SANTANDER GESTION GLOBAL DECIDIDO, FI
•CLASE S
266,40 €
1W | 1M | 3M | 1Y | 3Y | 5Y | 10Y |
---|---|---|---|---|---|---|
- | - |
Explicación del informe periódico
Explicación del informe periódico
Cartera Renta Variable
ISIN | Activo | Div. | Valor | Peso | Dif. |
---|---|---|---|---|---|
IE00B579F325 | SOURCE PHYSICAL MARKETS GOLD | EUR | 8.989.104 € | 1.24% | Nueva |
Cartera Deuda Publica menos de 1 año
ISIN | Activo | Int. | Fecha | Div. | Valor | Peso | Dif. |
---|---|---|---|---|---|---|---|
ES0L02503073 | SPAIN LETRAS DEL | 0% | 2025-03-07 | EUR | 7.127.682 € | 0.98% | Nueva |
ES0L02505094 | SPAIN LETRAS DEL | 0% | 2025-05-09 | EUR | 3.537.258 € | 0.49% | Nueva |
FR0128537190 | FRANCE REPUBLIC | 0% | 2025-02-12 | EUR | 3.533.209 € | 0.49% | Nueva |
ES0L02407051 | EUR | 0 € | 0% | Vendida | |||
ES0L02408091 | EUR | 0 € | 0% | Vendida | |||
ES0L02410048 | SPAIN LETRAS DEL | 0% | 2024-10-04 | EUR | 0 € | 0% | Vendida |
IT0005555963 | ITALY BUONI ORDI | 0% | 2024-07-12 | EUR | 0 € | 0% | Vendida |
DE000BU0E089 | BUNDESOBLIGATION | 0% | 2024-08-21 | EUR | 0 € | 0% | Vendida |
FR0128227784 | FRANCE REPUBLIC | 0% | 2024-09-18 | EUR | 0 € | 0% | Vendida |
IT0005559817 | ITALY BUONI ORDI | 0% | 2024-08-14 | EUR | 0 € | 0% | Vendida |
IT0005589046 | ITALY BUONI ORDI | 0% | 2024-09-30 | EUR | 0 € | 0% | Vendida |
IT0005561458 | ITALY BUONI ORDI | 0% | 2024-09-13 | EUR | 0 € | 0% | Vendida |
IT0005567778 | ITALY BUONI ORDI | 0% | 2024-10-14 | EUR | 0 € | 0% | Vendida |
Cartera ICC
ISIN | Activo | Div. | Valor | Peso | Dif. |
---|---|---|---|---|---|
ES0128523000 | RENTA FIJA GOBIERNOS EUR | EUR | 44.497.723 € | 6.15% | 3.32% |
IE00B1YZSC51 | ISHARES CORE MSCI EUROPE | EUR | 39.213.796 € | 5.42% | 17.95% |
LU1437015735 | AMUNDI INDEX MSCI EUROPE | EUR | 32.359.548 € | 4.47% | 45.03% |
LU0274209237 | DB X-TRACKERS MSCI EUROP | EUR | 31.031.525 € | 4.29% | 38.62% |
FR0011550185 | BNP THEAM EASY UCITS ETF | EUR | 29.327.432 € | 4.05% | 28.34% |
IE00BFNM3G45 | ISHARES MSCI USA ESG SCR | EUR | 28.517.308 € | 3.94% | 12.14% |
IE000JZ473P7 | HSBC S AND P 500 UCITS | EUR | 25.056.036 € | 3.46% | Nueva |
IE00B3F81R35 | ISHARES CORE EURO CORPOR | EUR | 23.183.272 € | 3.2% | 2.21% |
FR0050000894 | AMUNDI ULTR SHORT T BND | EUR | 21.332.407 € | 2.95% | Nueva |
LU1135865084 | LYXOR S AND P 500 UCITS | EUR | 91.440.597 € | 12.63% | Nueva |
LU0490618542 | XTRACKERS S AND P 500 SW | EUR | 86.987.981 € | 12.01% | 26.74% |
IE00B3YCGJ38 | INVESCO S AND P 500 UCIT | EUR | 85.854.122 € | 11.86% | 18.59% |
LU2609543421 | SANTANDER GO ASIAN EQUIT | EUR | 12.847.358 € | 1.77% | 1.14% |
LU1437017350 | AMUNDI INDEX MSCI EMERGI | EUR | 9.147.115 € | 1.26% | 51.25% |
IE00BTJRMP35 | XTRACKERS MSCI EMERGING | EUR | 8.066.380 € | 1.11% | 51.04% |
IE00BDZRX185 | NEUBERGER BERMAN SHORT D | EUR | 6.806.399 € | 0.94% | 4.05% |
IE00BKM4GZ66 | ISHARES CORE MSCI EMERGI | EUR | 5.813.121 € | 0.8% | 50.9% |
IE00BD6FTQ80 | SOURCE BLOOMBERG COMMODI | EUR | 5.263.350 € | 0.73% | 3.08% |
LU0194345913 | AXA IM FIIS US SHORT DUR | EUR | 5.157.469 € | 0.71% | 2.98% |
LU0658025209 | AXA IM FIXED INCOME INVE | EUR | 5.138.708 € | 0.71% | 3.31% |
LU1931975079 | AMUNDI PRIME EUROPE CORP | EUR | 4.758.978 € | 0.66% | 1.8% |
LU2037748774 | AMUNDI INDEX EURO CORPOR | EUR | 4.411.969 € | 0.61% | 2.79% |
ES0113661005 | SANTANDER RF CONVERTIBLE | EUR | 4.271.368 € | 0.59% | 15.02% |
LU0428380124 | MAN AHL TREND ALTERNATIV | EUR | 3.777.534 € | 0.52% | 10.94% |
LU0583240782 | MFS MERIDIAN FUNDS EME | EUR | 3.648.740 € | 0.5% | Nueva |
LU2631566846 | SANTANDER US EQUITY ESG | EUR | 3.277.308 € | 0.45% | 10.7% |
LU2657103284 | SANTANDER LATIN AMERICA | EUR | 3.163.589 € | 0.44% | 9.95% |
LU2188668326 | M AND G EUROPEAN CREDIT | EUR | 3.113.591 € | 0.43% | 4.43% |
LU0360483100 | MORGAN STANLEY INVESTMEN | EUR | 3.114.019 € | 0.43% | 4.02% |
LU0225310266 | BLUEBAY INV GRADE BOND F | EUR | 2.502.017 € | 0.35% | 4.41% |
LU0569863755 | UBAM GLOBAL HIGH YIELD | EUR | 2.567.726 € | 0.35% | 377.35% |
IE00BJSFR200 | ISHARES GLOBAL HIGH YIEL | EUR | 2.484.601 € | 0.34% | 1.52% |
LU1451406505 | INVESCO EURO CORPORATE B | EUR | 2.491.073 € | 0.34% | 4% |
LU1506496410 | DWS INVEST EURO H/Y CORP | EUR | 1.573.956 € | 0.22% | 4.53% |
LU0503372780 | CAPITAL GROWTH FUNDS R | EUR | 1.233.794 € | 0.17% | 4.09% |
LU1109943388 | XTRACKERS II EUR HIGH YI | EUR | 1.185.952 € | 0.16% | 4.93% |
IE00B66F4759 | ISHARES EURO HIGH YIELD | EUR | 1.066.738 € | 0.15% | 1.91% |
LU1644441807 | CANDRIAM SRI BND GLB HYD | EUR | 1.064.710 € | 0.15% | 3.12% |
LU0891843558 | CANDRIAM BONDS EURO HIGH | EUR | 874.913 € | 0.12% | 5.1% |
LU0276014130 | AXA WORLD FUNDS US HIG | EUR | 618.181 € | 0.09% | 3.9% |
IE00BF3N7102 | ISHARES HIGH YIELD COR | EUR | 0 € | 0% | Vendida |
IE00B579F325 | SOURCE PHYSICAL MARKETS | EUR | 0 € | 0% | Vendida |
IE00B2R34Y72 | PIMCO GLOBAL HIGH YIELD | EUR | 0 € | 0% | Vendida |
FR0011088657 | AMUNDI 3 6 M | EUR | 0 € | 0% | Vendida |
LU1681048804 | AMUNDI ETF S&P 500 UCITS | EUR | 0 € | 0% | Vendida |
LU1373035663 | BGIF ISHARES EMERGING | EUR | 0 € | 0% | Vendida |
LU0496786574 | LYXOR ETF S&P 500 A EUR | EUR | 0 € | 0% | Vendida |
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2024-Q4
Global
EUR
2.378.472
20.386
0 €
1 participaci�n
622.177.649 €
Política de Inversión
Política de Inversión
Operativa con derivados
Sectores
- No Clasificado
100.00%
Regiones
- Europa
100.00%
Tipo de Inversión
- No Clasificado
100.00%
Comisiones
Comisión de gestión
2.05
1.03
Mixta
Comisión de depositario
0.10
0.05
Al fondo
Gastos
Trimestral
0.55
0.60
0.57
0.57
Anual
2.30
2.23
2.41
2.26