CAIXABANK SMART RENTA FIJA INFLACION, FI
6,45 €
1W | 1M | 3M | 1Y | 3Y | 5Y | 10Y |
---|---|---|---|---|---|---|
-0.34% | -0.24% | 0.84% | 1.61% | -1.03% | 0.85% | - |
Cartera Deuda Publica más de 1 año
ISIN | Activo | Int. | Fecha | Div. | Valor | Peso | Dif. |
---|---|---|---|---|---|---|---|
FR0011008705 | FRENCH REPUBLIC GOVE | 1% | 2027-07-25 | EUR | 9.927.367 € | 5.54% | 118.28% |
DE0001030559 | DEUTSCHE BUNDESREPUB | 0% | 2030-04-15 | EUR | 8.128.506 € | 4.54% | 168.92% |
FR0013410552 | FRENCH REPUBLIC GOVE | 0% | 2029-03-01 | EUR | 7.845.513 € | 4.38% | 136.52% |
ES00000127C8 | SPAIN GOVERNMENT INF | 1% | 2030-11-30 | EUR | 7.521.449 € | 4.2% | 164.3% |
FR0000188799 | FRENCH REPUBLIC GOVE | 3% | 2032-07-25 | EUR | 7.463.154 € | 4.17% | 143.99% |
ES0000012C12 | SPAIN GOVERNMENT INF | 0% | 2033-11-30 | EUR | 7.220.464 € | 4.03% | 188.43% |
FR0010447367 | FRENCH REPUBLIC GOVE | 1% | 2040-07-25 | EUR | 6.767.906 € | 3.78% | 146.9% |
IT0004545890 | ITALY BUONI POLIENNA | 2% | 2041-09-15 | EUR | 6.721.780 € | 3.75% | 143.74% |
ES00000128S2 | SPAIN GOVERNMENT INF | 0% | 2027-11-30 | EUR | 6.345.933 € | 3.54% | 176.85% |
FR0011982776 | FRENCH REPUBLIC GOVE | 0% | 2030-07-25 | EUR | 6.255.007 € | 3.49% | 173.94% |
IT0003745541 | ITALY BUONI POLIENNA | 2% | 2035-09-15 | EUR | 6.140.843 € | 3.43% | 169.04% |
IT0005482994 | ITALY BUONI POLIENNA | 0% | 2033-05-15 | EUR | 5.933.077 € | 3.31% | 192.97% |
IT0005246134 | ITALY BUONI POLIENNA | 1% | 2028-05-15 | EUR | 5.915.317 € | 3.3% | 178.43% |
IT0004735152 | ITALY BUONI POLIENNA | 3% | 2026-09-15 | EUR | 5.733.024 € | 3.2% | 198.34% |
FR0013238268 | FRENCH REPUBLIC GOVE | 0% | 2028-03-01 | EUR | 5.627.488 € | 3.14% | 164.82% |
IT0005543803 | ITALY BUONI POLIENNA | 1% | 2029-05-15 | EUR | 5.563.476 € | 3.11% | 280.32% |
IT0005387052 | ITALY BUONI POLIENNA | 0% | 2030-05-15 | EUR | 5.362.554 € | 3% | 151.36% |
IT0005138828 | ITALY BUONI POLIENNA | 1% | 2032-09-15 | EUR | 5.222.356 € | 2.92% | 175.82% |
FR0000186413 | FRENCH REPUBLIC GOVE | 3% | 2029-07-25 | EUR | 4.758.766 € | 2.66% | 192.1% |
FR0013327491 | FRENCH REPUBLIC GOVE | 0% | 2036-07-25 | EUR | 4.458.903 € | 2.49% | 144.46% |
FR0014001N38 | FRENCH REPUBLIC GOVE | 0% | 2031-07-25 | EUR | 4.411.882 € | 2.46% | 251.53% |
DE0001030575 | DEUTSCHE BUNDESREPUB | 0% | 2046-04-15 | EUR | 4.330.411 € | 2.42% | 148.38% |
DE0001030583 | DEUTSCHE BUNDESREPUB | 0% | 2033-04-15 | EUR | 3.507.208 € | 1.96% | 191.42% |
FR0013524014 | FRENCH REPUBLIC GOVE | 0% | 2036-03-01 | EUR | 3.474.739 € | 1.94% | 201.91% |
FR0013209871 | FRENCH REPUBLIC GOVE | 0% | 2047-07-25 | EUR | 3.276.166 € | 1.83% | 162.26% |
IT0005588881 | ITALY BUONI POLIENNA | 1% | 2036-05-15 | EUR | 3.159.383 € | 1.76% | 176.38% |
FR0014003N51 | FRENCH REPUBLIC GOVE | 0% | 2032-03-01 | EUR | 2.843.415 € | 1.59% | 137.36% |
IT0005547812 | ITALY BUONI POLIENNA | 2% | 2039-05-15 | EUR | 2.666.466 € | 1.49% | 148.32% |
FR001400JI88 | FRENCH REPUBLIC GOVE | 0% | 2034-07-25 | EUR | 2.555.870 € | 1.43% | 249.09% |
FR0014008181 | FRENCH REPUBLIC GOVE | 0% | 2053-07-25 | EUR | 2.277.943 € | 1.27% | 245.83% |
FR001400QCA1 | FRENCH REPUBLIC GOVE | 0% | 2043-07-25 | EUR | 2.075.343 € | 1.16% | 239.15% |
FR001400AQH0 | FRENCH REPUBLIC GOVE | 0% | 2038-07-25 | EUR | 1.972.141 € | 1.1% | 193.96% |
ES0000012M69 | SPAIN GOVERNMENT INF | 2% | 2039-11-30 | EUR | 1.915.165 € | 1.07% | 134.43% |
IT0005436701 | ITALY BUONI POLIENNA | 0% | 2051-05-15 | EUR | 1.771.772 € | 0.99% | 149.21% |
FR001400IKW5 | FRENCH REPUBLIC GOVE | 0% | 2039-03-01 | EUR | 1.473.097 € | 0.82% | 162.43% |
ES0000012O18 | SPAIN GOVERNMENT INF | 1% | 2036-11-30 | EUR | 1.384.739 € | 0.77% | 177.9% |
IT0005647273 | ITALY BUONI POLIENNA | 2% | 2056-05-15 | EUR | 884.337 € | 0.49% | Nueva |
DE0001030567 | DEUTSCHE BUNDESREPUB | 0% | 2026-04-15 | EUR | 0 € | 0% | Vendida |
FR0013519253 | FRENCH REPUBLIC GOVE | 0% | 2026-03-01 | EUR | 0 € | 0% | Vendida |
IT0005415416 | ITALY BUONI POLIENNA | 0% | 2026-05-15 | EUR | 0 € | 0% | Vendida |

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2025-Q2
Renta Fija Euro
EUR
27.653.819
87.651
0 €
179.044.829 €
Operativa con derivadosEl fondo ha realizado operaciones a plazo relacionadas con la gestión de la renta fija. La metodología aplicada para calcular la exposición total al riesgo es la metodología del compromiso. Una información más detallada sobre la política de inversión del fondo se puede encontrar en su folleto informativo.
Comisiones
Comisión de gestión
Total0.16
Patrimonio
Comisión de depositario
Total0.01
Al fondo
Gastos
Trimestral
Total0.09
0.09
0.09
0.09
Anual
Total0.36
0.36
0.36
0.37