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 2018-12-31
El fondo invierte en 191 activos diferentes:
Activo | ISIN | Porcentaje |
---|---|---|
OB.ITALIA -BTPS- 4,75% VT.01/09/2021 | IT0004695075 | 3,39% |
OB.ITALIA -BTPS- 3,75% VT.01/05/2021 | IT0004966401 | 3,32% |
BO.ITALIA -BTPS- 0,35% VT.15/06/2020 | IT0005250946 | 3,05% |
BO.ITALIA -BTPS- 0,20% VT.15/10/2020 | IT0005285041 | 3,01% |
BO.MONTE PA AVAL EST 0,75% VT.25/01/2020 | IT0005240509 | 2,69% |
BO.MONTE D PAS AVAL EST 0,75% VT.15/3/20 | IT0005246423 | 2,34% |
BO.ITALIA -BTPS- 0,70% VT.01/05/2020 | IT0005107708 | 2,10% |
DEPOSITOS|BANCO DE SABADELL|0,05|2019-10-09 | 2,03% | |
DEPOSITOS|BANCO DE SABADELL|-0,05|2019-04-18 | 2,03% | |
BO.COMUNIDAD MADRID 2,875% VT.06/04/2019 | ES0000101586 | 1,36% |
OB.COMUNIDAD MADRID 4,688% VT.12/03/2020 | ES0000101396 | 1,20% |
BO.INTESA SANPAOLO %VAR VT.28/02/2021 | IT0005161325 | 1,11% |
BO.INTESA SANPAOLO 2,75% VT.20/03/2020 | XS1205644047 | 1,06% |
OB.ITALIA %VAR VT.15/06/2020 | XS0222189564 | 1,05% |
BO.SANTANDER CONS FIN 0,9% VT.18/02/20 | XS1188117391 | 1,03% |
DEPOSITOS|BANKIA, S.A|-0,07|2019-04-30 | 1,01% | |
CE.BANCO POPULAR 0,75% VT.29/09/2020 | ES0413790413 | 0,93% |
OB.TELEFONICA EM 3,961% VT.26/03/2021 | XS0907289978 | 0,91% |
BO.CIE SAINT-GOBAIN 0% VT.27/03/2020 | XS1493428426 | 0,88% |
BO.BPE FINANCIACIONES 2% VT.03/02/20 | XS1169791529 | 0,84% |
BO.BBVA 1% VT.20/01/2021 | XS1346315200 | 0,83% |
BO.RCI BANQUE SA 1,125% VT.30/09/2019 | FR0012173144 | 0,83% |
BO.INTESA SANPAOLO %VAR VT.15/06/2020 | XS1246144650 | 0,80% |
OB.GE CAP EURO FUND 5,375% VT.23/01/2020 | XS0453908377 | 0,79% |
OB.TELECOM ITALIA 4% VT.21/01/2020 | XS0868458653 | 0,77% |
OB.INTESA SANPAOLO %VAR VT.10/04/2019 | IT0004898273 | 0,76% |
BO.NOVARTIS FI 0% VT.31/03/2021 (C2/21) | XS1584884347 | 0,71% |
BO.GLAXOSMITH CAP 0% VT.12/09/20(C8/20) | XS1681518962 | 0,71% |
OB.VIVENDI 4,875% VT.02/12/2019 | FR0010830034 | 0,69% |
OB.TELEFONICA EM 4,693% VT.11/11/2019 | XS0462999573 | 0,68% |
BO.TELEFONICA EM 0,318% VT.17/10/2020 | XS1505554698 | 0,66% |
BO.VODAFONE GR 0,875% VT.17/11/2020 | XS1323028479 | 0,62% |
BO.SANTANDER CONS FIN 0,75% VT.03/04/19 | XS1385935769 | 0,61% |
BO.PSA BANQUE FR 0,5% VT.17/01/2020 | XS1548539441 | 0,61% |
OB.XUNTA DE GALICIA 4,805% VT.26/03/2020 | ES0001352303 | 0,61% |
OB.ELECTRIC FRANCE 6,25% VT.25/01/2021 | XS0409749206 | 0,60% |
BO.ALD SA %VAR VT.26/02/2021 | XS1782508508 | 0,59% |
BO.BANKINTER 1,75% VT.10/06/2019 | ES03136793B0 | 0,59% |
STRIP CUPON ITALIA BTPS VT.01/05/2019 | IT0001247235 | 0,59% |
AYT GENOVA HIPO VII A2 %VAR VT.15/09/38 | ES0312343017 | 0,58% |
OB.CO RABOBANK 4,125% VT.14/01/2020 | XS0478074924 | 0,56% |
OB.ORANGE 3,875% VT.09/04/2020 | XS0500397905 | 0,56% |
OB.SANTANDER INTL DEBT 4% VT.24/01/20 | XS0877984459 | 0,56% |
IM CAJAMAR 3 FTA A %VAR VT.22/09/2048 | ES0347783005 | 0,55% |
OB.CONTINENTAL 3,125% VT.09/09/2020 | XS0969344083 | 0,55% |
OB.ENI SPA 4,125% VT.16/09/2019 | XS0451457435 | 0,55% |
OB.IBERDROLA INTL 2,875% VT.11/11/2020 | XS0940711947 | 0,55% |
OB.XUNTA DE GALICIA 2,95% VT.10/04/2021 | ES0001352535 | 0,55% |
OB.IMPERIAL BRANDS FI 5% VT.02/12/2019 | XS0715437140 | 0,55% |
OB.GOLDMAN SACHS 2,625% VT.19/08/2020 | XS0963375232 | 0,54% |
OB.BANK OF AMERICA 2,5% VT.27/07/2020 | XS0954946926 | 0,54% |
OB.ACCOR SA 2,625% VT.05/02/2021 | FR0011731876 | 0,54% |
OB.HEINEKEN NV 2,125% VT.04/08/20 | XS0811554962 | 0,54% |
OB.TOTAL CAP CANADA 1,875% VT.09/07/20 | XS0951395317 | 0,54% |
OB.BHP BILLITON FINAN 2,25% VT.25/09/20 | XS0834386228 | 0,53% |
OB.ASSICURA 2,875% VT.14/01/2020 | XS1014759648 | 0,53% |
OB.ITALIA -BTPS- 4,25% VT.01/09/2019 | IT0004489610 | 0,53% |
OB.SAP SE 2,125% VT.13/11/2019 | DE000A1R0U23 | 0,53% |
OB.BANK OF AMERICA 1,375% VT.10/09/2021 | XS1107731702 | 0,52% |
OB.INTESA SANPAOLO 2,25% VT.22/01/2020 | XS0741977796 | 0,52% |
BO.SANTANDER INTL DEB 1,375% VT.3/3/21 | XS1370695477 | 0,52% |
OB.VODAFONE GR 1% VT.11/09/20 (C06/20) | XS1109802303 | 0,52% |
BO.FCE BANK PLC 1,875% VT.18/04/2019 | XS1035001921 | 0,52% |
BO.BRITISH TELEC 0,625% VT.10/03/2021 | XS1377680381 | 0,51% |
BO.BERKSHIRE HA 0,25% VT.17/1/21(C12/20) | XS1548792420 | 0,51% |
BO.ICO AVAL EST 0,05% VT.30/07/2020 | XS1590041478 | 0,51% |
BO.SANOFI 0% VT.13/01/2020 | FR0013201613 | 0,51% |
PG.BANC SABADELL VT.06/11/2019 | ES0513862MB6 | 0,51% |
DEPOSITOS|BANCO DE SABADELL|-0,05|2019-02-01 | 0,51% | |
BO.LVMH MOET 0% VT.26/05/2020 (C4/20) | FR0013257607 | 0,51% |
BO.AMADEUS C M 0,125% VT.6/10/20(C9/20) | XS1501162876 | 0,51% |
AYT HIPO MIXTO V FTA %VAR VT.10/06/44 | ES0312252002 | 0,50% |
BO.GEN MOT %VAR VT.10/05/2021 | XS1609252645 | 0,49% |
OB.INTESA SANPAOLO 4,375% VT.15/10/2019 | XS0842828120 | 0,46% |
BO.ITALIA -BTPS- 2,50% VT.01/05/2019 | IT0004992308 | 0,45% |
OB.COMUNIDAD CANARIA 4,929% VT.09/03/20 | ES0000093361 | 0,44% |
BO.BANCO SABADELL 0,65% VT.05/03/2020 | ES03138602P1 | 0,44% |
BO.BANKIA 3,5% VT.17/01/2019 | ES0313307003 | 0,43% |
OB.MORGAN STANLEY 2,375% VT.31/03/2021 | XS1050547857 | 0,42% |
BO.GOLDMAN SACHS %VAR VT.27/07/2021 | XS1458408306 | 0,41% |
BO.BMW FINANCE NV 0,125% VT.03/07/2020 | XS1589881272 | 0,41% |
BO.HEIDELBERGCE 0,5% VT.18/01/21(C11/20) | XS1549372420 | 0,41% |
BO.DAIMLER INT FIN 0,25% VT.09/08/2021 | DE000A194DC1 | 0,40% |
BO.VOLKSWAGEN LEASING %VAR VT.06/07/2021 | XS1642546078 | 0,40% |
OB.EDP FINANCE 4,125% VT.20/01/2021 | XS0995380580 | 0,39% |
OB.INNOGY FINAN 6,5% VT.10/08/2021 | XS0412842857 | 0,37% |
OB.AUTOSTRADE ITALIA 2,875% VT.26/02/21 | XS0986174851 | 0,36% |
BO.RCI BANQUE SA %VAR VT.12/04/2021 | FR0013250685 | 0,35% |
OB.BAT INTL FI 4,875% VT.24/02/2021 | XS0468425615 | 0,34% |
OB.ANHEU I 4% VT.02/06/2021 | BE6221503202 | 0,34% |
OB.BANQUE FED CRED MUT 2% VT.19/09/2019 | XS0906403059 | 0,34% |
OB.FORTUM OYJ 4% VT.24/05/21 | XS0629937409 | 0,34% |
BO.DAIMLER AG 0,25% VT.11/05/2020 | DE000A169NA6 | 0,34% |
OB.CIE SAINT-GOBAIN 3,625% VT.15/06/21 | XS0791007734 | 0,34% |
OB.FERROVIAL EM 3,375% VT.07/06/2021 | XS0940284937 | 0,33% |
OB.REPSOL INTL FIN. 2,625% VT.28/05/2020 | XS0933604943 | 0,33% |
OB.JPMORGAN CHASE 2,625% VT.23/04/2021 | XS0984367077 | 0,33% |
OB.ORACLE CORP 2,25% VT.10/01/2021 | XS0951216083 | 0,32% |
BANKINTER 9 FTA A2P %VAR VT.16/07/2042 | ES0313814016 | 0,32% |
OB.UNICREDIT SPA 3,25% VT.14/01/2021 | XS1014627571 | 0,32% |
OB.DEUTSCHE TELEK IF 2,125% VT.18/01/21 | XS0875796541 | 0,32% |
OB.BNP PARIBAS 2,25% VT.13/01/2021 | XS1014704586 | 0,32% |
OB.SOCIETE GE 2,25% VT.23/01/2020 | XS0876828541 | 0,32% |
OB.MONDELEZ INT 2,375% VT.26/01/2021 | XS1003251441 | 0,32% |
BO.REPSOL INTL FIN. 2,125% VT.16/12/2020 | XS1334225361 | 0,32% |
OB.TOYOTA MOTOR CR CORP 1,8% VT.23/07/20 | XS0954684972 | 0,32% |
OB.RCI BANQUE SA 2,25% VT.29/03/2021 | XS1048519596 | 0,32% |
OB.PERNOD-RICARD 2% VT.22/06/2020 | FR0011798115 | 0,32% |
OB.ROBERT BOSCH INV 1,625% VT.24/5/21 | XS0934389221 | 0,32% |
OB.KELLOGG CO 1,75% VT.24/05/2021 | XS1070075988 | 0,32% |
OB.RYANAIR 1,875% VT.17/06/2021 | XS1077584024 | 0,32% |
OB.TELEFONICA EM 1,477% VT.14/09/2021 | XS1290729208 | 0,32% |
BO.OPEL FINANCE INT 1,875% VT.15/10/2019 | XS1121198094 | 0,32% |
OB.NOMURA EUROPE FN 1,5% VT.12/05/2021 | XS1136388425 | 0,31% |
OB.JP MORGAN CHASE 1,375% VT.16/09/2021 | XS1110449458 | 0,31% |
OB.UBS AG LONDON 1,25% VT.03/09/2021 | XS1105680703 | 0,31% |
BO.SANTANDER CONS FIN 1,5% VT.12/11/20 | XS1316037545 | 0,31% |
BO.UBS AG LONDON 1,125% VT.30/06/2020 | XS1254428540 | 0,31% |
BO.BARCLAYS 1,875% VT.23/03/21 | XS1385051112 | 0,31% |
OB.HEINEKEN NV 1,25% VT.10/09/21 (C6/21) | XS1288852939 | 0,31% |
BO.RCI BANQUE SA 1,375% VT.17/11/2020 | FR0013053055 | 0,31% |
BO.VODAFONE GR 1,25% VT.25/08/21 | XS1372838240 | 0,31% |
OB.INTESA SANPAOLO 2% VT.18/06/2021 | XS1077772538 | 0,31% |
CE.CAIXABANK 0,625% VT.12/11/2020 | ES0440609305 | 0,31% |
BO.OP CORPORATE BK 0,875% VT.21/6/21 | XS1347564970 | 0,31% |
BO.ING BANK 0,75% VT.22/02/2021 | XS1368576572 | 0,31% |
BO.VIVENDI 0,75% VT.26/05/2021 (C4/21) | FR0013176302 | 0,31% |
BO.SANTANDER UK PLC 0,875% VT.25/11/2020 | XS1325080890 | 0,31% |
BO.MCDONALDS 0,5% VT.15/01/2021 | XS1403263723 | 0,31% |
BO.SVENSKA CEL 0,5% VT.26/05/21 (C4/21) | XS1419636862 | 0,31% |
BO.FEDEX CORP 0,5% VT.09/04/2020 (C3/20) | XS1319814064 | 0,31% |
BO.AIR LIQUIDE 0,125% VT.13/6/20(C5/20) | FR0013182805 | 0,31% |
BO.E.ON SE 0,375% VT.23/08/2021(C5/21) | XS1616411036 | 0,31% |
BO.DEUTSCHE TELEK IF 0,25% VT.19/4/21 | XS1396830058 | 0,30% |
BO.DANSKE BANK 0,5% VT.06/05/2021 | XS1390245329 | 0,30% |
BO.VEOLIA ENVIR 0% VT.23/11/2020 | FR0013298387 | 0,30% |
BO.HSBC FRANCE 0,2% VT.04/09/2021 | FR0013358116 | 0,30% |
BO.TOYOTA MOTOR CR 0% VT.21/7/21 | XS1720639779 | 0,30% |
BO.VOLKSWAGEN LEASING 0,25% VT.5/10/20 | XS1692348847 | 0,30% |
BO.SNAM SPA 0% VT.25/10/2020 | XS1508588875 | 0,30% |
BO.RCI BANQUE 0,25% VT.12/07/21(C6/21) | FR0013322120 | 0,30% |
AYT GENOVA HIPO VIII A2 %VAR VT.15/05/39 | ES0312344015 | 0,30% |
BO.FCE BANK PLC %VAR VT.26/08/2020 | XS1590503279 | 0,30% |
BO.GOLDMAN SACHS 0,75% VT.10/05/2019 | XS1362373570 | 0,29% |
BO.FORD MOTOR CR %VAR VT.14/05/2021 | XS1821814800 | 0,29% |
OB.SUEZ 4,078% VT.17/05/2021 | FR0011048966 | 0,28% |
BANCAJA 6 FTA A2 %VAR VT.20/02/2036 | ES0312885017 | 0,28% |
BO.VOLKSWAGEN INT FIN %VAR VT.30/03/19 | XS1586555515 | 0,27% |
OB.CARREFOUR 4% VT.09/04/2020 | XS0499243300 | 0,24% |
OB.HEIDELBERGCE 8,5% VT.31/10/2019 | XS0458685913 | 0,24% |
OB.SCHNEIDER ELECTRIC 3,625% VT.20/07/20 | FR0010922534 | 0,22% |
BO.VOLKSWAGEN LEASING %VAR VT.06/07/2019 | XS1642545690 | 0,22% |
OB.REPSOL INTL FIN. 3,625% VT.07/10/2021 | XS0975256685 | 0,22% |
UCI11 FTA A %VAR VT.15/09/41 | ES0338340005 | 0,22% |
OB.TELECOM ITALIA 5,375% VT.29/01/2019 | XS0184373925 | 0,22% |
OB.FERROVIE DELLO STA 4% VT.22/07/2020 | XS0954248729 | 0,22% |
BO.CONTINENTAL 0% VT.05/02/20 (C01/20) | XS1529561182 | 0,22% |
OB.REPSOL INTL FIN. 4,875% VT.19/02/2019 | XS0733696495 | 0,22% |
TDA IBERCAJA 1 FTA A %VAR VT.26/07/2035 | ES0338450002 | 0,22% |
OB.ORANGE 1,875% VT.02/10/2019 | XS0911431517 | 0,21% |
OB.DANONE SA 1,375% VT.10/06/2019 | FR0011513340 | 0,21% |
BO.ARCELORMITTAL 3% VT.25/03/2019 | XS1048518358 | 0,21% |
BO.FCA BANK SPA IREL 1,375% VT.17/04/20 | XS1220057472 | 0,21% |
BO.INTESA SANPAOLO 1,125% VT.14/01/2020 | XS1168003900 | 0,21% |
BO.DIAGEO FI 0% VT.17/11/20 (C10/20) | XS1719154657 | 0,20% |
AYT GENOVA HIPO VI A2 %VAR VT.15/01/38 | ES0312349014 | 0,20% |
BANKINTER 5 FTH A %VAR VT.12/11/39 | ES0313920003 | 0,20% |
TDA 19 MIXTO FTA A %VAR VT.22/03/2036 | ES0377964004 | 0,19% |
OB.FRESENIUS SE 4,25% VT.15/04/2019 | XS0759200321 | 0,19% |
UCI12 FTH A %VAR VT.15/06/42 | ES0338147004 | 0,19% |
OB.IBM CORP 1,375% VT.19/11/2019 | XS0856023147 | 0,19% |
TDA IBERCAJA 4 FTA A2 %VAR VT.26/08/2044 | ES0338453014 | 0,19% |
OB.RED ELECTRICA FIN 4,875 VT.29/04/2020 | XS0619706657 | 0,17% |
TDA IBERCAJA 3 FTA A %VAR VT.28/12/2043 | ES0338452008 | 0,17% |
AYT GENOVA HIPO IV A %VAR VT.16/05/36 | ES0370150007 | 0,17% |
IM PASTOR 2 FTH A %VAR VT.22/09/41 | ES0347861009 | 0,16% |
BO.AMADEUS IT GROUP %VAR VT.18/03/2022 | XS1878190757 | 0,15% |
AYT GENOVA HIPO III A %VAR VT.15/07/35 | ES0370143002 | 0,14% |
BO.SCANIA CV AB %VAR VT.20/04/2020 | XS1599109896 | 0,12% |
GC SABADELL 1 FTH A2 %VAR VT.20/06/38 | ES0316874017 | 0,11% |
OB.AUCHAN HOLD 6% VT.15/04/2019 | FR0010746008 | 0,11% |
AYT GENOVA HIPO IX A2 %VAR VT.15/07/39 | ES0312300017 | 0,11% |
OB.RENTOKIL INITIAL 3,375% VT.24/09/2019 | XS0832466931 | 0,11% |
BO.NOMURA EUROPE FN 1,125% VT.03/06/2020 | XS1241710323 | 0,10% |
BO.BMW FINANCE NV 0,125% VT.15/04/2020 | XS1396260520 | 0,10% |
OB.JUNTA ANDALUCIA 4,85% VT.17/03/2020 | ES0000090714 | 0,09% |
UCI10 FTH A %VAR VT.22/06/36 | ES0338146006 | 0,08% |
BO.VOLKSWAGEN INT FIN 0,5% VT.30/03/21 | XS1586555606 | 0,06% |
OB.INTESA SANPAOLO %VAR VT.18/01/2019 | IT0004871965 | 0,05% |
OB.INTESA SANPAOLO %VAR VT.15/05/2019 | IT0004908841 | 0,05% |
UCI9 FTA A %VAR VT.19/06/35 | ES0338222005 | 0,04% |
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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