RURAL MIXTO INTERNACIONAL 15, FI
Cartera
Este fondo se corresponde con los siguientes códigos ISIN: ES0156832000
Patrimonio | 64.857.851€ |
---|---|
Partícipes | 2.673 |
Patrimonio por partícipe | 24.264,07€ |
Cartera del fondo a 2018-09-30
El fondo invierte en 107 activos diferentes:
Activo | ISIN | Porcentaje |
---|---|---|
Bono del Estado 3,75% 311018 | ES00000124B7 | 13,66% |
Bono del Estado 4,85% 311020 | ES00000122T3 | 9,39% |
Bono del Estado 4,30% 311019 | ES00000121O6 | 7,14% |
Obligaciones Tesoro Portugal 4,8% 150620 | PTOTECOE0029 | 3,63% |
Comunidad Madrid 0,747% 300422 | ES0000101842 | 2,68% |
Buoni Poliennali Del Tes 0,35% 150620 | IT0005250946 | 2,45% |
Candriam Bonds Euro High Yield V | LU0891843558 | 2,29% |
Schroder International Euro Corp C | LU0113258742 | 2,25% |
Fidelity European High Yield Y EUR | LU0346390270 | 2,23% |
Ac.Apple | US0378331005 | 2,15% |
Us Treasury N/B 1,5% 311218 | US912828A750 | 2,13% |
AXA IM FIIS US Short Duration HY B eur | LU0211118483 | 1,83% |
Bono del Estado 4,60% 300719 | ES00000121L2 | 1,73% |
Letra del Tesoro 121018 | ES0L01810123 | 1,66% |
Banco Santander Sa FLOAT 211124 | XS1717591884 | 1,63% |
Comunidad Madrid 0,727% 190521 | ES0000101719 | 1,01% |
Ac.Gilead Sciences Inc | US3755581036 | 0,88% |
Us Treasury N/B 1,375% 280219 | US912828SH49 | 0,85% |
Criteria Caixa Sa 2,375% 090519 | ES0314970239 | 0,84% |
Buoni Poliennali Del Tes 4,5% 010319 | IT0004423957 | 0,84% |
Grifols 3.2% 010525 | XS1598757760 | 0,84% |
Ac.Innogy Se New | DE000A2LQ2L3 | 0,75% |
Ac.Walt Disney | US2546871060 | 0,75% |
Brisa Concessao 3,875% 010421 | PTBSSBOE0012 | 0,73% |
Fcc Aqualia Sa 1,413% 080622 | XS1627337881 | 0,67% |
General Motors Financial Float 100521 | XS1609252645 | 0,66% |
Grupo Antolin Irausa Sa 3,25% 300424 | XS1598243142 | 0,66% |
Fiat Finance & Trade 4,75% 150722 | XS1088515207 | 0,56% |
AC.HENKEL PREF | DE0006048432 | 0,55% |
Ac.Oracle Corporation | US68389X1054 | 0,55% |
Goldmand Sachs Group Inc 2,5% 181021 | XS1032978345 | 0,54% |
Discovery Communications 2,375% 070322 | XS0982708686 | 0,53% |
ArcelorMittal 3% 090421 | XS1214673722 | 0,52% |
Viesgo 2,375% 271123 | XS1326311070 | 0,52% |
Expedia Inc 2,5% 030622 | XS1117297512 | 0,52% |
Redeix Gas Finance 2,75 % 080421 | XS1050547931 | 0,52% |
Repsol International 2,625% 280520 | XS0933604943 | 0,52% |
Europcar Groupe Sa 5,75% 150622 | XS1241053666 | 0,52% |
Mediaset 5,125% 240119 | XS0985395655 | 0,51% |
Ac.Alphabet Clase C | US02079K1079 | 0,51% |
Bankia Float 150327 | ES0213307046 | 0,51% |
Bollore Sa 2% 250122 | FR0013233426 | 0,50% |
Schaeffler Finance Bv 2,5% 150520 | XS1212469966 | 0,50% |
Iberdrola Finanzas SAU Float 200224 | XS1564443759 | 0,50% |
Wells Fargo & Company Float 260421 | XS1400169428 | 0,50% |
Indra Sistemas SA 3% 190424 | XS1809245829 | 0,50% |
Acciona Financiación Fil Float 291219 | XS1542427676 | 0,50% |
Banco Bilbao Vizcaya Arg Float 120422 | XS1594368539 | 0,50% |
Ac.Anheuser Busch Inbev | BE0974293251 | 0,50% |
Ortiz Construc Y Proyecto 5,25% 091023 | ES0205031000 | 0,50% |
Navira Float 310723 | XS1459821036 | 0,50% |
Deut Pfandbriefbank Ag 0,625% 230222 | DE000A2GSLC6 | 0,49% |
Santander Consumer Finance 0,875% 300523 | XS1824235219 | 0,49% |
Teva Pharm Fnc Nl II 0,375% 250720 | XS1439749109 | 0,49% |
Ac.Phillips 66 | US7185461040 | 0,48% |
Ac.Sanofi | FR0000120578 | 0,48% |
MedioBanca Spa Float 180522 | XS1615501837 | 0,48% |
L Brands Inc 7% 010520 | US532716AS62 | 0,45% |
Ac.Samsung Electronics Gdr | US7960508882 | 0,45% |
HJ Heinz CO 2% 300623 | XS1253558388 | 0,43% |
Ac.Acerinox | ES0132105018 | 0,43% |
Ac.Roche Holding | CH0012032048 | 0,42% |
Ac.Dufry Ag Reg | CH0023405456 | 0,40% |
Ac.Axa Uap | FR0000120628 | 0,38% |
Ac.American Express Company | US0258161092 | 0,38% |
Ac.Prosieben Sat.1 Media Ag | DE000PSM7770 | 0,37% |
Ac.Daimler Chrysler | DE0007100000 | 0,36% |
Merlin Properties Socimi 2,225% 250423 | XS1398336351 | 0,35% |
Sysco Corporation 1,25% 230623 | XS1434170426 | 0,34% |
Priceline Group Inc/The 0,8% 100322 | XS1577747782 | 0,33% |
Galp Energia SGPS 1,375% 190923 | PTGGDAOE0001 | 0,33% |
Ac.Western Digital | US9581021055 | 0,33% |
Telefonica Emisiones SAU 0,75% 130422 | XS1394777665 | 0,33% |
Fce Bank Spa Ireland 1% 151121 | XS1598835822 | 0,33% |
Nortegas Energia Distri 0,918% 280922 | XS1691349796 | 0,33% |
Leaseplan Corporation Nv 0,75% 031022 | XS1693260702 | 0,33% |
Caixabank 1,125% 120123 | XS1679158094 | 0,33% |
Iliad SA 0,625% 251121 | FR0013331188 | 0,32% |
Gestamp Automocion SA 3,25% 300426 | XS1814065345 | 0,32% |
Inmobiliaria Colonial 1,45% 281024 | XS1509942923 | 0,32% |
Ac.Micron Technology Inc | US5951121038 | 0,32% |
Acs Servicios Comunicac 1,875% 200426 | XS1799545329 | 0,32% |
Ac.Deutche post ag reg | DE0005552004 | 0,30% |
Ac.Comcast Corp-Cl A | US20030N1019 | 0,30% |
Ac.Valeo | FR0013176526 | 0,28% |
Ac.Airbus Group NV | NL0000235190 | 0,27% |
Ac.CaixaBank | ES0140609019 | 0,26% |
Unicredit Spa Float 310119 | IT0004780562 | 0,26% |
Ac.Total Fina-Elf | FR0000120271 | 0,26% |
Ac.Banco Santander | ES0113900J37 | 0,24% |
Ac.Facebook Inc-A | US30303M1027 | 0,23% |
Ac.Unicredit Spa | IT0005239360 | 0,21% |
Volkswagen Leas Gmbh 0,25% 160221 | XS1865186594 | 0,19% |
Ac.Telefonica | ES0178430E18 | 0,18% |
Cellnex Telecom 3,125% 270722 | XS1265778933 | 0,18% |
Amadeus Cap Markt 1,625 % 171121 | XS1322048619 | 0,17% |
Bankinter Sa Float 060427 | XS1592168451 | 0,17% |
Cellnex Telecom SAU 2,375% 160124 | XS1468525057 | 0,17% |
Kellogg Co 0,8% 171122 | XS1611042646 | 0,17% |
Renault SA 2% 280926 | FR0013368206 | 0,17% |
Easyjet Plc 1,125% 181023 | XS1505884723 | 0,17% |
Avintia 4% 010920 | ES0305326003 | 0,17% |
Ac.Siemens | DE0007236101 | 0,16% |
Pirelli & C Spa 1,375% 250123 | XS1757843146 | 0,16% |
Ac.Vodafone Group | GB00BH4HKS39 | 0,15% |
Ac.Telecom Italia Spa | IT0003497168 | 0,13% |
Abengoa Abenewco Two 0,25% 310323 | XS1584123225 | 0,03% |
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 MIXTO INTERNACIONAL 15, FI
Fondo de inversión armonizado gestionado por GESCOOPERATIVO, S.A., S.G.I.I.C.
64,9M
patrimonio
2,7k
partícipes
3, en una escala de 1 al 7
perfil de riesgo