ABACO RENTA FIJA, FI
•R
5,59 €
| 1W | 1M | 3M | 1Y | 3Y | 5Y | 10Y | 
|---|---|---|---|---|---|---|
| 0.28% | 0.7% | 1.84% | 4.25% | 4.37% | - | - | 
Cartera Renta Fija menos de 1 año
| ISIN | Activo | Int. | Fecha | Div. | Valor | Peso | Dif. | 
|---|---|---|---|---|---|---|---|
USU5007TAA35  | KOSMOS ENERGY  | 3%  | 2026-04-04  | EUR  | 408.683 €  | 1.77%  | Nueva  | 
US131193AE46  | CALLAWAY GOLF COMPAN  | 1%  | 2026-05-01  | EUR  | 247.385 €  | 1.07%  | Nueva  | 
XS2241387500  | ULKER BISKUVI SANAYI  | 3%  | 2025-10-30  | EUR  | 4267 €  | 0.02%  | 12.63%  | 
NO0010893076  | BROOGE PEROLEUM AND  | 4%  | 2025-09-24  | EUR  | 1852 €  | 0.01%  | 20.17%  | 
Cartera Renta Fija más de 1 año
| ISIN | Activo | Int. | Fecha | Div. | Valor | Peso | Dif. | 
|---|---|---|---|---|---|---|---|
NO0012423476  | INTERNATIONAL PETROL  | 3%  | 2027-02-01  | EUR  | 1.142.498 €  | 4.95%  | 18.67%  | 
NO0013331223  | GOLAR LNG  | 3%  | 2029-09-19  | EUR  | 1.026.541 €  | 4.45%  | 6.4%  | 
XS2354329190  | BASIC-FIT NV  | 0%  | 2028-06-17  | EUR  | 984.057 €  | 4.26%  | 106.52%  | 
XS2729164462  | ULKER BISKUVI SANAYI  | 4%  | 2028-12-07  | EUR  | 976.182 €  | 4.23%  | 143.73%  | 
XS2355105292  | ANADOLU EFES  | 1%  | 2028-06-29  | EUR  | 915.835 €  | 3.97%  | 448.5%  | 
XS2393001891  | GRIFOLS  | 1%  | 2028-10-15  | EUR  | 803.592 €  | 3.48%  | Nueva  | 
USG8001GAA79  | SEADRILL LTD  | 4%  | 2030-08-01  | EUR  | 517.771 €  | 2.24%  | 74.89%  | 
NO0011091290  | EURONAV LUXEMBOURG S  | 3%  | 2026-09-14  | EUR  | 506.862 €  | 2.19%  | 11.87%  | 
XS3071337847  | SACYR INTL  | 4%  | 2030-05-29  | EUR  | 506.029 €  | 2.19%  | Nueva  | 
USG90073AE09  | TRANSOCEAN  | 4%  | 2027-02-01  | EUR  | 503.355 €  | 2.18%  | 74.39%  | 
USC3346PAA69  | FAIRFAX FIANACIAL HO  | 2%  | 2028-02-26  | EUR  | 395.642 €  | 1.71%  | 76.32%  | 
XS2270378149  | IWG PLC  | 0%  | 2027-12-09  | EUR  | 341.982 €  | 1.48%  | 0.52%  | 
NO0013132134  | TORM A/S  | 4%  | 2029-01-25  | EUR  | 262.765 €  | 1.14%  | 12.94%  | 
ES0305626006  | INSUR PROMOCION INTE  | 4%  | 2026-12-10  | EUR  | 198.278 €  | 0.86%  | 0.26%  | 
NO0012952227  | TIDEWATER INC  | 5%  | 2028-07-03  | EUR  | 181.961 €  | 0.79%  | Nueva  | 
USU1056LAC55  | BURFORD CAPITAL LTD  | 4%  | 2031-07-01  | EUR  | 180.345 €  | 0.78%  | 12.5%  | 
NO0013355248  | MPC CONTAINER SHIPS  | 3%  | 2029-10-09  | EUR  | 166.413 €  | 0.72%  | 13.43%  | 
NO0013077560  | BW OFFSHORE LTD  | 2%  | 2028-11-29  | EUR  | 132.411 €  | 0.57%  | 0.55%  | 
XS1617531063  | TURKIYE GARANTI BANK  | 3%  | 2027-05-24  | EUR  | 86.271 €  | 0.37%  | 11.6%  | 
NO0013326132  | SEACREST PETROLEO BE  | 10%  | 2027-09-18  | EUR  | 2660 €  | 0.01%  | Nueva  | 
USP6680PAA95  | CIA DE MINAS BUENAVE  | 2%  | 2026-07-23  | EUR  | 0 €  | 0%  | Vendida  | 
MHY2687W1241  | GASLOG LTD  | 2%  | 2060-03-15  | EUR  | 0 €  | 0%  | Vendida  | 
USU5007TAA35  | KOSMOS ENERGY  | 3%  | 2026-04-04  | EUR  | 0 €  | 0%  | Vendida  | 
NO0013326132  | SEACREST PETROLEO BE  | 5%  | 2027-09-18  | EUR  | 0 €  | 0%  | Vendida  | 
NO0011151870  | TEEKAY CORPORATION  | 2%  | 2026-02-18  | EUR  | 0 €  | 0%  | Vendida  | 
US131193AE46  | CALLAWAY GOLF COMPAN  | 1%  | 2026-05-01  | EUR  | 0 €  | 0%  | Vendida  | 
USU85254AG25  | W&T OFFSHORE INC  | 5%  | 2026-02-01  | EUR  | 0 €  | 0%  | Vendida  | 
Cartera Renta Fija No Cotizada
| ISIN | Activo | Int. | Fecha | Div. | Valor | Peso | Dif. | 
|---|---|---|---|---|---|---|---|
ES0554653560  | INMOBILIRIA DEL SUR  | 3%  | 2026-05-27  | EUR  | 673.552 €  | 2.92%  | Nueva  | 
ES0505223331  | GESTAMP  | 2%  | 2025-09-16  | EUR  | 594.900 €  | 2.58%  | Nueva  | 
ES05781650C3  | TECNICAS REUNIDAS  | 3%  | 2025-10-28  | EUR  | 488.368 €  | 2.11%  | Nueva  | 
ES0505130791  | GLOBAL DOMINION  | 2%  | 2025-11-28  | EUR  | 395.206 €  | 1.71%  | Nueva  | 
ES0505130700  | GLOBAL DOMINION  | 3%  | 2025-10-17  | EUR  | 390.775 €  | 1.69%  | Nueva  | 
ES0505130783  | GLOBAL DOMINION  | 2%  | 2026-04-10  | EUR  | 390.731 €  | 1.69%  | Nueva  | 
ES0505130759  | GLOBAL DOMINION  | 3%  | 2026-03-06  | EUR  | 386.743 €  | 1.67%  | Nueva  | 
ES0505521510  | ARTECHE LANTEGI ELKA  | 2%  | 2025-09-19  | EUR  | 295.964 €  | 1.28%  | Nueva  | 
ES05329456A8  | TUBACEX  | 3%  | 2025-12-22  | EUR  | 291.350 €  | 1.26%  | 0.2%  | 
ES05052870S5  | AEDAS HOMES SAU  | 3%  | 2026-07-24  | EUR  | 286.648 €  | 1.24%  | Nueva  | 
ES0537650485  | FLUIDRA  | 2%  | 2025-07-23  | EUR  | 198.763 €  | 0.86%  | Nueva  | 
ES0505521502  | ARTECHE LANTEGI ELKA  | 3%  | 2025-07-18  | EUR  | 196.937 €  | 0.85%  | Nueva  | 
ES0530625179  | ENCE ENERGIA$CELULOS  | 3%  | 2026-02-26  | EUR  | 193.808 €  | 0.84%  | Nueva  | 
ES05329456B6  | TUBACEX  | 3%  | 2026-01-16  | EUR  | 194.206 €  | 0.84%  | Nueva  | 
ES0554653545  | INMOBILIRIA DEL SUR  | 4%  | 2026-01-27  | EUR  | 191.875 €  | 0.83%  | Nueva  | 
ES0554653552  | INMOBILIRIA DEL SUR  | 4%  | 2026-03-27  | EUR  | 192.300 €  | 0.83%  | Nueva  | 
ES0554653529  | INMOBILIRIA DEL SUR  | 4%  | 2025-09-26  | EUR  | 191.569 €  | 0.83%  | 0.02%  | 
ES0505130684  | GLOBAL DOMINION  | 2%  | 2025-09-19  | EUR  | 99.120 €  | 0.43%  | Nueva  | 
ES0505130734  | GLOBAL DOMINION  | 3%  | 2026-02-13  | EUR  | 96.873 €  | 0.42%  | Nueva  | 
ES0530625252  | ENCE ENERGIA$CELULOS  | 3%  | 2026-06-26  | EUR  | 97.087 €  | 0.42%  | Nueva  | 
ES05329456I1  | TUBACEX  | 3%  | 2026-02-13  | EUR  | 97.060 €  | 0.42%  | Nueva  | 
ES0505287997  | AEDAS HOMES SAU  | 4%  | 2026-05-15  | EUR  | 94.721 €  | 0.41%  | 0.27%  | 
ES0505130676  | GLOBAL DOMINION  | 4%  | 2025-07-18  | EUR  | 95.529 €  | 0.41%  | 0.42%  | 
ES05052870T3  | AEDAS HOMES SAU  | 3%  | 2027-01-22  | EUR  | 93.167 €  | 0.4%  | Nueva  | 
ES0505287906  | AEDAS HOMES SAU  | 4%  | 2025-03-21  | EUR  | 0 €  | 0%  | Vendida  | 
ES0505287823  | AEDAS HOMES SAU  | 4%  | 2025-04-11  | EUR  | 0 €  | 0%  | Vendida  | 
ES0505521452  | ARTECHE LANTEGI ELKA  | 4%  | 2025-01-24  | EUR  | 0 €  | 0%  | Vendida  | 
ES0505630014  | CIE AUTOMOTIVE SA  | 4%  | 2025-01-29  | EUR  | 0 €  | 0%  | Vendida  | 
ES0505630014  | CIE AUTOMOTIVE SA  | 3%  | 2025-01-29  | EUR  | 0 €  | 0%  | Vendida  | 
ES0505630030  | CIE AUTOMOTIVE SA  | 3%  | 2025-03-13  | EUR  | 0 €  | 0%  | Vendida  | 
ES0505130635  | GLOBAL DOMINION  | 4%  | 2025-02-14  | EUR  | 0 €  | 0%  | Vendida  | 
ES0505130650  | GLOBAL DOMINION  | 4%  | 2025-04-11  | EUR  | 0 €  | 0%  | Vendida  | 
ES0505130627  | GLOBAL DOMINION  | 5%  | 2025-05-16  | EUR  | 0 €  | 0%  | Vendida  | 
ES0530625120  | ENCE ENERGIA$CELULOS  | 4%  | 2025-04-28  | EUR  | 0 €  | 0%  | Vendida  | 
ES0530625138  | ENCE ENERGIA$CELULOS  | 4%  | 2025-06-26  | EUR  | 0 €  | 0%  | Vendida  | 
ES0505223315  | GESTAMP  | 3%  | 2025-05-13  | EUR  | 0 €  | 0%  | Vendida  | 
ES0554653495  | INMOBILIRIA DEL SUR  | 5%  | 2025-05-27  | EUR  | 0 €  | 0%  | Vendida  | 
ES0554653495  | INMOBILIRIA DEL SUR  | 5%  | 2025-05-27  | EUR  | 0 €  | 0%  | Vendida  | 
ES05329455L7  | TUBACEX  | 5%  | 2025-01-17  | EUR  | 0 €  | 0%  | Vendida  | 
ES05329455U8  | TUBACEX  | 4%  | 2025-04-15  | EUR  | 0 €  | 0%  | Vendida  | 
ES05329455M5  | TUBACEX  | 4%  | 2025-01-30  | EUR  | 0 €  | 0%  | Vendida  | 
ES0583746583  | VIDRALA  | 4%  | 2025-01-10  | EUR  | 0 €  | 0%  | Vendida  | 
ES0583746591  | VIDRALA  | 3%  | 2025-03-11  | EUR  | 0 €  | 0%  | Vendida  | 
ES0583746583  | VIDRALA  | 3%  | 2025-01-10  | EUR  | 0 €  | 0%  | Vendida  | 
XS2937140965  | MAIRE TECNIMONT  | 4%  | 2025-03-24  | EUR  | 0 €  | 0%  | Vendida  | 
XS2871064916  | MAIRE TECNIMONT  | 4%  | 2025-05-05  | EUR  | 0 €  | 0%  | Vendida  | 
Cartera Deuda Publica menos de 1 año
| ISIN | Activo | Int. | Fecha | Div. | Valor | Peso | Dif. | 
|---|---|---|---|---|---|---|---|
ES0L02511076  | REINO DE ESPA#A  | 1%  | 2025-11-07  | EUR  | 396.460 €  | 1.72%  | Nueva  | 
ES0L02507041  | REINO DE ESPA#A  | 2%  | 2025-07-04  | EUR  | 298.825 €  | 1.29%  | Nueva  | 
ES0L02508080  | REINO DE ESPA#A  | 2%  | 2025-08-08  | EUR  | 298.255 €  | 1.29%  | Nueva  | 
ES0L02509054  | REINO DE ESPA#A  | 2%  | 2025-09-05  | EUR  | 297.817 €  | 1.29%  | Nueva  | 
ES0L02510102  | REINO DE ESPA#A  | 1%  | 2025-10-10  | EUR  | 198.669 €  | 0.86%  | Nueva  | 
ES0L02502075  | REINO DE ESPA#A  | 0%  | 2025-02-07  | EUR  | 0 €  | 0%  | Vendida  | 
ES0L02503073  | REINO DE ESPA#A  | 0%  | 2025-03-07  | EUR  | 0 €  | 0%  | Vendida  | 
ES0L02504113  | REINO DE ESPA#A  | 0%  | 2025-04-11  | EUR  | 0 €  | 0%  | Vendida  | 
Suscribete a mi newslleter, y encuentra muchas tesis de inversión.
2025-Q2
Renta Fija Internacional
EUR
3.532.534
225
0 €
19.617.901 €
Operativa con derivadosInversión y cobertura.
Comisiones
Comisión de gestión
Total0.35
Patrimonio
Comisión de depositario
Total0.04
Al fondo
Gastos
Trimestral
Total0.20
0.20
0.21
0.21
Anual
Total0.83
0.88
0.96