RENTA 4 NEXUS, FI
Cartera
Este fondo se corresponde con los siguientes códigos ISIN: ES0173268006
Patrimonio | 192.686.327€ |
---|---|
Partícipes | 7.893 |
Patrimonio por partícipe | 24.412,31€ |
Cartera del fondo a 2017-06-30
El fondo invierte en 56 activos diferentes:
Activo | ISIN | Porcentaje |
---|---|---|
DEP.UNICAJA 0,08% VTO.18/05/2018 | 6,05% | |
DEP.BCO.POPULAR 0,45% VTO 14/09/2018 | 5,04% | |
GRIFOLS SA 3.2 05/01/25 | XS1598757760 | 3,90% |
EUROPEAN INVESTMENT BANK 0.425880% VTO. 18/02/2022 | XS1190980927 | 3,79% |
PAGARE THYSSENKRUPP 0.18% 18/08/2017 | DE000A2GESJ6 | 3,53% |
OBRASCON HUARTE LAIN5,5 VTO.15/03/23(CALL03/15/18) | XS1206510569 | 3,19% |
PAGARE ACS VTO.0.760 03/11/2017 | XS1515252028 | 3,15% |
APERAM (AMSTERDAM) | LU0569974404 | 3,08% |
DEP.BCO.POPULAR 0,85% VTO.30/03/2018 | 3,02% | |
INDRA SISTEMAS SA 1.75% VTO.17/10/18 | XS0981383747 | 2,85% |
DUFRY FINANCE 4.5 07/15/2022 | XS1087753353 | 2,65% |
ACCIONA S.A. 1.55% vto. 11/10/2019 | XS1592885013 | 2,52% |
ACCIONA S.A. 1.15% VTO.11/30/18 | XS1619283309 | 2,26% |
CVX FLOAT 1.5761% VTO.16/05/2021 | US166764BF64 | 2,22% |
DEP.BCO.POPULAR 0,650% VTO.30/07/2018 | 2,02% | |
OBRASCON HUARTE LAIN SA.VTO.15/03/22(CALL03/15/18) | XS1043961439 | 1,89% |
GOLDMAN SACHS GROUP INC | US38141EB818 | 1,78% |
INDRA SISTEMAS | ES0118594417 | 1,43% |
DUFRY FINANCE SCA 4,50% 01/08/2023 | XS1266592457 | 1,31% |
REPSOL INTL FIN 4.5 25/03/75 | XS1207058733 | 1,30% |
BANCO MARE NOSTRUM 9 VTO 11/16/2026 | ES0213056007 | 1,27% |
RENAULT | FR0000131906 | 1,20% |
AHOLD DELHAIZE NV | NL0011794037 | 1,18% |
REP.COLOMBIA 7.75% VTO.14/04/2021 | XS0502258444 | 1,09% |
DAIMLER AG | DE0007100000 | 1,05% |
LEASEPLAN CORPORATION NV VTO.18/01/2021 | XS1551441907 | 1,00% |
PAGARE ACS VTO.0.760 31/10/2017 | XS1514849568 | 0,95% |
SHIRE PLC -- LONDRES | JE00B2QKY057 | 0,88% |
AT&T INC | US00206RCC43 | 0,81% |
SMURFIT KAPPA GROUP | IE00B1RR8406 | 0,76% |
FERROVIAL, S.A. | ES0118900010 | 0,75% |
MERLIN PROPERTIES SOCIMI VTO 11/02/26 | XS1512827095 | 0,75% |
ROCHE HOLDG | CH0012032048 | 0,73% |
BP CAPITAL MARKETS PLC 03/05/2019 | US05565QDC96 | 0,71% |
SMURFIT KAPPA ACQ. 2.375 VTO 01/02/2024 | XS1555147369 | 0,52% |
HEIDELBERGCEMENT | DE0006047004 | 0,51% |
WPP LN | JE00B8KF9B49 | 0,51% |
BNP PARIBAS | FR0000131104 | 0,51% |
MUENCHENER | DE0008430026 | 0,51% |
AXA UAP | FR0000120628 | 0,48% |
CAP GEMINI | FR0000125338 | 0,43% |
ENAGAS | ES0130960018 | 0,43% |
ACS ACTIVIDADES 2.875 01/04/2020 | XS1207309086 | 0,43% |
SPIE SA 3.125 22/03/2024 | FR0013245263 | 0,42% |
ROYAL DUTCH SHELL-AM | GB00B03MLX29 | 0,41% |
FRESENIUS FIN IRELAND PL VTO 01/02/2027 | XS1554373677 | 0,36% |
ARYZTA AG | CH0043238366 | 0,34% |
ACERINOX | ES0132105018 | 0,30% |
ECP ACCIONA 0.75% VTO.27/04/2018 | XS1605566840 | 0,30% |
BANKINTER SA 8.625 29/12/49 | XS1404935204 | 0,23% |
TELEFONICA EUROPE 6.75% 11/26/49 | XS0997326441 | 0,19% |
DIA | ES0126775032 | 0,16% |
PAGARE ACCIONA 0,8 % VTO:04/08/2017 | XS1470792497 | 0,15% |
MORGAN STANLEY 2.281780 VTO. 24/10/2023 | US61746BEC63 | 0,13% |
TSY INFL IX N/B 0.375% VTO.15/7/23 | US912828VM96 | 0,09% |
MERLIN PROPERTIES | ES0105025003 | 0,09% |
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 NEXUS, FI
Fondo de inversión armonizado gestionado por RENTA 4 GESTORA, S.G.I.I.C., S.A.
192,7M
patrimonio
7,9k
partícipes
4, en una escala de 1 al 7
perfil de riesgo