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 2017-12-31
El fondo invierte en 182 activos diferentes:
Activo | ISIN | Porcentaje |
---|---|---|
BO.ITALIA -BTPS- 0,35% VT.15/06/2020 | IT0005250946 | 3,32% |
BO.ITALIA -BTPS- 0,70% VT.01/05/2020 | IT0005107708 | 2,29% |
BO.COMUNIDAD MADRID 2,875% VT.06/04/2019 | ES0000101586 | 1,95% |
OB.ESPAÑA 5,50% VT.30/04/2021 | ES00000123B9 | 1,95% |
OB.ITALIA -BTPS- 3,75% VT.01/05/2021 | IT0004966401 | 1,84% |
BO.MONTE D PAS AVAL EST 0,5% VT.20/1/18 | IT0005240491 | 1,62% |
BO.BANKIA 3,5% VT.17/01/2019 | ES0313307003 | 1,62% |
DEPOSITOS|BANCO DE SABADELL|0,11|2018-03-02 | 1,37% | |
CE.AYT CEDULAS CA IV %VAR VT.22/02/18 | ES0312298039 | 1,33% |
OB.COMUNIDAD MADRID 4,688% VT.12/03/2020 | ES0000101396 | 1,30% |
BO.MADRILEÑA RED GAS 3,779% VT.11/09/18 | XS0969350999 | 1,18% |
OB.ENEL SPA 4,875% VT.20/02/2018 | IT0004794142 | 1,18% |
BO.SANTANDER CONS FIN 1,1% VT.30/07/18 | XS1264601805 | 1,12% |
DEPOSITOS|BANCO DE SABADELL|0,11|2018-05-17 | 1,10% | |
DEPOSITOS|BANCO DE SABADELL|0,11|2018-03-20 | 1,10% | |
DEPOSITOS|BANCO DE SABADELL|0,11|2018-03-23 | 1,10% | |
DEPOSITOS|BANCO DE SABADELL|0,11|2018-02-15 | 1,10% | |
BO.UNICREDIT SPA %VAR VT.31/12/2018 | IT0004964224 | 1,04% |
CE.BANCO POPULAR 0,75% VT.29/09/2020 | ES0413790413 | 1,01% |
BO.RCI BANQUE SA 1,125% VT.30/09/2019 | FR0012173144 | 0,90% |
BO.INTESA SANPAOLO %VAR VT.15/06/2020 | XS1246144650 | 0,89% |
BO.GOLDMAN SACHS 0,75% VT.10/05/2019 | XS1362373570 | 0,87% |
OB.GE CAP EURO FUND 5,375% VT.23/01/2020 | XS0453908377 | 0,86% |
OB.TELECOM ITALIA 4% VT.21/01/2020 | XS0868458653 | 0,84% |
OB.INTESA SANPAOLO %VAR VT.10/04/2019 | IT0004898273 | 0,83% |
OB.JUNTA ANDALUCIA 5,2% VT.15/07/2019 | XS0439945907 | 0,83% |
BO.BANCO SABADELL 0,3% VT.29/06/2018 | ES03138602S5 | 0,80% |
BO.CREDIT SUISSE LD 1,375% VT.29/11/2019 | XS1074053130 | 0,78% |
BO.GLAXOSMITH CAP 0% VT.12/09/20(C8/20) | XS1681518962 | 0,77% |
OB.VIVENDI 4,875% VT.02/12/2019 | FR0010830034 | 0,75% |
OB.TELEFONICA EM 4,693% VT.11/11/2019 | XS0462999573 | 0,74% |
BO.TELEFONICA EM 0,318% VT.17/10/2020 | XS1505554698 | 0,72% |
BO.VODAFONE GR 0,875% VT.17/11/2020 | XS1323028479 | 0,67% |
BO.SANTANDER CONS FIN 0,75% VT.03/04/19 | XS1385935769 | 0,67% |
OB.XUNTA DE GALICIA 4,805% VT.26/03/2020 | ES0001352303 | 0,66% |
OB.ELECTRIC FRANCE 6,25% VT.25/01/2021 | XS0409749206 | 0,66% |
BO.BANKINTER 1,75% VT.10/6/19 | ES03136793B0 | 0,64% |
STRIP CUPON ITALIA BTPS VT.01/05/2019 | IT0001247235 | 0,64% |
OB.FORTUM OYJ 6% VT.20/03/2019 | XS0418729934 | 0,62% |
OB.TELEFONICA EM 3,961% VT.26/03/2021 | XS0907289978 | 0,62% |
OB.ORANGE 3,875% VT.09/04/2020 | XS0500397905 | 0,61% |
OB.CO RABOBANK 4,125% VT.14/01/2020 | XS0478074924 | 0,61% |
OB.JUNTA ANDALUCIA 4,75% VT.24/01/2018 | ES0000090581 | 0,61% |
OB.SANTANDER INTL DEBT 4% VT.24/01/20 | XS0877984459 | 0,61% |
OB.TOTAL CAPITAL 4,875% VT.28/01/19 | XS0410303647 | 0,60% |
OB.ALLIANZ FIN II 4,75% VT.22/07/2019 | DE000A1AKHB8 | 0,60% |
OB.CONTINENTAL 3,125% VT.09/09/2020 | XS0969344083 | 0,60% |
OB.ENI SPA 4,125% VT.16/09/2019 | XS0451457435 | 0,60% |
OB.IBERDROLA INTL 2,875% VT.11/11/2020 | XS0940711947 | 0,60% |
BO.CAIXABANK 3,125% VT.14/05/2018 | ES0340609199 | 0,59% |
OB.GOLDMAN SACHS 2,625% VT.19/08/2020 | XS0963375232 | 0,59% |
OB.BANK OF AMERICA 2,5% VT.27/07/2020 | XS0954946926 | 0,59% |
OB.ATLANTIA SPA 3,625% VT.30/11/2018 | IT0004869985 | 0,59% |
BO.COMUNIDAD MADRID 5,75% VT.01/02/2018 | ES0000101545 | 0,59% |
BO.INTESA SANPAOLO 2,75% VT.20/03/2020 | XS1205644047 | 0,58% |
OB.KERING 3,125% VT.23/04/2019 | FR0011236983 | 0,58% |
OB.TOTAL CAP CANADA 1,875% VT.09/07/20 | XS0951395317 | 0,58% |
OB.BNP PARIBAS 2,5% VT.23/08/2019 | XS0819738492 | 0,58% |
OB.SIEMENS FINAN 5,625% VT.11/06/18 | XS0369461644 | 0,58% |
OB.HEINEKEN NV 2,125% VT.04/08/20 | XS0811554962 | 0,58% |
OB.DAIMLER AG 2,625% VT.02/04/2019 | DE000A1MLXN3 | 0,58% |
OB.SAP SE 2,125% VT.13/11/19 | DE000A1R0U23 | 0,57% |
OB.HEINEKEN NV 2,5% VT.19/03/2019 | XS0758419658 | 0,57% |
OB.LVMH MOET 4% VT.06/04/18 | FR0011033232 | 0,56% |
OB.VODAFONE GR 1% VT.11/09/20 (C06/20) | XS1109802303 | 0,56% |
BO.BASF SE 1,375% VT.22/01/19 (C10/18) | XS1017828911 | 0,56% |
BO.FCE BANK PLC 1,875% VT.18/04/2019 | XS1035001921 | 0,56% |
BO.SANTANDER CONS FIN 0,9% VT.18/02/20 | XS1188117391 | 0,56% |
BO.MONTE PA AVAL EST 0,75% VT.25/01/2020 | IT0005240509 | 0,56% |
BO.BERKSHIRE HA 0,25% VT.17/1/21(C12/20) | XS1548792420 | 0,55% |
BO.BMW FINANCE NV 0,125% VT.03/07/2020 | XS1589881272 | 0,55% |
BO.ICO AVAL EST 0,05% VT.30/07/2020 | XS1590041478 | 0,55% |
BO.SANOFI 0% VT.05/04/2019 | FR0013143989 | 0,55% |
BO.SANOFI 0% VT.13/01/2020 | FR0013201613 | 0,55% |
BO.LVMH MOET 0% VT.26/05/2020 (C4/20) | FR0013257607 | 0,55% |
DEPOSITOS|BANCO DE SABADELL|0,11|2018-02-02 | 0,55% | |
DEPOSITOS|BANCO DE SABADELL|-0,05|2018-11-22 | 0,55% | |
DEPOSITOS|BANCO DE SABADELL|-0,05|2018-11-29 | 0,55% | |
BO.MERCK FIN SER 0,75% VT.2/9/19(C6/19) | XS1284576581 | 0,55% |
BO.REPSOL INTL FIN. %VAR VT.06/07/2018 | XS1442286008 | 0,54% |
BO.HENKEL AG & CO 0% VT.13/09/18 (C6/18) | XS1488370740 | 0,54% |
STRIP CUPON ITALIA BTPS VT.01/11/2018 | IT0001247227 | 0,54% |
BO.SAINT GOBAIN 0% VT.27/03/2020 | XS1493428426 | 0,54% |
OB.TESCO PLC 3,375% VT.02/11/18 | XS0697395472 | 0,53% |
OB.TELECOM ITALIA 6,125% VT.14/12/2018 | XS0794393396 | 0,53% |
BO.REPSOL INTL FIN. 4,375% VT.20/02/2018 | XS0831370613 | 0,52% |
OB.MORGAN STANLEY 5,375% VT.10/08/2020 | XS0531922465 | 0,50% |
OB.INTESA SANPAOLO 4,375% VT.15/10/19 | XS0842828120 | 0,50% |
OB.ITALIA %VAR VT.30/08/2019 | XS0100688190 | 0,50% |
BO.ITALIA -BTPS- 2,50% VT.01/05/2019 | IT0004992308 | 0,49% |
PG.JUNTA DE ANDALUCIA VT.23/02/2018 | ES05000907O7 | 0,49% |
BO.BANCO SABADELL 0,65% VT.05/03/2020 | ES03138602P1 | 0,48% |
OB.HSBC FRANCE 1,875% VT.16/01/2020 | FR0011391580 | 0,46% |
BO.GOLDMAN SACHS %VAR VT.27/07/2021 | XS1458408306 | 0,46% |
BO.VOLKSWAGEN LEASING %VAR VT.06/07/2021 | XS1642546078 | 0,44% |
PG.TELEFONICA VT.23/02/2018 | ES0578430NE6 | 0,44% |
BO.AMADEUS C M 0,125% VT.6/10/20(C9/20) | XS1501162876 | 0,44% |
BO.GENERAL MOTORS 0,85% VT.23/02/18 | XS1193853006 | 0,43% |
BO.BANC VICENZA AVAL EST 0,5% VT.3/2/20 | IT0005238859 | 0,41% |
OB.UNICREDIT SPA 5,65% VT.24/08/2018 | IT0004825029 | 0,37% |
OB.BANQUE FED CRED MUT 2% VT.19/09/19 | XS0906403059 | 0,37% |
BO.DAIMLER AG 0,25% VT.11/05/2020 | DE000A169NA6 | 0,37% |
OB.REPSOL INTL FIN. 2,625% VT.28/05/2020 | XS0933604943 | 0,35% |
OB.ORACLE CORP 2,25% VT.10/01/2021 | XS0951216083 | 0,35% |
OB.CASINO GUICHARD 5,731% VT.12/11/2018 | FR0010893396 | 0,35% |
OB.DEUTSCHE TELEK IF 2,125% VT.18/01/21 | XS0875796541 | 0,35% |
OB.SOCIETE GE 2,25% VT.23/01/2020 | XS0876828541 | 0,35% |
OB.TOYOTA MOTOR CR CORP 1,8% VT.23/07/20 | XS0954684972 | 0,35% |
OB.PERNOD-RICARD 2% VT.22/06/2020 | FR0011798115 | 0,35% |
BO.BARCLAYS 1,875% VT.23/03/21 | XS1385051112 | 0,35% |
OB.ITALIA %VAR VT.15/06/2020 | XS0222189564 | 0,34% |
BO.GENERAL MOTORS 1,875% VT.15/10/2019 | XS1121198094 | 0,34% |
BO.VENETO B SPA AVAL EST 0,5% VT.2/2/20 | IT0005239535 | 0,34% |
BO.RCI BANQUE SA 1,375% VT.17/11/2020 | FR0013053055 | 0,34% |
BO.UBS AG LONDON 1,125% VT.30/06/2020 | XS1254428540 | 0,34% |
CE.CAIXABANK 0,625% VT.12/11/2020 | ES0440609305 | 0,34% |
BO.ING BANK 0,75% VT.22/02/2021 | XS1368576572 | 0,34% |
BO.METRO FINANCE BV 2,25% VT.11/05/2018 | XS0863116231 | 0,34% |
BO.INTESA SANPAOLO %VAR VT.15/05/2018 | IT0004909013 | 0,33% |
BO.FCE BANK PLC %VAR VT.26/08/2020 | XS1590503279 | 0,33% |
BO.AIR LIQUIDE 0,125% VT.13/6/20(C5/20) | FR0013182805 | 0,33% |
BO.VOLKSWAGEN LEASING 0,25% VT.5/10/20 | XS1692348847 | 0,33% |
BO.VEOLIA ENVIR 0% VT.23/11/2020 | FR0013298387 | 0,33% |
BO.MONTE D PAS AVAL EST 0,75% VT.15/3/20 | IT0005246423 | 0,31% |
BANCAJA 6 FTA A2 %VAR VT.20/02/2036 | ES0312885017 | 0,31% |
AYT GENOVA HIPO VII A2 %VAR VT.15/09/38 | ES0312343017 | 0,31% |
IM CAJAMAR 3 FTA A %VAR VT.22/09/2048 | ES0347783005 | 0,30% |
BO.VOLKSWAGEN INT FIN %VAR VT.30/03/19 | XS1586555515 | 0,30% |
TDA IBERCAJA 1 FTA A %VAR VT.26/07/2035 | ES0338450002 | 0,28% |
OB.GLENCORE FI EU %VAR VT.03/04/2018 | XS0767815599 | 0,28% |
PG.JUNTA DE ANDALUCIA VT.26/10/2018 | ES05000907W0 | 0,27% |
UCI11 FTA A %VAR VT.15/09/41 | ES0338340005 | 0,27% |
OB.CARREFOUR 4% VT.09/04/2020 | XS0499243300 | 0,26% |
OB.HEIDELBERGCE 8,5% VT.31/10/2019 | XS0458685913 | 0,26% |
OB.SCHNEIDER ELECTRIC 3,5% VT.22/01/2019 | FR0011119460 | 0,26% |
BANKINTER 5 FTH A %VAR VT.12/11/39 | ES0313920003 | 0,26% |
OB.ASF 7,375% VT.20/03/2019 | FR0010737882 | 0,25% |
TDA 19 MIXTO FTA A %VAR VT.22/03/2036 | ES0377964004 | 0,25% |
OB.SCHNEIDER ELECTRIC 3,625% VT.20/07/20 | FR0010922534 | 0,24% |
BO.VOLKSWAGEN LEASING %VAR VT.06/07/2019 | XS1642545690 | 0,24% |
OB.FERROVIE DELLO STA 4% VT.22/07/2020 | XS0954248729 | 0,24% |
OB.TELECOM ITALIA 5,375% VT.29/01/2019 | XS0184373925 | 0,24% |
BO.CONTINENTAL AG 0% VT.05/02/20(C01/20) | XS1529561182 | 0,24% |
OB.REPSOL INTL FIN. 4,875% VT.19/02/2019 | XS0733696495 | 0,24% |
BO.PEUGEOT SA 7,375% VT.06/03/2018 | FR0011439975 | 0,24% |
OB.KERING 2,5% VT.15/07/2020 | FR0011535764 | 0,23% |
IM PASTOR 2 FTH A %VAR VT.22/09/41 | ES0347861009 | 0,23% |
OB.DAIMLER AG 2% VT.07/04/2020 | DE000A1TNK86 | 0,23% |
OB.ORANGE 1,875% VT.02/10/2019 | XS0911431517 | 0,23% |
UCI12 FTH A %VAR VT.15/06/42 | ES0338147004 | 0,23% |
OB.DANONE SA 1,375% VT.10/06/2019 | FR0011513340 | 0,23% |
BO.FCA BANK SPA IREL 1,375% VT.17/04/20 | XS1220057472 | 0,23% |
BO.INTESA SANPAOLO 1,125% VT.14/01/2020 | XS1168003900 | 0,23% |
BO.HEIDELBERGCE 0,5% VT.18/01/21(C11/20) | XS1549372420 | 0,22% |
TDA IBERCAJA 4 FTA A2 %VAR VT.26/08/2044 | ES0338453014 | 0,22% |
BO.VOLKSWAGEN INT FIN %VAR VT.16/7/18 | XS1167637294 | 0,22% |
BO.RCI BANQUE SA %VAR VT.12/04/2021 | FR0013250685 | 0,22% |
BO.DIAGEO FI 0% VT.17/11/20 (C10/20) | XS1719154657 | 0,22% |
BO.SNAM SPA 0% VT.25/10/2020 | XS1508588875 | 0,22% |
BO.NOVARTIS FI 0% VT.31/03/2021 (C2/21) | XS1584884347 | 0,22% |
BO.ENEL FIN INT 3,625% VT.17/04/2018 | XS0842659343 | 0,22% |
OB.FRESENIUS SE 4,25% VT.15/04/2019 | XS0759200321 | 0,21% |
OB.IBM CORP 1,375% VT.19/11/2019 | XS0856023147 | 0,20% |
OB.RED ELECTRICA FIN 4,875 VT.29/04/2020 | XS0619706657 | 0,19% |
AYT GENOVA HIPO III A %VAR VT.15/07/35 | ES0370143002 | 0,19% |
BO.RCI BANQUE SA %VAR VT.08/07/2020 | FR0013241379 | 0,17% |
BANKINTER 4 FTH A %VAR VT.12/11/2038 | ES0313919005 | 0,16% |
GC SABADELL 1 FTH A2 %VAR VT.20/06/38 | ES0316874017 | 0,16% |
TDA CAM 3 A FTA %VAR VT.26/04/2033 | ES0377990009 | 0,15% |
BO.SCANIA CV AB %VAR VT.20/04/2020 | XS1599109896 | 0,13% |
OB.SUEZ 6,25% VT.08/04/2019 | FR0010745976 | 0,12% |
OB.AUCHAN HOLD 6% VT.15/04/2019 | FR0010746008 | 0,12% |
OB.RENTOKIL INITIAL 3,375% VT.24/09/2019 | XS0832466931 | 0,12% |
OB.RCI BANQUE SA 2,25% VT.29/03/2021 | XS1048519596 | 0,12% |
OB.GLENCORE FIN DUBAI %VAR VT.19/11/18 | XS0857215346 | 0,11% |
BO.BMW FINANCE NV 0,125% VT.15/04/2020 | XS1396260520 | 0,11% |
UCI10 FTH A %VAR VT.22/06/36 | ES0338146006 | 0,09% |
OB.INTESA SANPAOLO %VAR VT.15/05/19 | IT0004908841 | 0,05% |
UCI9 FTA A %VAR VT.19/06/35 | ES0338222005 | 0,05% |
TDA CAM 2 MBS A %VAR VT.26/10/32 | ES0338449004 | 0,04% |
AYT GENOVA HIPO IX A2 %VAR VT.15/07/39 | ES0312300017 | 0,04% |
BO.XUNTA DE GALICIA 1,374% VT.10/05/2019 | ES0001352543 | 0,02% |
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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