SABADELL EUROACCION, FI
Cartera
Este fondo se corresponde con los siguientes códigos ISIN: ES0111098036, ES0111098002, ES0111098010, ES0111098028, ES0111098044, ES0111098051
Patrimonio | 211.842.000€ |
---|---|
Partícipes | 17.115 |
Patrimonio por partícipe | 12.377,56€ |
Cartera del fondo a 2018-03-31
El fondo invierte en 82 activos diferentes:
Activo | ISIN | Porcentaje |
---|---|---|
AC.BANCO SANTANDER | ES0113900J37 | 3,35% |
AC.KBC GROUP NV | BE0003565737 | 2,69% |
AC.INTESA SANPAOLO | IT0000072618 | 2,64% |
AC.BANCO BILBAO VIZCAYA ARGENTARIA | ES0113211835 | 2,59% |
AC.LOUIS VUITON MOET HENNESSY (FP) | FR0000121014 | 2,33% |
AC.UNICREDIT SPA | IT0005239360 | 1,97% |
AC.UNIPER SE | DE000UNSE018 | 1,93% |
AC.RENAULT (FP) | FR0000131906 | 1,87% |
AC.PEUGEOT SA | FR0000121501 | 1,86% |
AC.SCHNEIDER ELECTRIC SA | FR0000121972 | 1,79% |
AC.PERNOD-RICARD SA | FR0000120693 | 1,78% |
AC.SOLVAY SA | BE0003470755 | 1,77% |
AC.AGEAS | BE0974264930 | 1,77% |
AC.MICHELIN (CGDE) (FP) | FR0000121261 | 1,76% |
AC.ENEL (IT) | IT0003128367 | 1,74% |
AC.VINCI SA | FR0000125486 | 1,66% |
AC.EXOR NV | NL0012059018 | 1,64% |
AC.REPSOL SA | ES0173516115 | 1,61% |
AC.ENI SPA (IT) | IT0003132476 | 1,54% |
AC.FRESENIUS MEDICAL CARE AG & CO | DE0005785802 | 1,52% |
AC.STMICROELECTRONICS NV (IT) | NL0000226223 | 1,51% |
AC.CNP ASSURANCES | FR0000120222 | 1,49% |
AC.ORANGE (FP) | FR0000133308 | 1,46% |
AC.SILTRONIC AG | DE000WAF3001 | 1,44% |
AC.SOPRA STERIA GROUP | FR0000050809 | 1,40% |
AC.FAURECIA | FR0000121147 | 1,40% |
AC.AXA (FP) | FR0000120628 | 1,38% |
AC.AURUBIS AG | DE0006766504 | 1,35% |
AC.SOFTWARE AG | DE000A2GS401 | 1,33% |
AC.HENKEL AG & CO KGAA VORZUG | DE0006048432 | 1,33% |
AC.OMV AG | AT0000743059 | 1,32% |
AC.UCB SA | BE0003739530 | 1,31% |
AC.KONINKLIJKE AHOLD DELHAIZE NV (NA) | NL0011794037 | 1,28% |
AC.ASR NEDERLAND NV | NL0011872643 | 1,24% |
AC.BECHTLE AG | DE0005158703 | 1,24% |
AC.LEGRAND SA | FR0010307819 | 1,23% |
AC.KONINKLIJKE DSM NV | NL0000009827 | 1,22% |
AC.VISCOFAN | ES0184262212 | 1,19% |
AC.DIASORIN SPA | IT0003492391 | 1,19% |
AC.STADA ARZNEIMITTEL AG | DE0007251803 | 1,13% |
AC.SAINT GOBAIN (FP) | FR0000125007 | 1,12% |
AC.ATLANTIA SPA | IT0003506190 | 1,09% |
AC.MONCLER SPA | IT0004965148 | 1,09% |
AC.ARKEMA | FR0010313833 | 1,06% |
AC.IPSEN SA | FR0010259150 | 1,05% |
AC.ELISA OYJ | FI0009007884 | 1,05% |
AC.TELEPERFORMANCE | FR0000051807 | 1,03% |
AC.BASF SE | DE000BASF111 | 0,96% |
AC.OSRAM LICHT AG | DE000LED4000 | 0,96% |
AC.RANDSTAD HOLDING NV | NL0000379121 | 0,94% |
AC.SMURFIT KAPPA GROUP PLC (IE) | IE00B1RR8406 | 0,93% |
AC.FREENET AG | DE000A0Z2ZZ5 | 0,93% |
AC.ITALGAS SPA | IT0005211237 | 0,91% |
AC.AIR FRANCE-KLM | FR0000031122 | 0,90% |
AC.HEINEKEN NV | NL0000009165 | 0,90% |
AC.A2A SPA | IT0001233417 | 0,89% |
AC.EURAZEO SA | FR0000121121 | 0,88% |
AC.KRONES AG | DE0006335003 | 0,86% |
AC.EIFFAGE | FR0000130452 | 0,83% |
AC.IREN SPA | IT0003027817 | 0,82% |
AC.LEONI AG | DE0005408884 | 0,80% |
AC.KESKO OYJ-B SHS | FI0009000202 | 0,77% |
AC.LAGARDERE SCA | FR0000130213 | 0,70% |
AC.SONAE | PTSON0AM0001 | 0,67% |
AC.BPOST SA | BE0974268972 | 0,59% |
AC.AENA, S.A. | ES0105046009 | 0,57% |
AC.ANIMA HOLDING SPA | IT0004998065 | 0,56% |
AC.STORA ENSO OYJ-R SHS | FI0009005961 | 0,54% |
AC.TELENET GROUP HOLDING NV | BE0003826436 | 0,52% |
AC.DEUTSCHE LUFTHANSA | DE0008232125 | 0,51% |
AC.AROUNDTOWN SA | LU1673108939 | 0,51% |
AC.COFINIMMO | BE0003593044 | 0,50% |
AC.VOESTALPINE AG | AT0000937503 | 0,50% |
AC.MEDIASET ESPAÑA COMUNICACION | ES0152503035 | 0,49% |
AC.MEDIOBANCA SPA | IT0000062957 | 0,48% |
AC.RAIFFEISEN BANK INTERNATIONAL AG | AT0000606306 | 0,48% |
AC.SODEXO | FR0000121220 | 0,48% |
AC.ELIS SA | FR0012435121 | 0,46% |
AC.NEXITY | FR0010112524 | 0,44% |
AC.COVESTRO AG | DE0006062144 | 0,43% |
AC.AMPLIFON SPA | IT0004056880 | 0,37% |
AC.LUXOTTICA GROUP SPA | IT0001479374 | 0,29% |
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
SABADELL EUROACCION, FI
Fondo de inversión armonizado gestionado por SABADELL ASSET MANAGEMENT, S.A., S.G.I.I.C.
211,8M
patrimonio
17,1k
partícipes
6, en una escala de 1 al 7
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