RENTA 4 WERTEFINDER, FI
Cartera

Este fondo se corresponde con los siguientes códigos ISIN: ES0173323009

Patrimonio 7.180.394€
Partícipes 807
Patrimonio por partícipe 8.897,64€

Cartera del fondo a 2017-06-30

El fondo invierte en 112 activos diferentes:

Activos en cartera
Activo ISIN Porcentaje
INTL FINANCE CORP 7.8% VTO.03/06/2019 US45950VCV62 4,57%
BNP PARIBAS 6%ANUAL VTO.17/01/2020 XS1015430561 2,62%
VOLKSWAGEN INTL FIN NV 3.5% VTO.23/01/2019 XS1019326302 2,43%
EUROPEAN BK RECON DEV VTO 15/04/2019 XS1090177442 2,38%
POLAND GOVERNMENT BOND 5.5% 25/10/2019 PL0000105441 2,34%
POLAND GOVERNMENT BOND 5.25% 26/10/2020 PL0000106126 1,99%
ASIAN DEVELOPMENT BANK 2.85% VTO.21/10/2020 HK0000071412 1,99%
KFW 4% vto. 27/02/2025 AU000KFWHAA3 1,83%
KFW 7.875% VTO.15/012020 XS1075906252 1,71%
GENERAL ELEC CAP CORP 8.5% VTO.06/04/2018 XS0356838952 1,71%
INTL BK RECON & DEVELOP 6.75 20/06/23 XS0945575347 1,70%
EUROPEAN INVESMENT BANK 5% VTO. 24/01/2020 XS1551074138 1,53%
LAND NORDRHEIN-WESTFALEN 7.5% VTO.08/06/2027 XS0302236673 1,49%
AMERICA MOVIL MOVIL SAB DE CV 6.45 12/05/22 XS0860706935 1,46%
MORGAN STANLEY 4.75% VTO 11/16/2018 XS0932235194 1,35%
AUST & NZ BANKING GROUP 4.25% VTO.17/04/2018 AU3CB0207652 1,33%
REPUBLIC OF SOUTH AFRICA 6.875 27/05/19 US836205AM61 1,32%
REPUBLIC OF INDONESIA 5.875% VTO.13/03/2020 USY20721AQ27 1,29%
ROCHE HOLDGING AG-BR CH0012032113 1,23%
BBVA ES0113211835 1,21%
PETROBRAS INTL FIN CO VCTO.20/01/2020 US71645WAP68 1,21%
ANGLOGOLD HOLDINGS PLC 5.375% VTO.15/04/2020 US03512TAA97 1,19%
BANCO SANTANDER ES0113900J37 1,18%
ALLIANZ HOLDING DE0008404005 1,16%
QUALCOMM INC. US7475251036 1,14%
KOMATSU JP3304200003 1,06%
HSBC TRINKAUS & BURKHARDT AG DE0008115106 1,05%
EUROASIAN DEVELOPMENT BANK XS0837020014 0,94%
KRAFT HEINZ FOODS CO 4.875% VTO. 15/02/2025 USU42314AA95 0,91%
FUCHS PETROLUB DE0005790406 0,90%
WALT DISNEY US2546871060 0,90%
OTTO GMBH ¬ CO KG XS1433512891 0,88%
ERICSSON LM 4.125% vto. 15/05/2022 US294829AA48 0,85%
JOHNSON & JOHNSON S US4781601046 0,85%
DEUTSCHE BANK AG 3.125 vto 2021 US25152R2X04 0,84%
BMW PREFERENTES DE0005190037 0,80%
RECORDATI IND CHIM -- MILAN IT0003828271 0,72%
SANOFI FR0000120578 0,69%
HENKEL KGAA DE0006048408 0,68%
INTL BK RECON & DEVELOP (SUPRANAC.) VTO.02/03/2018 XS1373905741 0,67%
RECKITT BENCKISER GROUP PLC GB00B24CGK77 0,67%
DUERR AG DE0005565204 0,66%
IBM US4592001014 0,66%
GENERAL MILLS INC US3703341046 0,62%
UNIVERSAL DISPLAY CORP US91347P1057 0,61%
LEXMARK INTL INC 5.125% VTO. 15/03/2020 US529772AF23 0,58%
EUROPEAN INVESMENT BANK 4% VTO.25/02/2020 XS1190713054 0,58%
HDFC BANK LTD-ADR US40415F1012 0,57%
AP MOELLER MAERSK A/S 2.55% VTO.22/09/2019 USK0479SAB45 0,56%
INTL BK RECON & DEVELOP 6.5% VTO. 26/07/2019 XS0809448375 0,56%
NH HOTELES 6.875 VTO 15/11/2019 XS0954676283 0,56%
INDITEX ES0148396007 0,55%
BREMBO SPA IT0005252728 0,54%
DIASORIN SPA IT0003492391 0,54%
LEONI AG DE0005408884 0,54%
BECHTLE AG DE0005158703 0,53%
CORTICEIRA AMORIM SA PTCOR0AE0006 0,52%
EUROPEAN INVESMENT BANK 7.5% 2019 XS0801408435 0,51%
MAXWELL TECHNOLOGIES INC US5777671067 0,50%
ARCELORMITTAL 5,5% VTO.01/03/21 US03938LAU89 0,48%
RUSSIAN RAILWAYS 8.3% VTO.02042019 XS0764253455 0,47%
BANCO SABADELL CALL 01/04/2021 US24702RAQ48 0,47%
HEINEKEN NV 07/04/20122 USN39427AK07 0,47%
STORA ENSO OYJ-A SHS FI0009005961 0,46%
PFEIFFER VACUUM TECHNOLOGY DE0006916604 0,46%
CHECK POINT SOFTWARE TECH IL0010824113 0,46%
VERIZON COMMUNICATIONS INC 3% vto. 01/11/2021 US92343VCN29 0,45%
EBAY INC 2.875% VTO.01/08/2021 US278642AK93 0,45%
MCDONALDS CORP 2.2% vto. 26/05/2020 US58013MET71 0,45%
DR PEPPER SNAPPLE GROUP 2.53% vto. 15/11/2021 US26138EAV11 0,45%
ZALANDO SE DE000ZAL1111 0,45%
BANK OF AMERICA FLOAT 2.151% vto.09/11/2020 US06051GGB95 0,45%
FRESENIUS DE0005785604 0,44%
MOLSON COORS BREWING CO VTO 15/07/2021 US60871RAF73 0,44%
EIB 6% VTO.15/02/2018 XS0889394846 0,44%
CARL ZEISS MEDITEC AG-BR DE0005313704 0,43%
ALPHABET INC- CL C US02079K1079 0,43%
YARA INTERNATIONAL ASA NO0010208051 0,43%
MONSANTO CO US61166W1018 0,42%
SKF AB - B SHARES SE0000108227 0,41%
SARTORIUS AG-VORZUG DE0007165631 0,41%
HORNBACH BAUMARKT AG DE0006084403 0,41%
SYMRISE AG DE000SYM9999 0,40%
SIEMENS AG DE0007236101 0,39%
ISRA VISION AG DE0005488100 0,38%
PETROLEOS MEXICANOS 6.375 02/04/2021 US71656MBJ71 0,36%
WIENERBERGER AG 5.25% VTO.04/07/2018 AT0000A0PQY4 0,35%
VOESTALPINE AG 4% VTO.05/10/2018 XS0838764685 0,34%
ASMl HOLDING NV - NY USN070592100 0,34%
LVMH FR0000121014 0,33%
GIGAMON US37518B1026 0,33%
JENOPTIK AG DE0006229107 0,32%
CVS HEALTH CORP 2.8% VTO. 30/07/2020 US126650CJ78 0,31%
EMC CORP 2.65% VTO. 01/06/2020 US268648AQ50 0,31%
MARATHON OIL CORP 2.7% VTO.01/06/2020 US565849AN67 0,30%
AT&T INC 3.875 VTO.15/08/2021 US00206RAZ55 0,30%
XEROX CORP 2.75 01/09/2020 US984121CK78 0,30%
GLENCORE FINANCE CANADA 4.95 VTO 15/11/20121 USC98874AH09 0,30%
ANALOG DEVICES US0326541051 0,30%
XILINX US US9839191015 0,29%
MELLANOX TECHNOLOGIES -- NASDAQ IL0011017329 0,29%
VALE OVERSEAS LIMITED 4.375% 11/01/22 US91911TAM53 0,28%
BRISTOL-MYERS US1101221083 0,28%
ERICSSON LM-A SHS SE0000108649 0,23%
QORVO INC US74736K1016 0,21%
CAVIUM US14964U1088 0,21%
HUGO BOSS AG ORD DE000A1PHFF7 0,19%
CYBERARK SOFTWARE LTD -- NASDAQ IL0011334468 0,17%
APPLIED GRAPHENE MATERIALS GB00BFSSB742 0,06%
ABENGOA ABENEWCO TWO 0.25% vto.31/03/2023 XS1584123225 0,02%
ABENGOA - B ES0105200002 0,01%
ABENGOA ES0105200416 0,00%

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 WERTEFINDER, FI

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

7,2M

patrimonio

807

partícipes

4, en una escala de 1 al 7

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