ABANCA RENTA VARIABLE MIXTA, FI
•FUNDO MISTO AÇOES
12,16 €
| 1W | 1M | 3M | 1Y | 3Y | 5Y | 10Y | 
|---|---|---|---|---|---|---|
| 1.31% | 2.4% | 4.44% | 6.76% | 6.74% | - | - | 
Cartera Renta Variable
| ISIN | Activo | Div. | Valor | Peso | Dif. | 
|---|---|---|---|---|---|
ES0173516115  | REPSOL SA  | EUR  | 434.976 €  | 2.02%  | 1151.15%  | 
FR0000120578  | SANOFI  | EUR  | 431.685 €  | 2.01%  | 82.45%  | 
CH0012032048  | ROCHE HOLDING AG  | EUR  | 428.170 €  | 1.99%  | Nueva  | 
GB0009895292  | ZENECA GROUP  | EUR  | 419.520 €  | 1.95%  | Nueva  | 
US44107P1049  | HST US  | EUR  | 399.071 €  | 1.85%  | Nueva  | 
US4781601046  | JOHNSON & JOHNSON  | EUR  | 374.002 €  | 1.74%  | Nueva  | 
US1270971039  | Coterra Energy Inc  | EUR  | 343.525 €  | 1.6%  | Nueva  | 
US05722G1004  | BKR US  | EUR  | 341.310 €  | 1.59%  | Nueva  | 
FR0000133308  | ORANGE SA  | EUR  | 301.811 €  | 1.4%  | 388.04%  | 
FR0000125486  | VINCI SA  | EUR  | 285.854 €  | 1.33%  | 130.38%  | 
GB0007099541  | PRUDENTIAL CORPORATI  | EUR  | 263.703 €  | 1.23%  | Nueva  | 
GB00BPQY8M80  | AVIVA PLC  | EUR  | 264.637 €  | 1.23%  | Nueva  | 
DE0005552004  | DHL GROUP  | EUR  | 256.355 €  | 1.19%  | 523.49%  | 
US3724601055  | Genuine Parts Co  | EUR  | 240.212 €  | 1.12%  | Nueva  | 
GB0031348658  | BARCLAYS BANK PLC  | EUR  | 236.596 €  | 1.1%  | Nueva  | 
US59156R1086  | METLIFE INC  | EUR  | 233.612 €  | 1.09%  | Nueva  | 
FR0000120693  | PERNOD-RICARD SA  | EUR  | 234.088 €  | 1.09%  | 323.59%  | 
US17275R1023  | CSCO US  | EUR  | 231.384 €  | 1.08%  | Nueva  | 
US6092071058  | MONDELEZ  | EUR  | 222.283 €  | 1.03%  | Nueva  | 
US3755581036  | Gilead Sciences Inc  | EUR  | 221.702 €  | 1.03%  | Nueva  | 
GB0007188757  | RIO TINTO PLC  | EUR  | 217.916 €  | 1.01%  | Nueva  | 
FI0009013403  | Kone Oyj  | EUR  | 208.656 €  | 0.97%  | 56.76%  | 
US1729674242  | CITIGROUP INC  | EUR  | 188.048 €  | 0.87%  | Nueva  | 
GB00B24CGK77  | RECKITT BENCKISER GR  | EUR  | 188.088 €  | 0.87%  | 292.23%  | 
NO0010096985  | EQUINOR ASA  | EUR  | 187.930 €  | 0.87%  | Nueva  | 
GB0005405286  | HSBC HOLDINGS PLC  | EUR  | 177.800 €  | 0.83%  | Nueva  | 
DE0008404005  | ALLIANZ SE  | EUR  | 176.523 €  | 0.82%  | 21.61%  | 
US09290D1019  | BLACKROCK  | EUR  | 173.584 €  | 0.81%  | Nueva  | 
NL0011794037  | AHOLD  | EUR  | 174.589 €  | 0.81%  | Nueva  | 
US91913Y1001  | VLO US  | EUR  | 167.868 €  | 0.78%  | Nueva  | 
US7427181091  | PROCTER & GAMBLE  | EUR  | 159.361 €  | 0.74%  | Nueva  | 
FR0000131104  | BNP PARIBAS  | EUR  | 158.593 €  | 0.74%  | 5.3%  | 
DE0007100000  | MERCEDES B. GROUP AG  | EUR  | 156.722 €  | 0.73%  | 83.33%  | 
US60871R2094  | MOLSON COORS BREWING  | EUR  | 133.005 €  | 0.62%  | Nueva  | 
IE00BY7QL619  | Johnson Controls Int  | EUR  | 133.694 €  | 0.62%  | Nueva  | 
US2910111044  | Emerson Electric Co  | EUR  | 123.862 €  | 0.58%  | Nueva  | 
FR001400AJ45  | MICHELIN  | EUR  | 119.852 €  | 0.56%  | 114.14%  | 
SE0007100581  | ASSA ABLOY AB-B  | EUR  | 93.897 €  | 0.44%  | Nueva  | 
US0865161014  | BBY US  | EUR  | 78.765 €  | 0.37%  | Nueva  | 
FR0000051807  | TELEPERFORMANCE  | EUR  | 79.933 €  | 0.37%  | Nueva  | 
ES0148396007  | INDITEX  | EUR  | 0 €  | 0%  | Vendida  | 
ES0144580Y14  | IBERDROLA  | EUR  | 0 €  | 0%  | Vendida  | 
ES0113900J37  | BANCO SANTANDER SA  | EUR  | 0 €  | 0%  | Vendida  | 
ES0113211835  | BBVA  | EUR  | 0 €  | 0%  | Vendida  | 
ES0178430E18  | TELEFONICA SA  | EUR  | 0 €  | 0%  | Vendida  | 
NO0003054108  | MOWI ASA  | EUR  | 0 €  | 0%  | Vendida  | 
GB0006731235  | ASSOCIATED BRITISH F  | EUR  | 0 €  | 0%  | Vendida  | 
DE0005190003  | BMW AG  | EUR  | 0 €  | 0%  | Vendida  | 
FR0000121485  | KERING  | EUR  | 0 €  | 0%  | Vendida  | 
DE0007664039  | VOLKSWAGEN AG  | EUR  | 0 €  | 0%  | Vendida  | 
FR0000121972  | SCHNEIDER ELECTRIC  | EUR  | 0 €  | 0%  | Vendida  | 
FR0000121667  | ESSILORLUXOTTICA SA  | EUR  | 0 €  | 0%  | Vendida  | 
IT0005239360  | UNICREDIT SPA  | EUR  | 0 €  | 0%  | Vendida  | 
BE0974293251  | ANHEUSER-BUSCH INBEV  | EUR  | 0 €  | 0%  | Vendida  | 
NL0011821202  | ING GROEP NV  | EUR  | 0 €  | 0%  | Vendida  | 
FR0000052292  | HERMES INT.  | EUR  | 0 €  | 0%  | Vendida  | 
NL0000395903  | WOLTERS KLUWER  | EUR  | 0 €  | 0%  | Vendida  | 
DE000BASF111  | BASF SE  | EUR  | 0 €  | 0%  | Vendida  | 
DE0005810055  | DEUTSCHE BOERSE  | EUR  | 0 €  | 0%  | Vendida  | 
NL0010273215  | ASML HOLDING NV  | EUR  | 0 €  | 0%  | Vendida  | 
LU1598757687  | ARCELORMITTAL  | EUR  | 0 €  | 0%  | Vendida  | 
FR0000120271  | TOTAL SE  | EUR  | 0 €  | 0%  | Vendida  | 
FR0000120644  | DANONE SA  | EUR  | 0 €  | 0%  | Vendida  | 
IT0000072618  | BANCA INTESA SPA  | EUR  | 0 €  | 0%  | Vendida  | 
FR0000121014  | LOUIS VUITTON MOET  | EUR  | 0 €  | 0%  | Vendida  | 
FR0000120628  | AXA SA  | EUR  | 0 €  | 0%  | Vendida  | 
DE0008430026  | MUENCHENER RUECKVERS  | EUR  | 0 €  | 0%  | Vendida  | 
DE0007236101  | SIEMENS AG  | EUR  | 0 €  | 0%  | Vendida  | 
DE000BAY0017  | BAYER AG  | EUR  | 0 €  | 0%  | Vendida  | 
DE0005557508  | DEUTSCHE TELEKOM AG  | EUR  | 0 €  | 0%  | Vendida  | 
DE0007164600  | SAP SE  | EUR  | 0 €  | 0%  | Vendida  | 
DE0006231004  | INFINEON  | EUR  | 0 €  | 0%  | Vendida  | 
IT0003128367  | ENEL SPA  | EUR  | 0 €  | 0%  | Vendida  | 
FR0000120073  | AIR LIQUIDE  | EUR  | 0 €  | 0%  | Vendida  | 
FR0000120321  | L'OREAL  | EUR  | 0 €  | 0%  | Vendida  | 
FI0009000681  | NOKIA OYJ  | EUR  | 0 €  | 0%  | Vendida  | 
NL0000226223  | ST MICROELECTRONICS  | EUR  | 0 €  | 0%  | Vendida  | 
NL0000009082  | KONINKLIJKE KPN NV  | EUR  | 0 €  | 0%  | Vendida  | 
Cartera Renta Fija menos de 1 año
| ISIN | Activo | Int. | Fecha | Div. | Valor | Peso | Dif. | 
|---|---|---|---|---|---|---|---|
XS2582404724  | ZF FINANCE GMBH  | 5%  | 2026-07-03  | EUR  | 102.603 €  | 0.48%  | Nueva  | 
FR001400F6V1  | Banque Stellantis Fr  | 3%  | 2026-01-19  | EUR  | 103.762 €  | 0.48%  | 1.69%  | 
XS2554487905  | VOLKSWAGEN INTL  | 4%  | 2025-11-15  | EUR  | 101.451 €  | 0.47%  | 0.15%  | 
DE000CZ40LD5  | COMMERZBANK AG  | 4%  | 2026-03-23  | EUR  | 100.518 €  | 0.47%  | Nueva  | 
ES0380907040  | UNICAJA BANCO  | 1%  | 2026-12-01  | EUR  | 99.279 €  | 0.46%  | 1.22%  | 
XS2538366878  | BANCO SANTANDER SA  | 3%  | 2026-09-27  | EUR  | 99.006 €  | 0.46%  | 0.54%  | 
XS2229875989  | FORD MOTOR  | 3%  | 2025-09-15  | EUR  | 97.201 €  | 0.45%  | 0.65%  | 
XS2185997884  | REPSOL INTL FINANCE  | 3%  | 9999-12-31  | EUR  | 95.461 €  | 0.44%  | Nueva  | 
ES0312342019  | AYT CEDULAS CAJAS X  | 3%  | 2025-06-30  | EUR  | 0 €  | 0%  | Vendida  | 
XS1725580465  | NORDEA BANK ABP  | 3%  | 2025-03-12  | EUR  | 0 €  | 0%  | Vendida  | 
XS2010039035  | DEUTSCHE BAHN FIN GM  | 0%  | 9999-12-31  | EUR  | 0 €  | 0%  | Vendida  | 
XS2491963638  | AIB GROUP PLC  | 3%  | 2026-07-04  | EUR  | 0 €  | 0%  | Vendida  | 
XS2620201421  | BBVA  | 4%  | 2026-05-10  | EUR  | 0 €  | 0%  | Vendida  | 
XS2613658470  | ABN AMRO  | 3%  | 2025-04-20  | EUR  | 0 €  | 0%  | Vendida  | 
XS2322423455  | INTL CONSOL AIRLINES  | 2%  | 2025-03-25  | EUR  | 0 €  | 0%  | Vendida  | 
XS1890845875  | IBERDROLA INTL BV  | 3%  | 9999-12-31  | EUR  | 0 €  | 0%  | Vendida  | 
XS2296201424  | DEUTSCHE LUFTHANSA  | 2%  | 2025-02-11  | EUR  | 0 €  | 0%  | Vendida  | 
XS2482872418  | Fresenius SE & Co KG  | 1%  | 2025-05-24  | EUR  | 0 €  | 0%  | Vendida  | 
Cartera Renta Fija más de 1 año
| ISIN | Activo | Int. | Fecha | Div. | Valor | Peso | Dif. | 
|---|---|---|---|---|---|---|---|
PTBSRJOM0023  | SANTANDER TOTTA SA  | 1%  | 2027-09-26  | EUR  | 281.449 €  | 1.31%  | 0.14%  | 
AT0000A3KDR1  | ERSTE BANK DER OE  | 3%  | 2031-06-26  | EUR  | 201.503 €  | 0.94%  | Nueva  | 
XS2121441856  | UNICREDIT SPA  | 3%  | 9999-12-31  | EUR  | 179.568 €  | 0.83%  | 1.6%  | 
ES0468675030  | UNICAJA BANCO  | 0%  | 2029-09-25  | EUR  | 169.766 €  | 0.79%  | 0.43%  | 
ES0265936049  | ABANCA  | 8%  | 2033-09-23  | EUR  | 114.311 €  | 0.53%  | 0.22%  | 
ES0265936056  | ABANCA  | 5%  | 2030-04-02  | EUR  | 109.438 €  | 0.51%  | 0.53%  | 
XS1752894292  | BANCA MONTE DEI PASC  | 7%  | 2028-01-18  | EUR  | 110.197 €  | 0.51%  | Nueva  | 
XS2677541364  | BANCO SABADELL  | 5%  | 2029-09-08  | EUR  | 107.969 €  | 0.5%  | 0.61%  | 
ES0265936031  | ABANCA  | 5%  | 2028-09-14  | EUR  | 107.125 €  | 0.5%  | 0.72%  | 
XS2597113989  | HSBC HOLDINGS PLC  | 4%  | 2028-03-10  | EUR  | 104.686 €  | 0.49%  | 0.61%  | 
XS2892988275  | DEUTSCHE LUFTHANSA  | 3%  | 2028-09-03  | EUR  | 102.955 €  | 0.48%  | Nueva  | 
XS2893180039  | BANCO CREDITO SOCIAL  | 4%  | 2030-09-03  | EUR  | 103.155 €  | 0.48%  | 0.39%  | 
FR001400Q5V0  | NEXANS S.A.  | 4%  | 2029-05-29  | EUR  | 102.747 €  | 0.48%  | 0.11%  | 
DE000A383J95  | DEUTSCHE BANK AG  | 4%  | 2027-07-12  | EUR  | 102.650 €  | 0.48%  | 0.59%  | 
XS2579324869  | BANCO DE CANADA  | 3%  | 2028-01-25  | EUR  | 102.754 €  | 0.48%  | 0.28%  | 
ES0265936064  | ABANCA  | 4%  | 2036-12-11  | EUR  | 102.153 €  | 0.47%  | 1.94%  | 
ES0413320153  | 009999 DEUTSCHE BANK  | 3%  | 2026-11-23  | EUR  | 101.940 €  | 0.47%  | 0.12%  | 
ES0422714172  | Cajamar Caja Rural  | 3%  | 2028-02-16  | EUR  | 101.667 €  | 0.47%  | 0.28%  | 
BE6360448615  | BARRY CALLEBAUT SVCS  | 3%  | 2028-02-19  | EUR  | 101.042 €  | 0.47%  | Nueva  | 
XS2406607098  | TEVA PHARM FNC NL II  | 3%  | 2027-05-09  | EUR  | 100.598 €  | 0.47%  | 0.28%  | 
XS2890435865  | PKO BANK POLSKI SA  | 3%  | 2027-09-12  | EUR  | 101.269 €  | 0.47%  | 0.73%  | 
ES0265936072  | ABANCA  | 3%  | 2030-02-14  | EUR  | 99.643 €  | 0.46%  | Nueva  | 
ES0265936023  | ABANCA  | 0%  | 2027-09-08  | EUR  | 97.491 €  | 0.45%  | 1.41%  | 
XS1190624038  | EQUINOR ASA  | 1%  | 2027-02-17  | EUR  | 96.063 €  | 0.45%  | 0.21%  | 
XS2295335413  | IBERDROLA INTL BV  | 1%  | 9999-12-31  | EUR  | 96.802 €  | 0.45%  | Nueva  | 
FR0013484458  | BNP PARIBAS  | 0%  | 2028-02-19  | EUR  | 95.897 €  | 0.45%  | Nueva  | 
XS2185997884  | REPSOL INTL FINANCE  | 3%  | 9999-12-31  | EUR  | 0 €  | 0%  | Vendida  | 
XS2582404724  | ZF FINANCE GMBH  | 5%  | 2026-08-03  | EUR  | 0 €  | 0%  | Vendida  | 
DE000CZ40LD5  | COMMERZBANK AG  | 4%  | 2026-03-23  | EUR  | 0 €  | 0%  | Vendida  | 
Cartera Deuda Publica menos de 1 año
| ISIN | Activo | Int. | Fecha | Div. | Valor | Peso | Dif. | 
|---|---|---|---|---|---|---|---|
ES00000127G9  | DEUDA ESTADO ESPAÑA  | 2%  | 2025-10-31  | EUR  | 400.274 €  | 1.86%  | Nueva  | 
FR0128537208  | DEUDA FRANCIA  | 3%  | 2025-03-12  | EUR  | 0 €  | 0%  | Vendida  | 
Cartera Deuda Publica más de 1 año
| ISIN | Activo | Int. | Fecha | Div. | Valor | Peso | Dif. | 
|---|---|---|---|---|---|---|---|
ES00000124C5  | DEUDA ESTADO ESPAÑA  | 5%  | 2028-10-31  | EUR  | 552.624 €  | 2.57%  | 151%  | 
IT0005495731  | REPUBLICA ITALIA  | 2%  | 2029-06-15  | EUR  | 436.679 €  | 2.03%  | 1.27%  | 
FR001400AIN5  | REPUBLICA DE FRANCIA  | 0%  | 2028-02-25  | EUR  | 425.953 €  | 1.98%  | 0.59%  | 
FR0000187635  | REPUBLICA DE FRANCIA  | 5%  | 2032-10-25  | EUR  | 356.875 €  | 1.66%  | Nueva  | 
US91282CNA52  | DEUDA PUBLICA USA  | 4%  | 2032-04-30  | EUR  | 339.709 €  | 1.58%  | Nueva  | 
EU000A3K4EN5  | EUROPEAN UNION  | 3%  | 2028-12-05  | EUR  | 309.902 €  | 1.44%  | 0.55%  | 
FR001400PM68  | REPUBLICA DE FRANCIA  | 2%  | 2030-02-25  | EUR  | 303.068 €  | 1.41%  | Nueva  | 
NL0015001AM2  | DEUDA PUBLICA HOLAND  | 2%  | 2033-07-15  | EUR  | 267.151 €  | 1.24%  | 57.59%  | 
IE000LQ7YWY4  | REPUBLICA DE IRLANDA  | 2%  | 2034-10-18  | EUR  | 262.955 €  | 1.22%  | Nueva  | 
DE0001102606  | REPUBLIC OF GERMANY  | 1%  | 2032-08-15  | EUR  | 166.436 €  | 0.77%  | 1.13%  | 
ES0000012L29  | DEUDA ESTADO ESPAÑA  | 2%  | 2026-05-31  | EUR  | 0 €  | 0%  | Vendida  | 
IE00BKFVC568  | DEUDA PUB IRLANDA  | 0%  | 2027-05-15  | EUR  | 0 €  | 0%  | Vendida  | 
IT0005584302  | DEUDA PUBLICA ITALIA  | 3%  | 2026-01-28  | EUR  | 0 €  | 0%  | Vendida  | 
EU000A3LNF05  | EUROPEAN UNION  | 3%  | 2030-12-04  | EUR  | 0 €  | 0%  | Vendida  | 
DE000BU25000  | DEUDA ESTADO ALEMAN  | 2%  | 2028-04-13  | EUR  | 0 €  | 0%  | Vendida  | 
US912828Z781  | DEUDA PUBLICA USA  | 1%  | 2027-01-31  | EUR  | 0 €  | 0%  | Vendida  | 
DE0001141844  | DEUDA ESTADO ALEMAN  | 0%  | 2026-10-09  | EUR  | 0 €  | 0%  | Vendida  | 
Cartera ICC
| ISIN | Activo | Div. | Valor | Peso | Dif. | 
|---|---|---|---|---|---|
LU1109942653  | DWS INVESTMENT S.A.  | EUR  | 893.343 €  | 4.15%  | 102.15%  | 
IE00BDZRX185  | NB M MANAGEMENT IE  | EUR  | 615.300 €  | 2.86%  | 148.48%  | 
IE00B81TMV64  | Algebris Investments  | EUR  | 167.007 €  | 0.78%  | 3.36%  | 
IE00BYZTVT56  | ISHAR CORP BON ESG  | EUR  | 0 €  | 0%  | Vendida  | 
LU0227127643  | AXA WORLD FUNDS  | EUR  | 0 €  | 0%  | Vendida  | 
IE00BFNM3P36  | iShares MSCI EM IMI  | EUR  | 0 €  | 0%  | Vendida  | 
IE00BPZ58P52  | MUZINICH EMERG  | EUR  | 0 €  | 0%  | Vendida  | 
Obligaciones sobre Derivados
| Activo | Operación | Derivado | Tipo | Strike | Vencimiento | Importe | Protegida | 
|---|---|---|---|---|---|---|---|
IND MSCI World Net Total Return USD  | C/ Fut. ZWPU5 Index MSCI World Index Sep25  | 535.887 €  | |||||
IND S&P INDEX  | C/ Fut. ESU5 Index S&P500 EMINI FUT Sep25  | 516.612 €  | |||||
EUROSTOXX  | C/ Fut. VGU5 Index EURO STOXX 50 Sep25  | 317.415 €  | |||||
Suscribete a mi newslleter, y encuentra muchas tesis de inversión.
2025-Q2
Renta Variable Mixta Internacional
EUR
390.044
2
0 €
500
4.618.479 €
Operativa con derivadosSe podrá operar con derivados negociados en mercados organizados de derivados con la finalidad de cobertura y de inversión y no negociados en mercados organizados de derivados con la finalidad de cobertura y de inversión. Esta operativa comporta riesgos por la posibilidad de que la cobertura no sea perfecta, por el apalancamiento que conllevan y por la inexistencia de una cámara de compensación. El grado máximo de exposición al riesgo de mercado a través de instrumentos financieros derivados es el importe del patrimonio neto.
Sectores
- Salud
20.24%
 - Servicios financieros
20.22%
 - Energía
15.93%
 - Consumo defensivo
12.00%
 - Industria
11.43%
 - Inmobiliarío
4.31%
 - Consumo cíclico
3.84%
 - Comunicaciones
3.26%
 - Tecnología
2.50%
 - Materias Primas
2.35%
 - No Clasificado
3.93%
 
Regiones
- Europa
41.71%
 - Estados Unidos
39.20%
 - Reino Unido
19.09%
 
Tipo de Inversión
- Large Cap - Value
47.39%
 - Medium Cap - Value
20.20%
 - Large Cap - Blend
17.81%
 - Large Cap - Growth
5.54%
 - Medium Cap - Growth
3.68%
 - Medium Cap - Blend
1.44%
 - No Clasificado
3.93%
 
Comisiones
Comisión de gestión
Total0.84
Mixta
Comisión de depositario
Total0.10
Al fondo
Gastos
Trimestral
Total0.36
0.35
0.36
0.36
Anual
Total1.44
1.47
0.61