-31

El fondo invierte en 207 activos diferentes:

Activos en cartera
Activo ISIN Porcentaje
JOHNSON MATTHEY PLC GB00BZ4BQC70 0,95%
BASF AG DE000BASF111 0,85%
ONTEX GROPU NV BE0974276082 0,81%
HENKEL DE0006048432 0,81%
FACEBOOK INC US30303M1027 0,80%
ASML HOLDING NV NL0010273215 0,77%
FIELMANN DE0005772206 0,76%
ATLAS COPCO AB canje SE0011166610 0,76%
OCI NV NL0010558797 0,75%
RATIONAL AG DE0007010803 0,73%
COVESTRO AG DE0006062144 0,73%
AMBEA AB SE0009663826 0,72%
DUERR AG DE0005565204 0,72%
MOHAWK INDUSTRIES INC US6081901042 0,72%
BRITISH AMERICAN TOBACCO GB0002875804 0,70%
DRAEGERWERK AG-PREF DE0005550636 0,70%
BYD CO LTD - H CNE100000296 0,69%
APPLUS SERVICES SA ES0105022000 0,68%
CONTINENTAL DE0005439004 0,68%
VISCOFAN ES0184262212 0,68%
LYONDELLBASELL INDU-CL A NL0009434992 0,66%
ORIFLAME HOLDING AG CH0256424794 0,66%
SIAC MOTOR CORP LTD CNE000000TY6 0,64%
APPLIED MATERIALS US0382221051 0,64%
FAST RETAILING CO.LTD. JP3802300008 0,63%
INDITEX ES0148396007 0,63%
IPG PHOTONICS CORP US44980X1090 0,63%
KRONES DE0006335003 0,62%
JD.COM INC-ADR US47215P1066 0,62%
PFEIFFER VACUUM TECHNOLOGY DE0006916604 0,61%
ABB LTD CH0012221716 0,61%
ESSITY AKTIEBOLAG-B SE0009922164 0,60%
VIVENDI FR0000127771 0,60%
UMICORE BE0974320526 0,59%
COLGATE PALMOLIVE US1941621039 0,58%
OMRON CORP JP3197800000 0,58%
GEA GROUP DE0006602006 0,57%
COGNEX CORP US1924221039 0,57%
PANASONIC CORP JP3866800000 0,56%
FANUC LTD. JP3802400006 0,56%
NVIDIA US67066G1040 0,53%
S&P GLOBAL INC US78409V1044 0,52%
BORGWARNER INC US0997241064 0,51%
ELI LILLY & CO US5324571083 0,51%
RPC GROUP PLC GB0007197378 0,51%
KONECRANES OYJ FI0009005870 0,48%
SOFTWARE AG DE000A2GS401 0,48%
TRACTOR SUPPLY COMPANY US8923561067 0,45%
NISSAN CHEMICAL INDUSTRIES JP3670800006 0,45%
HORMEL FOODS CORP US4404521001 0,45%
MCCORMICK AND CO INC US5797802064 0,44%
BIOGEN IDEC INC US09062X1037 0,44%
LABOR.FARMACEUTICOS ROVI ES0157261019 0,42%
ASAHI INTECC CO LTD JP3110650003 0,41%
MAC DONALD S US5801351017 0,41%
INTUIT INC US4612021034 0,41%
COSMOS PHARMACEUTICAL CORP JP3298400007 0,41%
KUKA AG DE0006204407 0,40%
HASBRO US4180561072 0,40%
UNICHARM CORP JP3951600000 0,40%
CLOROX US1890541097 0,40%
YUM BRANDS US9884981013 0,39%
EDWARDS LIFESCIENCES CORP US28176E1082 0,39%
BPOST SA BE0974268972 0,39%
ELEKTA AB SE0000163628 0,39%
BROADCOM INC US11135F1012 0,39%
EXPERIAN GROUP GB00B19NLV48 0,39%
STARBUCKS US8552441094 0,39%
ALPHABET INC- CL A US02079K3059 0,38%
SANRIO CO LTD JP3343200006 0,38%
W.W. GRAINGER INC US3848021040 0,38%
WHITBREAD GB00B1KJJ408 0,38%
F5 NETWORKS INC US3156161024 0,38%
GARTNER INC US3666511072 0,38%
COLOPLAST B ORD DK0060448595 0,38%
BUNZL PLC GB00B0744B38 0,37%
MASTERCARD INC-CLASS A US57636Q1040 0,37%
DIAGEO PLC GB0002374006 0,37%
GARMIN CH0114405324 0,37%
HALMA PLC GB0004052071 0,36%
TJX COMPANY INC US8725401090 0,36%
ORION OYJ-CLASS B FI0009014377 0,36%
CVS CAREMARK CORPORATIOM US1266501006 0,36%
SYSCO CORPORATION US8718291078 0,36%
UNILEVER CERT NL0000009355 0,36%
NOVARTIS AG REG.SHS. CH0012005267 0,36%
Reed Elsevier PLC GB00B2B0DG97 0,35%
PAYCHEX INC US7043261079 0,35%
KIMBERLY-CLARK US4943681035 0,35%
JOHNSON & JOHNSON S US4781601046 0,35%
HARGREAVES LANSDOWN PLC GB00B1VZ0M25 0,35%
METTLER-TOLEDO INTERNATIONAL US5926881054 0,35%
H&R BLOCK INC US0936711052 0,34%
IDEXX LABORATORIES INC US45168D1046 0,34%
CAPCOM CO LTD JP3218900003 0,34%
BAXTER INTERNATIONAL US0718131099 0,34%
RECKITT BENCKISER GROUP PLC GB00B24CGK77 0,34%
SHERWIN-WILLIAMS US8243481061 0,34%
HOME DEPOT INC. US4370761029 0,34%
ROBERT HALF INTL INC US7703231032 0,34%
COMPASS GROUP -- LONDRES GB00BD6K4575 0,34%
YAOKO CO LTD JP3930200005 0,34%
ADIDAS AG DE000A1EWWW0 0,33%
FASTENAL CO US3119001044 0,33%
SAP AG DE0007164600 0,33%
CRODA INTERNATIONAL PLC GB00BYZWX769 0,33%
POLO RALPH LAUREN CORP US7512121010 0,33%
ELISA OYJ FI0009007884 0,33%
INTERNATIONAL FLAVORS & FRAGANCES INC US4595061015 0,33%
BURBERRY GROUP GB0031743007 0,33%
WATERS CORP US9418481035 0,32%
KDDI CORPORATION JP3496400007 0,32%
KONE OYJ-B FI0009013403 0,32%
C.H. ROBINSON WORLDWIDE US12541W2098 0,32%
VARIAN MEDICAL SYSTEMS INC US92220P1057 0,32%
ESTEE LAUDER COMPANIES US5184391044 0,32%
MARR SPA IT0003428445 0,32%
ITV PLC GB0033986497 0,32%
BOEING US0970231058 0,32%
SECURITAS AB-B SHS SEK SE0000163594 0,32%
ALFA LAVAL AB SE0000695876 0,32%
AXFOOD AB SE0006993770 0,32%
BECHTLE AG DE0005158703 0,32%
SWEDISH MATCH SE0000310336 0,31%
PPG INDUSTRIES US6935061076 0,31%
NAKANISHI INC JP3642500007 0,31%
ORACLE CORP JAPAN JP3689500001 0,31%
MATTEL US5770811025 0,31%
JM AB SE0000806994 0,31%
ACCENTURE PLC CL A IE00B4BNMY34 0,31%
SARTORIUS AG DE0007165607 0,31%
ORACLE CORP US68389X1054 0,31%
APPLE COMPUTER INC. US0378331005 0,31%
AMPHENOL US0320951017 0,31%
FLOWSERVE CORP -- NYSE US34354P1057 0,31%
KOBENHAVNS LUFTHAVNE DK0010201102 0,31%
MONSTER BEVERAGE CORP US61174X1090 0,30%
NOVOZYMES A/S-B SHARES DK0060336014 0,30%
TEXAS INSTRUMENTS INC. US8825081040 0,30%
DSV DC Equity DK0060079531 0,30%
DOLLAR TREE INC US2567461080 0,30%
INTERCONTINENTAL HOTELS GROU GB00BD8QVH41 0,30%
HENNES & MAURITZ AB-B SHS SE0000106270 0,30%
ROCKWELL AUTOMATION INC US7739031091 0,30%
CUMMINS INC US2310211063 0,30%
SWISSCOM CH0008742519 0,29%
JAPAN TOBACO INC JP3726800000 0,29%
MOODY�S CORP US6153691059 0,29%
METSO CORPORATION FI0009007835 0,29%
BERKELEY GROUP HOLIONGS GB00B02L3W35 0,29%
RELO GROUP INC JP3755200007 0,29%
KELLOGG COMPANY US4878361082 0,29%
GEBERIT AG-REG CH0030170408 0,29%
NCC AB-B SHS SE0000117970 0,29%
PROXIMUS BE0003810273 0,29%
ASOS PLC GB0030927254 0,29%
ASSA ABLOY AB-B SE0007100581 0,29%
CYBERAGENT INC JP3311400000 0,28%
KUEHNE + NAGEL INTL AG-REG CH0025238863 0,28%
align technology US0162551016 0,28%
3M CO US88579Y1010 0,28%
SANDVIK AB SE0000667891 0,28%
H LUNDBECK A/S DK0010287234 0,28%
MAYR-MELNHOF KARTON AG AT0000938204 0,28%
SMITHS GROUP PLC GB00B1WY2338 0,28%
JB HUNT TRANSPORT SERVICES INC US4456581077 0,27%
JENOPTIK AG NUEVAS DE000A2NB601 0,27%
NEXT PLC GB0032089863 0,27%
MARRIOTT INTERNATIONAL INC US5719032022 0,27%
COGNIZANT TECH SOLUTIONS-A US1924461023 0,26%
GAP INC. US3647601083 0,26%
L BRANDS INC US5017971046 0,26%
FUCHS PETROLUB DE0005790406 0,26%
SKF AB - B SHARES SE0000108227 0,26%
MODERN TIPES GROUP-B SHS SE0000412371 0,26%
MISUMI GROUP INC JP3885400006 0,26%
LOCKHEED MARTIN CORP US5398301094 0,26%
KWS SAAT SE DE0007074007 0,26%
FAGERHULT AB SE0010048884 0,25%
IBM US4592001014 0,25%
GENERAL DINAMICS US3695501086 0,25%
LEGRAND SA FR0010307819 0,25%
NITTO DENKO JP3684000007 0,25%
BEST BUY US0865161014 0,25%
SKYWORKS SOLUTIONS INC US83088M1027 0,25%
LENZING AG AT0000644505 0,25%
OESTERREICHISCHE POST AG AT0000APOST4 0,25%
INFINEON TECHNOLOGIES DE0006231004 0,24%
WARTSILA OYJ ABP FI0009003727 0,24%
BREMBO SPA IT0005252728 0,24%
INGENICO GROUP FR0000125346 0,24%
KOTOBUKI SPIRITS CO LTD JP3299600001 0,24%
HUGO BOSS AG ORD DE000A1PHFF7 0,24%
NOKIAN RENKAAT FI0009005318 0,23%
M3 INC JP3435750009 0,23%
TAPESTRY INC US8760301072 0,23%
UNITED INTERNET AG-REG SHARE DE0005089031 0,23%
JGC CORP JP3667600005 0,22%
ADECCO SA REG-CHF- CH0012138605 0,22%
NORDDEUTSCHE AFFINERIE DE0006766504 0,21%
NIHON M&A CENTER INC JP3689050007 0,20%
FLUOR US3434121022 0,19%
TAKKT DE0007446007 0,19%
SHIMAMURA CO LTD JP3358200008 0,19%
LEOPALACE21 CORP JP3167500002 0,18%
UNITED TECHNOLOGIES US9130171096 0,10%
EPIROC AB-A SE0011166933 0,08%

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

RENTA 4 ACCIONES GLOBALES, FI

Fondo de inversión armonizado gestionado por RENTA 4 GESTORA, S.G.I.I.C., S.A.

11,8M

patrimonio

1,5k

partícipes

6, en una escala de 1 al 7

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