RURAL BONOS 2 AÑOS, FI
Cartera 
			
			Este fondo se corresponde con los siguientes códigos ISIN: ES0174372039
| Patrimonio | 19.362.920€ | 
|---|---|
| Partícipes | 3.153 | 
| Patrimonio por partícipe | 6.141,11€ | 
Cartera del fondo a 2017-03-31
El fondo invierte en 96 activos diferentes:
| Activo | ISIN | Porcentaje | 
|---|---|---|
| Xunta de GaliCia 5,763% 030417 | ES0001352469 | 15,83% | 
| Junta Castilla y Leon 6,27% 190218 | ES0001351339 | 4,85% | 
| Comunidad Madrid 4,688% 120320 | ES0000101396 | 4,33% | 
| Comunidad Aragón 3,75% 010418 | ES0000107419 | 4,08% | 
| Bono Comunidad Madrid 2,875% 060419 | ES0000101586 | 4,04% | 
| Bono Junta de Andalucía 4,85% 170320 | ES0000090714 | 3,46% | 
| Banca Monte Dei Paschi S 0,75% 150320 | IT0005246423 | 3,04% | 
| Obl.de Tesoro Portugal 4,75% 140619 | PTOTEMOE0027 | 2,85% | 
| Banca Monte Dei Paschi S 0,75% 250120 | IT0005240509 | 2,44% | 
| Candriam Bonds High YIELD I-C | LU0144746509 | 2,31% | 
| Obligaciones Tesoro Portugal 4,8% 150620 | PTOTECOE0029 | 2,22% | 
| Banca Pop Di Vicenza 0,5% 030220 | IT0005238859 | 2,12% | 
| Santander Consumer Finance 0,75% 030419 | XS1385935769 | 1,70% | 
| Henderson Horizon Eur High Yield Bond I2 | LU0828818087 | 1,59% | 
| Comunidad Madrid 0,727% 190521 | ES0000101719 | 1,55% | 
| Axa Im FIIS Eur Sh Duration High Yield A | LU0658025209 | 1,45% | 
| Fade 4,875% 171217 | ES0378641114 | 1,28% | 
| Bono Junta de Andalucía 5,2% 150719 | XS0439945907 | 1,19% | 
| Bono Comunidad Aragón 1,15% 300717 | ES0000107484 | 1,18% | 
| Italy Govt Int Bond 2% 150620 | XS0222189564 | 0,96% | 
| LFP Sub Debt Libroblig C | FR0010674978 | 0,93% | 
| Fidelity European High Yield Y Fund | LU0346390270 | 0,92% | 
| Threadneedle EU High Yield Bond 2IGA Eur | GB00B1XK5G42 | 0,92% | 
| Muzinich Europeyield Fund Hedged Euro Ac | IE0005315449 | 0,92% | 
| Fade 0,625% 170322 | ES0378641288 | 0,92% | 
| Thyssenkrupp 4% 270818 | DE000A1R08U3 | 0,81% | 
| Finmeccanica Spa 4,375% 051217 | XS0861828407 | 0,79% | 
| Bbva Senior Finance 3,75% 170118 | XS0872702112 | 0,79% | 
| BBVA 2,35 % 160318 | ES0313211916 | 0,78% | 
| Citigroup Float 240521 | XS1417876759 | 0,78% | 
| Teva Pharm Fnc Nl II 0,375% 250720 | XS1439749109 | 0,75% | 
| Glencore Finance 4,625% 030418 | XS0767815599 | 0,66% | 
| Fiat Finance 6,625% 150318 | XS0906420574 | 0,65% | 
| Tesco Plc 3,375% 021118 | XS0697395472 | 0,65% | 
| Caixabank 2,375% 090519 | ES0314970239 | 0,64% | 
| Acs Actividades Cons y S 2,875 % 010420 | XS1207309086 | 0,63% | 
| Saipem Finance Intl Bv 3% 080321 | XS1487498922 | 0,63% | 
| Faurecia 3,125% 150622 | XS1204116088 | 0,63% | 
| Galp Energia SGPS Float 080318 | PTGALFOE0002 | 0,63% | 
| Hertz Holdgs Netherlands 4,375% 150119 | XS0995045951 | 0,62% | 
| Santander Consumer Bank 1% 250219 | XS1369254310 | 0,62% | 
| Schaeffler Finance Bv 2,5% 150520 | XS1212469966 | 0,62% | 
| Telecom Italia Spa 2,5% 190723 | XS1551678409 | 0,62% | 
| Bankia Float 141117 | XS0329522832 | 0,60% | 
| Goldman Sachs Group Inc Float 270721 | XS1458408306 | 0,55% | 
| Telefonica Emisiones SAU 3,987% 230123 | XS0874864860 | 0,54% | 
| Heidelbergcement Fin Lux 3,25% 211020 | XS0985874543 | 0,51% | 
| NH Hoteles 6,875 % 151119 | XS0954676283 | 0,50% | 
| Smurfit Kappa Acquisitio Float 151020 | XS0832432446 | 0,50% | 
| Edream Odigeo SA 8,5% 010821 | XS1491985476 | 0,49% | 
| Intesa Sanpaolo Spa 6,625% 080518 | XS0360809577 | 0,49% | 
| Navira Float 310723 | XS1459821036 | 0,48% | 
| Glencore Fin Dubai Ltd 2,375% 191118 | XS0857215346 | 0,48% | 
| Inmobiliaria Colonial 1,863% 050619 | XS1241699922 | 0,48% | 
| Ec Finance Plc 5,125% 150721 | XS1028950704 | 0,48% | 
| Air France Klm 3,75% 121022 | FR0013212958 | 0,47% | 
| Vallourec Sa 3,25% 020819 | FR0011302793 | 0,47% | 
| Acerinox Sa Float 241218 | ES0332105008 | 0,47% | 
| Pirelli 1,75% 181119 | XS1139287350 | 0,47% | 
| Grupo Antolin Dutch BV 4,75% 010421 | XS1046537665 | 0,46% | 
| Wells Fargo & Company Float 260421 | XS1400169428 | 0,46% | 
| Iberdrola Finanzas SAU Float 200224 | XS1564443759 | 0,46% | 
| Acciona Financiación Fil Float 211118 | XS1518543894 | 0,46% | 
| Banco Sabadell 0,3% 290618 | ES03138602S5 | 0,46% | 
| Volkswagen Intl Fin Nv 0,5% 300321 | XS1586555606 | 0,46% | 
| Societe Generale 1,00% 010422 | XS1538867760 | 0,46% | 
| Ortiz Construc Y Proyecto 7% 030719 | ES0305031009 | 0,46% | 
| Obrascon Huarte 7,625% 150320 | XS0760705631 | 0,45% | 
| Neopost SA 2,5% 230621 | FR0011993120 | 0,45% | 
| RCI Banque 0,625% 101121 | FR0013218153 | 0,45% | 
| Nibc Bank Nv 2,25% 240919 | XS1385996126 | 0,37% | 
| Leaseplan Corporation Nv 240918 | XS1295413345 | 0,34% | 
| Unicredit Spa Float Escalonado 311018 | IT0004764004 | 0,32% | 
| Renault 4,625% 180917 | FR0011321447 | 0,32% | 
| Repsol International 4,375% 200218 | XS0831370613 | 0,32% | 
| Telecom Italia 4,5% 200917 | XS0831389985 | 0,32% | 
| DVB Bank Se Float 100220 | XS1571983359 | 0,31% | 
| Repsol Intl Finance Float 060718 | XS1442286008 | 0,31% | 
| Santander Consumer Finance 0,25% 300919 | XS1496344794 | 0,31% | 
| Banco Santander Sa Float 210322 | XS1578916261 | 0,31% | 
| Pagare El Corte Ingles 090517 | ES0505113417 | 0,30% | 
| Bono Comunidad Madrid 5,75% 010218 | ES0000101545 | 0,28% | 
| BANKINTER 6,375% 110919 | ES0213679196 | 0,17% | 
| Air France 6,25% 180118 | FR0011374099 | 0,16% | 
| ArcelorMittal 3% 250319 | XS1048518358 | 0,16% | 
| Mylan Nv 1,25% 231120 | XS1492457236 | 0,16% | 
| Acciona 3,50% 220917 | XS1107561869 | 0,16% | 
| Banque Psa Fin Peugeot 0,5% 170120 | XS1548539441 | 0,15% | 
| Telefonaktiebolaget Lm E 0,875% 010321 | XS1571293171 | 0,15% | 
| Scania Float 241018 | XS1554462421 | 0,15% | 
| Fce Bank Plc Float 260820 | XS1590503279 | 0,15% | 
| Nokia Oyj 1% 150321 | XS1577727164 | 0,15% | 
| Pagare ABENGOA 101215 | XS1247744383 | 0,05% | 
| Pagare ABENGOA 260116 | XS1267806138 | 0,02% | 
| Pagare ABENGOA 031215 | XS1243179162 | 0,01% | 
| Pagare ABENGOA 080116 | XS1258490082 | 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
RURAL BONOS 2 AÑOS, FI
Fondo de inversión armonizado gestionado por GESCOOPERATIVO, S.A., S.G.I.I.C.
19,4M
patrimonio
3,2k
partícipes
3, en una escala de 1 al 7
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