RENTA 4 VALOR RELATIVO, FI
Cartera
Este fondo se corresponde con los siguientes códigos ISIN: ES0128522002
Patrimonio | 55.894.533€ |
---|---|
Partícipes | 2.009 |
Patrimonio por partícipe | 27.822,07€ |
Cartera del fondo a 2014-06-30
El fondo invierte en 47 activos diferentes:
Activo | ISIN | Porcentaje |
---|---|---|
DEP.LIBERBANK 1,30% VTO:08/05/2016 | 6,17% | |
PAGARE POPULAR ESPAÑOL VTO. 16/10/2015 | ES0513806OK0 | 4,62% |
GAZ CAPITAL SA VCTO.13/02/2018 | XS0327237136 | 4,20% |
KPN 6.125 VTO. 29/03/2049 | XS0903872355 | 4,01% |
RENTA 4 RENTA FIJA INTERNACIONAL | ES0173269004 | 3,98% |
ALMIRALL SA VTO.01/04/2021 | XS1048307570 | 3,91% |
BANKIA SA 4.% VTO.22/05/2024 | ES0213307004 | 3,69% |
LLOYDS BANK 11.875% VTO. 16/12/2021 | XS0717735400 | 3,08% |
REPO LETRA DEL TESORO VTO.20/02/15 | ES0L01502209 | 2,83% |
COMUNIDAD DE MADRID 4.688% VTO.12/03/2020 | ES0000101396 | 2,81% |
PETROBRAS GLOB.FIN 2.59335% VTO.17/03/2017 | US71647NAJ81 | 2,75% |
OBLIGACIONES DEL ESTADO 3.8 | ES00000124W3 | 2,71% |
IBERDROLA INTL BV 5.75% PERPETUAL CALL | XS0808632763 | 2,70% |
AMERICA MOVIL SAB DE C.V. 5.125% VTO 06-09-73 | XS0969340768 | 2,65% |
NATIONWIDE BLDG SOCIETY 4.125% 20-03-2023 | XS0906394043 | 2,63% |
AAREAL BANK AG 4.25 18/03/26 | DE000A1TNC94 | 2,61% |
ENEL SPA VTO 15/0/12075 | XS1014997073 | 2,60% |
BBVA SUB CAPITAL UNIPAPERS 3.5% 11/04/2024 | XS1055241373 | 2,55% |
BANCO ESPIRITO SANTO 4.75% VTO.15/01/2018 | PTBENJOM0015 | 2,48% |
ENBW 3.625 % VTO.02/04/2076 | XS1044811591 | 2,47% |
BANCO ESPIRITO SANTO 4.00% VTO.21/01/2019 | PTBENKOM0012 | 2,41% |
BANCAJA EMISIONES SA UNI FLOTANTE VTO.14/11/2017 | XS0329522832 | 2,30% |
ROYAL BK SCOTLND GRP PLC 6 19-12-23 | US780097AZ42 | 1,96% |
RURAL HIPOT.SERIE 4-A FTH 13/2/33 | ES0358283002 | 1,43% |
REN FINANCE BV 4.75 VTO.16/10/2020 | XS0982774399 | 1,40% |
TELEFONICA EUROPE 6.5% 09/29/49 | XS0972570351 | 1,36% |
NH HOTELES 6.875 VTO 15/11/2019 | XS0954676283 | 1,36% |
EDP FINANCE BV 4.75% VTO.26/09/2016 | XS0435879605 | 1,33% |
GALP ENERGIA SGPS SA 01/25/19 | PTGALIOE0009 | 1,32% |
AYT CEDULAS CAJA GLOBAL 14/12/2022 | ES0312298021 | 1,32% |
PETBROBRAS GLOBAL FINANCE 4.75 01/14/25 | XS0982711714 | 1,31% |
ORANGE VTO (PERPETUAL) | XS1028599287 | 1,31% |
CASINO GUICHARD PERRACH 4.87% VTO.31/01/2049 | FR0011606169 | 1,30% |
THYSSENKRUPP AG 3.125. VTO.25/10/2019 | DE000A1R0410 | 1,29% |
TELEFONICA EUROPE 5% 31/03/49 | XS1050460739 | 1,29% |
PIAGGO & CO SPA 4.625% 30/04/2021 | XS1061086846 | 1,29% |
PETROBRAS GLOBAL FIN CO VCTO.01/04/2019 | XS0835886598 | 1,29% |
ING BANK 3.625 VTO 25/02/2026 | XS1037382535 | 1,29% |
BBVA INTL PREF UNIPERSON 21/10/2014 | XS0457228137 | 1,27% |
ARCELORMITTAL 3% VTO.25/03/2019 | XS1048518358 | 1,25% |
CEDULAS TDA 1 FONDO ACT I | ES0371622004 | 1,20% |
ROYAL BANK OF SCOTLAND PLC 10.5% 16/03/22 | XS0753308807 | 1,13% |
TSY INFL IXN 7B 15/02/43 | US912810RA88 | 0,84% |
ISHARES EM ASIA LOCAL GOVT | IE00B6QGFW01 | 0,56% |
TSY INFL IX N/B 0.375% VTO.15/7/23 | US912828VM96 | 0,46% |
ISHARES BARCLAYS EM LOCAL | IE00B5M4WH52 | 0,42% |
BBVA HIPOTECARIO 3 FTA 21/11/2038 | ES0314227010 | 0,12% |
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 VALOR RELATIVO, FI
Fondo de inversión armonizado gestionado por RENTA 4 GESTORA, S.G.I.I.C., S.A.
55,9M
patrimonio
2,0k
partícipes
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