SABADELL INTERES EURO, FI
Cartera
Este fondo se corresponde con los siguientes códigos ISIN: ES0174403032, ES0174403008, ES0174403016, ES0174403024, ES0174403040, ES0174403057
Patrimonio | 1.141.305.000€ |
---|---|
Partícipes | 26.101 |
Patrimonio por partícipe | 43.726,49€ |
Cartera del fondo a 2010-12-31
El fondo invierte en 63 activos diferentes:
Activo | ISIN | Porcentaje |
---|---|---|
BO.BANKINTER AVAL EST 3% VT.24/02/2012 | ES0313679450 | 6,51% |
BO.LA CAIXA AVAL EST 3,375% VT.03/02/12 | ES0314970098 | 6,37% |
BO.ICO AVAL EST 3,75% VT.15/07/2013 | XS0525700778 | 5,37% |
IPF BS (EUR) | ES0000000001 | 4,48% |
IPF LA CAIXA (EUR) | ES0000000222 | 4,15% |
BO.BCO.POPULAR AVAL EST 3% VT.24/04/2012 | ES0313790026 | 3,49% |
BO.ITALIA -BTPS- 2,5% VT.01/07/2012 | IT0004508971 | 3,38% |
OB.HOLANDA 5,00% VT.15/07/2012 | NL0000102671 | 3,38% |
BO.UNICAJA AVAL EST 3% VT.18/06/2012 | ES0364872095 | 3,31% |
BO.BCO.POPULAR AVAL EST 3% VT.23/02/2012 | ES0313790000 | 3,21% |
OB.ESPAÑA 3,80% VT.31/01/2017 | ES00000120J8 | 2,94% |
BO.BBVA SENIOR FIN 3,625% VT.14/05/2012 | XS0427109896 | 2,90% |
CE.SANTANDER 4.25% VT.06/05/2013 | ES0413900152 | 2,53% |
OB.TELEFONICA EUROPE 5,125% VT.14/02/13 | XS0162867880 | 1,98% |
BO.FINLANDIA 4,25% VT.15/09/2012 | FI0001006165 | 1,75% |
CE.BANKINTER 2,625% VT.09/04/2013 | ES0413679079 | 1,65% |
CE.BANESTO 2,75% VT.07/09/2012 | ES0413440076 | 1,63% |
BO.LA CAIXA 3,75% VT.05/11/2013 | ES0314970163 | 1,61% |
OB.SANT ISSU %VAR VT.03/03/16 (CALL3/11) | XS0245339485 | 1,52% |
IPF BANCO ESPAÑOL CREDITO (EUR) | ES0000000135 | 1,43% |
BO.VOLKSWAGEN LEASING 4,875% VT.18/10/12 | XS0325760444 | 1,33% |
OB.PORTUGAL TELEC FIN 3,75% VT 26/03/12 | XS0215828830 | 1,26% |
OB.MERCK FINANZ 3,75% VT.07/12/2012 | XS0237054431 | 1,25% |
CE.BBVA 4,625% VT.02/08/2012 | ES0413211261 | 1,05% |
BO.ESPAÑA 2,5% VT.31/10/2013 | ES00000122R7 | 1,05% |
BO.CAJA MADRID AVAL ES 3,125% VT.20/2/12 | ES0314950454 | 1,05% |
CE.LA CAIXA 2,5% VT.29/04/2013 | ES0414970550 | 1,02% |
BO.INTESA SAN PAOLO 2,625% VT.04/12/2012 | XS0470624205 | 1,01% |
BO.BMW FINANCE NV 4,875% VT.18/10/2012 | XS0326116133 | 0,99% |
OB.DONG A/S 3,5% VT.29/06/12 | XS0223248021 | 0,94% |
BO.BARCLAYS BK %VAR VT.28/01/2013 | XS0459903620 | 0,92% |
BO.BCO.COM.PORTUGUES %VAR VT.24/05/2011 | PTBCT5OM0008 | 0,88% |
CE.BANCO SABADELL 3,25% VT.10/09/2012 | ES0413860208 | 0,86% |
BO.VOLKSWAGEN BANK %VAR VT.27/06/2011 | XS0305080177 | 0,86% |
BANKINTER FDO TIT.8A %VAR VT.15/12/40 | ES0313548002 | 0,84% |
OB.IBERCAJA %VAR PERP (CALL10/16) | ES0114954003 | 0,80% |
OB.ATLANTIA SPA %VAR VT.09/06/2011 | XS0193944765 | 0,73% |
BO.SCHNEIDER ELECTRIC %VAR VT.18/07/2011 | XS0260903348 | 0,72% |
OB.ALLIANCE & LEICESTER %VAR VT.20/06/12 | XS0222335134 | 0,70% |
BO.DEUTSCHE TELEKOM %VAR VT.23/05/2012 | XS0276898417 | 0,69% |
OB.UNICREDITO ITALIA %VAR VT.15/03/2016 | XS0247757718 | 0,68% |
OB.VODAFONE GROUP %VAR VT.06/06/2014 | XS0304458564 | 0,68% |
OB.AUSTRIA 5% VT.15/07/2012 | AT0000385356 | 0,67% |
BO.ENAGAS 3,25% VT.06/07/2012 | ES0330960008 | 0,66% |
BO.BANKINTER %VAR VT.15/01/2013 | ES0313679484 | 0,65% |
OB.TELECOM ITALIA %VAR VT.07/06/2016 | XS0304816076 | 0,63% |
OB.CAJASUR %VAR VT.11/03/2015(CALL03/11) | ES0264730054 | 0,61% |
OB.UNICREDIT %VAR VT.20/9/16 (CALL 9/11) | XS0267703352 | 0,56% |
BO.KONINKLIJKE KPN 5,00% VT.13/11/2012 | XS0330631051 | 0,54% |
OB.ENEL %VAR VT.20/06/2014 | XS0306644930 | 0,49% |
SAECURE BV SAEC 3 A %VAR VT.25/11/2051 | XS0178551825 | 0,49% |
OB.CYPRUS POP %VAR VT.26/5/16 (CALL5/11) | XS0255675794 | 0,48% |
FONDO AHORRO Y TITUL.III A %VAR 18/03/35 | ES0312369004 | 0,41% |
OB.NORDEA BK %VAR VT.08/3/16 (CALL3/11) | XS0246023112 | 0,41% |
AYT PROMOCIONES INMOB.II A %VAR 12/10/40 | ES0356850000 | 0,36% |
OB.MERRILL LYNCH %VAR VT.29/06/2012 | XS0223635730 | 0,35% |
BO.BANCO SABADELL %VAR VT.20/02/12 | ES0313860258 | 0,31% |
OB.MORGAN STANLEY %VAR VT.01/03/2013 | XS0245836431 | 0,31% |
OB.GOLDMAN SACHS %VAR VT.15/11/2014 | XS0275122165 | 0,30% |
OB.BANCA INTESA SPA %VAR VT.20/12/2016 | XS0278803712 | 0,30% |
OB.BBVA SENIOR FIN %VAR VT.29/06/2012 | XS0222699414 | 0,27% |
FTPYME IM GBP 2006-I A3 %VAR VT.21/09/39 | ES0347844021 | 0,16% |
AYT PROMOCIONES INM.III A %VAR 15/12/46 | ES0312379003 | 0,14% |
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 INTERES EURO, FI
Fondo de inversión armonizado gestionado por SABADELL ASSET MANAGEMENT, S.A., S.G.I.I.C.
1.141,3M
patrimonio
26,1k
partícipes
2, en una escala de 1 al 7
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