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 2017-03-31

El fondo invierte en 96 activos diferentes:

Activos en cartera
Activo ISIN Porcentaje
BANCO MARE NOSTRUM 9 VTO 11/16/2026 ES0213056007 4,70%
IBERCAJA CAZAR 5% VTO 28-07-2020 CALL ES0244251007 4,11%
TELEFONICA EUROPE 7.625% 18/09/2021 XS0972588643 3,41%
UNNIM 1.382% VTO 29/03/2049 ES0214974075 2,61%
ENEL SPA 6.5% VTO.10/01/2019 XS0954675129 2,33%
BANK OF AMERICA VTO. 07/02/2022 XS1560862580 2,24%
R.B. OF SCOTLAND PLC 6.934% 09/04/18 XS0356705219 2,16%
GLENCORE FINANCE EUROPE 6.5 27/02/2019 XS0288783979 2,15%
UBS GROUP FUNDING 200922 float call 20/09/21 CH0359915425 2,12%
RENTA 4 MONETARIO FI ES0128520006 1,89%
RENTA 4 SICAV RENTA F I (EURO) LU1475744105 1,79%
BONO CAIXA BANK 5% 14/11/2023 XS0989061345 1,78%
GAZPROM 4.5/8 10/15/18 XS1307381928 1,78%
DEUTSCHE BANK AG.0.233 15/04/2019 DE000DB7XHM0 1,77%
BBVA SUB CAPITAL UNIPAPERS 3.5% 11/04/2024 XS1055241373 1,64%
UNIQA INSURANCE GROUP AG 6,875% 31/07/2043 XS0808635436 1,47%
BARCLAYS BANK PLC 6% VTO 14/1/2021 XS0525912449 1,44%
BULGARIAN ENERGY 4.875 02/08/2021 XS1405778041 1,32%
ALLIED IRISH BANKS 4.125% 26/11/2025 XS1325125158 1,29%
TELEFONICA EUROPE 6.5% 09/29/49 XS0972570351 1,22%
BANCO BILBAO VIZCAYA ARG PERPETUA 29/12/2049 XS1394911496 1,22%
ACCIONA 4.625 07/22/19 XS1086530604 1,18%
DONG ENERGY A/S 4.875% VTO. 08/07/3013 XS0943371194 1,16%
BANKIA SA 4.% VTO.22/05/2024 ES0213307004 1,15%
CAIXABANK SA 3.5 15/02/2027 XS1565131213 1,14%
ARAMARK INTL FIN. 3.125% VTO. 01/04/2025 XS1586831999 1,13%
BANKIA SA 4.% VTO.22/05/2024 ES0213307046 1,12%
BNP PARIBAS VTO.22/09/2022 XS1584041252 1,12%
SOCIETE GENERALE VTO.01/04/2022 XS1586146851 1,11%
GOLDMAN SACHS GROUP INC QUARTLY EURIBOR +63 XS1577427526 1,11%
SANTANDER float 03/21/22 XS1578916261 1,11%
PAGARE ECP THYSSENKRUPP 0.27% 28/08/2017 DE000A2E7Z92 1,11%
REPSOL INTL FIN 3.875% 29/12/49 XS1207054666 1,04%
BANK OF IRELAND VTO. 12/02/2020 XS0487711573 0,96%
ALMIRALL SA VTO.01/04/2021 XS1048307570 0,95%
BANK OF IRELAND VTO. 11/06/2024 XS1075963485 0,94%
GRUPO ANTOLIN DUTCH BV 4.75% 01/04/21 XS1046537665 0,92%
DUFRY FINANCE SCA 4,50% 01/08/2023 XS1266592457 0,85%
LIBERBANK SA 6.875% VTO. 14/03/2027 ES0268675032 0,80%
RWE AG 2.75% VTO.21/04/2075 XS1219498141 0,76%
ASSICURAZIONI GENERALI 10.125% VTO.10/07/2042 XS0802638642 0,73%
AMERICA MOVIL SAB DE C.V. 5.125% VTO 06-09-73 XS0969340768 0,72%
DANSKE BANK PERPETUA 5.875%SEMESTRAL XS1190987427 0,72%
NYKREDIT REALKREDIT AS VTO 13/06/2019 DK0009510992 0,68%
BANK OF NOVA SCOTIA 30/09/2021 XS1497746534 0,66%
GLENCORE FINANCE EUROPE 5.25 13/06/17 XS0305188533 0,65%
AMXLMM 6,375 VTO.06/09/2073 XS0969341147 0,64%
SMURFIT KAPPA ACQUISITTO 3.168 VTO 15/10/2020 XS0832432446 0,61%
DUFRY FINANCE 4.5 07/15/2022 XS1087753353 0,59%
ABN AMRO BANK 7.125 07/06/22 XS0802995166 0,58%
ACERINOX Float 1.75 VTO 12/23/18 ES0332105008 0,57%
REPSOL INTL FIN 4.5 25/03/75 XS1207058733 0,56%
ATRADIUS FINANCE BV 5.25 09/23/44 (call 23/09/24) XS1028942354 0,56%
DEUTSCHE BANK AG 05/09/2022 XS0318729950 0,56%
TELEFONAKTIEBOLAGET LM E 0.875% vto.01/03/2021 XS1571293171 0,56%
DEP.BANCO POPULAR 0,850 VTO.13/11/2017 0,56%
SKANDINAVISKA ENSKILDA 5.75 perpetual XS1136391643 0,53%
LANXESS AG 4,5 06/12/2076 XS1405763019 0,48%
GAZPROM 3.6 26/02/21 XS1038646078 0,48%
NH HOTEL GROUP SA 3,75% vto 01/10/2023 XS1497527736 0,46%
MORGAN STANLEY (EUR+ 0.7) 27/01/22 XS1511787407 0,45%
CAIXA TERRASA PERPETUAS 10/08/2049 XS0225115566 0,43%
SAIPEM FINANCE INTL BV 3% VTO 03/08/2021 XS1487498922 0,35%
ACS ACTIVIDADES 2.875 01/04/2020 XS1207309086 0,35%
UNITED MEXICAN STATES 1.875% VTO.23/02/2022 XS1369322927 0,35%
PETROBRAS GLOBAL FIN CO VCTO.01/04/2019 XS0835886598 0,35%
MAPFRE SA 4.375% VTO. 31/03/2047 ES0224244089 0,34%
DIST INTER DE ALIMENTACION vto. 28042021 XS1400342587 0,34%
RENTA 4 SICAV RENTA F R (EURO) LU1475744287 0,34%
PAGARE ACS VTO.0.760 03/11/2017 XS1518734212 0,33%
UNION FENOSA PREFERENTES XS0221627135 0,32%
GOLDMAN SACHS GP FLOAT 15/11/2021 US38145GAF72 0,32%
SAUDI INTERNATIONAL BOND 3.375% vto 26/10/2021 XS1508675334 0,31%
HUTCH WHAM FIN 3.75% PEPETUAL CALL XS0930010524 0,29%
ENCE 5,375% VTO.01112022 XS1117280112 0,24%
KPN 6.125 VTO. 29/03/2049 XS0903872355 0,24%
GRUPO ANTOLIN DUTCH BV 5.125% 30/06/22 XS1246049073 0,24%
ORANGE VTO 07/02/2020 XS1028600473 0,24%
TELEFONICA 4.2% 29/12/2049 CALL 04/12/2019 XS1148359356 0,23%
PETROBRAS GL FIN 4,875%.07/03/2018 XS0716979249 0,23%
ROYAL BK SCOTLND GRP PLC 6 19-12-23 US780097AZ42 0,22%
GOLDMAN SACHS GROUP INC US38141EB818 0,22%
CVX FLOAT 1.5761% VTO.16/05/2021 US166764BF64 0,21%
BANCAJA EMISIONES SA UNI FLOTANTE VTO.14/11/2017 XS0329522832 0,21%
BANCO SANTANDER SA PERPETUA DE000A0DE4Q4 0,17%
TUI A.G 2.125% VTO.26/10/2021 XS1504103984 0,12%
BAYNGR 3% 01/07/75 DE000A11QR65 0,11%
CAMPOFRIO FOOD 3.375% VTO.15/03/2022 XS1117299211 0,09%
INTL FINANCE CORP 6.45 30/10/18 US45950VGD29 0,08%
RURAL HIPOT.SERIE 4-A FTH 13/2/33 ES0358283002 0,06%
ISHARES EM ASIA LOCAL GOVT IE00B6QGFW01 0,06%
TSY INFL IX N/B 0.375% VTO.15/7/23 US912828VM96 0,05%
ISHARES BARCLAYS EM LOCAL IE00B5M4WH52 0,04%
NOVO BANCO SA VTO 16/04/2046 XS1058257905 0,03%
NOVO BANCO SA VTO 12/02/2049 XS1031115014 0,01%
NOVO BANCO SA VTO 09/04/2052 XS1055501974 0,01%

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

4, en una escala de 1 al 7

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