LABORAL KUTXA SELEK BASE,FI
7,45 €
1W | 1M | 3M | 1Y | 3Y | 5Y | 10Y |
---|---|---|---|---|---|---|
0.23% | 0.62% | 1.9% | 3.01% | 2.96% | 1.54% | 0.48% |
Cartera Adquisición Temporal de Activos
ISIN | Activo | Int. | Fecha | Div. | Valor | Peso | Dif. |
---|---|---|---|---|---|---|---|
ES0000012L60 | LABORAL KUTXA | 1% | 2025-07-01 | EUR | 15.000.000 € | 3.98% | Nueva |
ES0000012F76 | CAIXABANK | 1% | 2025-07-01 | EUR | 50.000.000 € | 13.27% | Nueva |
ES0000012K61 | BBVA | 2% | 2025-01-02 | EUR | 0 € | 0% | Vendida |
Cartera Deuda Publica menos de 1 año
ISIN | Activo | Int. | Fecha | Div. | Valor | Peso | Dif. |
---|---|---|---|---|---|---|---|
ES0L02502075 | D.ESTADO ESPAÑOL | 2% | 2025-02-07 | EUR | 0 € | 0% | Vendida |
ES0000012F92 | D.ESTADO ESPAÑOL | 3% | 2025-01-31 | EUR | 0 € | 0% | Vendida |
Cartera Deuda Publica más de 1 año
ISIN | Activo | Int. | Fecha | Div. | Valor | Peso | Dif. |
---|---|---|---|---|---|---|---|
ES0000012B39 | D.ESTADO ESPAÑOL | 1% | 2028-04-30 | EUR | 31.337.169 € | 8.32% | Nueva |
ES0000012B88 | D.ESTADO ESPAÑOL | 1% | 2028-07-30 | EUR | 26.442.804 € | 7.02% | Nueva |
ES00001010B7 | C.A. MADRID | 0% | 2031-04-30 | EUR | 9.487.698 € | 2.52% | 1.28% |
FR0013234333 | ESTADO FRANCES | 1% | 2039-06-25 | EUR | 8.785.741 € | 2.33% | Nueva |
ES0000106619 | C.A. PAIS VASCO | 1% | 2028-04-30 | EUR | 6.860.840 € | 1.82% | 1.48% |
DE0001030732 | ESTADO ALEMAN | 2% | 2031-08-15 | EUR | 6.616.665 € | 1.76% | 74.65% |
FR001400L834 | ESTADO FRANCES | 3% | 2033-11-25 | EUR | 6.492.782 € | 1.72% | Nueva |
IT0005436693 | REPUBLICA DE ITALIA | 0% | 2031-08-01 | EUR | 5.275.130 € | 1.4% | 9.57% |
ES00001010J0 | C.A. MADRID | 2% | 2029-10-31 | EUR | 5.005.720 € | 1.33% | 0.61% |
DE0001030708 | ESTADO ALEMAN | 2% | 2030-08-15 | EUR | 4.916.077 € | 1.31% | 81.65% |
ES0000012J07 | D.ESTADO ESPAÑOL | 1% | 2042-07-30 | EUR | 4.393.984 € | 1.17% | Nueva |
IT0005596470 | REPUBLICA DE ITALIA | 4% | 2037-10-30 | EUR | 4.279.716 € | 1.14% | Nueva |
DE0001030724 | ESTADO ALEMAN | 2% | 2050-08-15 | EUR | 3.180.612 € | 0.84% | Nueva |
FR001400PM68 | ESTADO FRANCES | 2% | 2030-02-25 | EUR | 3.131.287 € | 0.83% | Nueva |
ES00000127A2 | D.ESTADO ESPAÑOL | 1% | 2030-07-30 | EUR | 2.286.924 € | 0.61% | 27.68% |
IT0005508590 | REPUBLICA DE ITALIA | 4% | 2035-04-30 | EUR | 2.118.413 € | 0.56% | Nueva |
IT0005323032 | REPUBLICA DE ITALIA | 2% | 2028-02-01 | EUR | 1.992.904 € | 0.53% | Nueva |
FR001400NBC6 | ESTADO FRANCES | 2% | 2027-09-24 | EUR | 1.717.189 € | 0.46% | Nueva |
DE000BU22080 | ESTADO ALEMAN | 2% | 2027-03-11 | EUR | 1.458.718 € | 0.39% | Nueva |
IT0005383309 | REPUBLICA DE ITALIA | 1% | 2030-04-01 | EUR | 875.861 € | 0.23% | 43.31% |
IT0005611055 | REPUBLICA DE ITALIA | 3% | 2029-10-01 | EUR | 836.170 € | 0.22% | Nueva |
EU000A3KSXE1 | UNION EUROPEA | 2% | 2031-07-04 | EUR | 0 € | 0% | Vendida |
AT0000A33SH3 | D.ESTADO AUSTRIA | 2% | 2029-05-23 | EUR | 0 € | 0% | Vendida |
Cartera ICC
ISIN | Activo | Div. | Valor | Peso | Dif. |
---|---|---|---|---|---|
LU1852211215 | U.B.S. AG | EUR | 18.513.955 € | 4.92% | 39.69% |
LU2553550315 | MERIDIAN FUNDS | EUR | 16.376.198 € | 4.35% | 45.07% |
IE00BKKKWJ26 | ISHARE CORE CB UCITS | EUR | 14.699.186 € | 3.9% | Nueva |
LU1654174884 | ROBECO BP GLOBAL PR | EUR | 6.798.488 € | 1.8% | 48.3% |
LU1694214633 | NORDEA BANK AD | EUR | 6.387.318 € | 1.7% | Nueva |
IE000HUNJLV8 | MAN | EUR | 5.838.005 € | 1.55% | Nueva |
LU1390062245 | LYXOR UCITS ETF iBOX | EUR | 5.779.624 € | 1.53% | Nueva |
IE0031575503 | BRANDES INVET. FUNDS | EUR | 5.184.211 € | 1.38% | 42.45% |
LU1390062831 | AMUNDI | EUR | 5.117.081 € | 1.36% | Nueva |
LU0973529505 | JPM EUR STRAT DIV | EUR | 5.042.724 € | 1.34% | 41.68% |
LU1111643042 | ELEVA CAPITAL LLP | EUR | 5.043.912 € | 1.34% | Nueva |
LU0271484684 | SCHRODER ISF EUR DI | EUR | 5.027.064 € | 1.33% | 39.66% |
FR001400GFA5 | EDMOND ROTH. | EUR | 4.977.549 € | 1.32% | Nueva |
LU0353648032 | FIDELITY FGLOB**** | EUR | 4.931.370 € | 1.31% | 28.21% |
LU0940006884 | ROBECO BP GLOBAL PR | EUR | 4.879.874 € | 1.3% | Nueva |
LU1793346823 | BLUEBOX FUNDS | EUR | 4.344.136 € | 1.15% | 21.53% |
BE6246061376 | PETERCAM L BUNDS EUR | EUR | 4.134.265 € | 1.1% | 12.42% |
LU0974293085 | ROBECO BP GLOBAL PR | EUR | 4.026.295 € | 1.07% | 14.71% |
LU0975848853 | ROBECO BP GLOBAL PR | EUR | 3.998.419 € | 1.06% | 48.2% |
LU0260062871 | ALLIANCE DEVEL | EUR | 3.780.324 € | 1% | 18.13% |
BE6246078545 | PETERCAM L BUNDS EUR | EUR | 3.687.775 € | 0.98% | 46.64% |
LU0992628858 | CARMIGNAC CAP PLUS | EUR | 3.667.537 € | 0.97% | 47.02% |
LU0907928062 | PETERCAM L BUNDS EUR | EUR | 3.076.484 € | 0.82% | 5.28% |
LU1797812986 | M&G EUROP STRAT | EUR | 2.753.346 € | 0.73% | 2.68% |
LU1797811236 | M&G EUROP STRAT | EUR | 2.528.117 € | 0.67% | Nueva |
LU0329356306 | ROBECO BP GLOBAL PR | EUR | 2.425.697 € | 0.64% | 2.62% |
LU0772943501 | NORDEA BANK AD | EUR | 2.165.784 € | 0.57% | 80.29% |
LU2051469463 | JPM EUR STRAT DIV | EUR | 1.704.483 € | 0.45% | 0.41% |
LU0968301142 | SCHRODER ISF EUR DI | EUR | 1.385.786 € | 0.37% | 1.83% |
IE00BYX5N110 | FIDELITY FGLOB**** | EUR | 1.365.790 € | 0.36% | Nueva |
LU2280632238 | ABER GLOB EQY FUND | EUR | 1.232.975 € | 0.33% | 14.46% |
LU1026242203 | MS EMERGING | EUR | 1.236.413 € | 0.33% | 14.95% |
IE00BPZ58P52 | MUZINICH | EUR | 1.224.047 € | 0.32% | 15.57% |
LU1720112173 | ARCANO CAPITAL | EUR | 976.489 € | 0.26% | 36.45% |
LU1571394011 | PA DWS INV CONVERT | EUR | 763.410 € | 0.2% | 20.02% |
LU1681039134 | AMUNDI | EUR | 700.044 € | 0.19% | 364.58% |
LU1997246498 | ALLIANZ FINANCE BV | EUR | 633.962 € | 0.17% | 7.12% |
IE00BP3QZD73 | ISHARES | EUR | 0 € | 0% | Vendida |
IE000H1H16W5 | ISHARES | EUR | 0 € | 0% | Vendida |
IE00BP3QZ601 | ISHARES | EUR | 0 € | 0% | Vendida |
AT0000A1XLV3 | ERSTE FINANCE 4 | EUR | 0 € | 0% | Vendida |
FR0013306743 | LAZARD | EUR | 0 € | 0% | Vendida |
Obligaciones sobre Derivados
Activo | Operación | Derivado | Tipo | Strike | Vencimiento | Importe | Protegida |
---|---|---|---|---|---|---|---|
INDICE S&P 500 | Venta | Futuro | FUT | sep25 | 2.568.051 € |

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2025-Q2
Renta Fija Mixto Internacional
EUR
50.895.716
8.309
0 €
1000
376.682.389 €
Operativa con derivadosSe podrá operar con instrumentos financieros 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.
Comisiones
Comisión de gestión
Total0.55
Patrimonio
Comisión de depositario
Total0.05
Gastos
Trimestral
Total0.37
0.37
0.37
0.37
Anual
Total1.47
1.68
1.69
1.65