RURAL MIXTO INTERNACIONAL 25, FI
Cartera
Este fondo se corresponde con los siguientes códigos ISIN: ES0174406035
Patrimonio | 115.346.274€ |
---|---|
Partícipes | 3.690 |
Patrimonio por partícipe | 31.259,15€ |
Cartera del fondo a 2015-12-31
El fondo invierte en 156 activos diferentes:
Activo | ISIN | Porcentaje |
---|---|---|
Bono del Estado 2,10% 300417 | ES00000124I2 | 5,17% |
Bono del Estado 3,75% 311018 | ES00000124B7 | 3,48% |
Bono Generalitat Valencia 4% 021116 | XS0273564434 | 3,47% |
Us Treasury 3,25% 311216 | US912828MD98 | 2,97% |
DIA 1,50% 220719 | XS1088135634 | 2,23% |
General Motors Financial 0,85% 230218 | XS1193853006 | 2,19% |
Obliga. Tesoro Portugal 2,875% 151025 | PTOTEKOE0011 | 2,19% |
Bono del Estado 1,60% 300425 | ES00000126Z1 | 2,09% |
Dexia Bonds High YIELD I-C | LU0144746509 | 2,08% |
Bono del Estado 4,00% 300420 | ES00000122D7 | 1,83% |
Junta Castilla la Mancha 4,875% 180320 | XS0496138818 | 1,81% |
Bono del Estado 2,75% 300419 | ES00000124V5 | 1,72% |
Fade 0,85% 170919 | ES0378641205 | 1,59% |
COMUNIDAD AUTO DE MURCIA 4,695 % 300320 | ES0000102139 | 1,56% |
Ac.Apple | US0378331005 | 1,42% |
MADRILEÑA DE GAS 3,779% 110918 | XS0969350999 | 1,26% |
Casinos Guichard Perracho 4,481% 121118 | FR0010893396 | 1,15% |
Bpe Financiacion 2,875% 190516 | XS0993306603 | 1,07% |
Ac.Valeo | FR0000130338 | 1,05% |
Schroder International Euro Corp C | LU0113258742 | 1,03% |
Ac.Gilead Sciences Inc | US3755581036 | 0,99% |
Us Treasury 2% 310116 | US912828PS31 | 0,97% |
Ac.Inbev | BE0003793107 | 0,96% |
Ac.Repsol | ES0173516115 | 0,95% |
Finmeccanica Spa 4,375% 051217 | XS0861828407 | 0,95% |
Banca Intesa San Paolo 4,2% 310317 Escal | IT0004695018 | 0,93% |
Anglo American 1,75 % 201117 | XS0995039806 | 0,92% |
Air France 6,25% 180118 | FR0011374099 | 0,90% |
Bankia 4,375% 140217 | ES0214977144 | 0,89% |
Ac.Prosieben Sat.1 Media Ag | DE000PSM7770 | 0,88% |
Almirall 4,625% 010421 | XS1048307570 | 0,88% |
NH Hoteles 6,875 % 151119 | XS0954676283 | 0,87% |
Emc Corp/Ma 2,65% 010620 | US268648AQ50 | 0,86% |
Santander Consumer Finance 0,625% 200418 | XS1218217377 | 0,84% |
Tesco Corp Treasury Serv 1,25% 131117 | XS0992632702 | 0,84% |
Ac.Tecnicas Reunidas | ES0178165017 | 0,80% |
Ac.Michael Kors Holdings | VGG607541015 | 0,77% |
Caixabank 2,375% 090519 | ES0314970239 | 0,76% |
Banco Sabadell 0,75% 291216 | ES03138621Y3 | 0,74% |
Peugeot 7,375% 060318 | FR0011439975 | 0,73% |
Fiat Finance & Trade 7,75% 171016 | XS0805410239 | 0,67% |
Gestamp Fund Lux SA 5,875% 310520 | XS0925126491 | 0,65% |
Repsol International 4,25% 120216 | XS0718395089 | 0,65% |
Bono Comunidad Aragón 4,815% 101022 | ES0000107138 | 0,64% |
Inmobiliaria Colonial 1,863% 050619 | XS1241699922 | 0,63% |
Ac.Randstad Holding | NL0000379121 | 0,57% |
Ac.Daimler Chrysler | DE0007100000 | 0,57% |
Mediaset 5,125% 240119 | XS0985395655 | 0,57% |
Bono Generalitat Valencia 4,9% 170320 | XS0495166141 | 0,57% |
Ac.Internacional Consolidated Airlines | ES0177542018 | 0,56% |
Priceline Group Inc/The 2,15 % 251122 | XS1325825211 | 0,53% |
Bankia Float 250116 | ES0214977094 | 0,52% |
Vestas Wind Systems 2,75% 110322 | XS1197336263 | 0,52% |
Pagare Banco Sabadell 060416 | ES0513862R83 | 0,52% |
Ac.Alphabet Clase C | US02079K1079 | 0,51% |
Ac.Phillips 66 | US7185461040 | 0,51% |
Arcelor Mittal Finance 4.625 171117 | XS0559641146 | 0,51% |
Banca Intesa San Paolo 4% 051117 | IT0004854094 | 0,51% |
Ac.Walt Disney | US2546871060 | 0,51% |
AC.HENKEL PREF | DE0006048432 | 0,49% |
Ac.Airbus Group NV | NL0000235190 | 0,47% |
Pagare ACCIONA 060716 | XS1258878211 | 0,47% |
Bono Comunidad Madrid 2,875% 060419 | ES0000101586 | 0,46% |
Unicredit Spa 5% 301117 | IT0004777121 | 0,45% |
Thyssenkrupp 4% 270818 | DE000A1R08U3 | 0,44% |
Unicredit Spa Float Escalonado 281217 | IT0004991961 | 0,43% |
Bono ICO 5,125% 250116 | XS0582801865 | 0,43% |
Unicredit Spa Float 311017 Bis | IT0004767577 | 0,43% |
Ac.NH Hoteles | ES0161560018 | 0,42% |
Unicredit Spa Cupon Cero 311017 | IT0004854060 | 0,31% |
Ac.American Express Company | US0258161092 | 0,39% |
Ac.Comcast Corp-Cl A | US20030N1019 | 0,38% |
Ac.Bayer | DE000BAY0017 | 0,36% |
Ac.Smurfit Kappa Group | IE00B1RR8406 | 0,35% |
Fade 4,875% 171217 | ES0378641114 | 0,34% |
Banca Intesa San Paolo 4,1% 030517 | IT0004703952 | 0,34% |
Ac.Sanofi | FR0000120578 | 0,34% |
Bankia 3,5% 170119 | ES0313307003 | 0,33% |
Brisa Concessao 4,5% 051216 | PTBRIHOM0001 | 0,33% |
Pagare ACCIONA 260416 | XS1226461579 | 0,31% |
Pagare ACCIONA 100316 | XS1204088790 | 0,31% |
Renault 0,625% 040320 | FR0012596179 | 0,31% |
Ac.Acerinox | ES0132105018 | 0,30% |
Ac.Roche Holding | CH0012032048 | 0,29% |
Ac.Kering | FR0000121485 | 0,28% |
REDEIX GAS FINANCE 2,75 % 080421 | XS1050547931 | 0,28% |
HJ Heinz CO 2% 300623 | XS1253558388 | 0,27% |
Ac.Axa Uap | FR0000120628 | 0,26% |
Ac.Yahoo! Inc | US9843321061 | 0,26% |
KELLOGG 1,25% 100325 | XS1199356954 | 0,25% |
Ac.Telecom Italia Spa | IT0003497168 | 0,25% |
Leaseplan Corporation Nv 240918 | XS1295413345 | 0,24% |
Telecom Italia Spa 290119 | XS0184373925 | 0,24% |
Ac.Micron Technology Inc | US5951121038 | 0,23% |
Thyssenkrupp 8,5% 250216 | DE000A0T61L9 | 0,23% |
Bono Comunidad Aragón 2,875% 100219 | ES0000107443 | 0,22% |
Mediaset 5% 010217 | XS0483005293 | 0,22% |
Ced.Hipot. C.R.Navarra 2,875% 110618 | ES0415306002 | 0,22% |
Ac.Exor SPA | IT0001353140 | 0,22% |
MedioBanca Spa Float 310517 | IT0004713787 | 0,22% |
Ac.Basf | DE000BASF111 | 0,22% |
Xunta de Galicia 1,374% 100519 | ES0001352543 | 0,21% |
Bono del Estado 3,30% 300716 | ES00000123W5 | 0,21% |
Banco Sabadell 2,5% 051216 | ES0313860613 | 0,21% |
Santander Consumer Finance 1,1% 290718 | XS1264601805 | 0,21% |
Amadeus Cap Markt 1,625 % 171121 | XS1322048619 | 0,21% |
Bono Comunidad Aragón 0,75% 051216 | ES0000107492 | 0,21% |
Adif Alta Velocidad 1,875% 280125 | ES0200002006 | 0,21% |
Thyssenkrupp 1,75% 251120 | DE000A14J579 | 0,20% |
Ac.Bankia | ES0113307021 | 0,20% |
Ac.Vodafone Group | GB00BH4HKS39 | 0,19% |
Ac.Neopost | FR0000120560 | 0,19% |
Ac.Seagate Technology | IE00B58JVZ52 | 0,18% |
Casino Guichard Perracho 2,33% 070225 | FR0012369122 | 0,18% |
Telecom Italia 8,25% 210316 | XS0418508924 | 0,17% |
Ac.Exxon Mobil Corporation | US30231G1022 | 0,17% |
Carrefour 1,75% 150722 | XS1086835979 | 0,16% |
Ac.Banco Santander | ES0113900J37 | 0,15% |
Ac.Johnson & Johnson | US4781601046 | 0,15% |
Goldmand Sachs Group Inc 1,375% 260722 | XS1173845436 | 0,15% |
Ac.Grifols Clase B | ES0171996004 | 0,13% |
Ac.General Electric | US3696041033 | 0,12% |
Ac.Gemalto | NL0000400653 | 0,12% |
Renault 3,125% 050321 | FR0011769090 | 0,11% |
Arcelor Mittal Finance 9.375 030616 | XS0431928414 | 0,11% |
Assicurazioni Generali 2,875% 140120 | XS1014759648 | 0,11% |
Bankinter 4,125% 220317 Cedulas Hipotec. | ES0413679178 | 0,11% |
Ob.Telefonica 4,375% 020216 | XS0241946630 | 0,11% |
EDP Finance 2,625% 150419 | XS1057345651 | 0,11% |
Kutxabank 4,4% 010316 | ES0314100076 | 0,11% |
Fade 2,875% 170916 | ES0378641163 | 0,11% |
Delphi Automotive 1,5% 100325 | XS1197775692 | 0,11% |
Ac.Amadeus It Holdings | ES0109067019 | 0,11% |
Bono Comunidad Aragón 1,15% 300717 | ES0000107484 | 0,11% |
SNAM SPA 1,5% 210423 | XS1126183760 | 0,11% |
Galp Energia SGPS 3% 140121 | PTGALJOE0008 | 0,11% |
AMADEUS 0,625% 021217 | XS1146627473 | 0,11% |
Rete Gas SPA 1,125% 020120 | XS1144492532 | 0,11% |
Pirelli 1,75% 181119 | XS1139287350 | 0,10% |
Citigroup 1,75% 280125 | XS1173792059 | 0,10% |
Pagare Elecnor 120216 | ES0529743132 | 0,10% |
Pagare ACCIONA 280116 | XS1180288216 | 0,10% |
Bp Capital Markets Plc 1,109% 160223 | XS1190973559 | 0,10% |
Melia Hotels Intl SA 7,8% 310716 | ES0376252005 | 0,10% |
AT&T Inc 1,30% 050923 | XS1196373507 | 0,10% |
Canal de Isabel II 1,68% 260225 | ES0205061007 | 0,10% |
Ryanair LTD 1,125% 100323 | XS1199964575 | 0,10% |
Ac.Pfizer Inc | US7170811035 | 0,09% |
Ac.Talgo SA | ES0105065009 | 0,09% |
Ac.Telefonica | ES0178430E18 | 0,09% |
Ac.Philip Morris International | US7181721090 | 0,08% |
Ac.Swatch | CH0012255151 | 0,08% |
Ac.Total Fina-Elf | FR0000120271 | 0,08% |
Pagare ABENGOA 150116 | XS1219497333 | 0,08% |
Pagare ABENGOA 101215 | XS1247744383 | 0,06% |
Thyssenkrupp 3,125% 251019 | DE000A1R0410 | 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 25, FI
Fondo de inversión armonizado gestionado por GESCOOPERATIVO, S.A., S.G.I.I.C.
115,3M
patrimonio
3,7k
partícipes
3, en una escala de 1 al 7
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