FONDITEL ALBATROS, FI
•Clase B
12,61 €
1W | 1M | 3M | 1Y | 3Y | 5Y | 10Y |
---|---|---|---|---|---|---|
Explicación del informe periódico
Explicación del informe periódico
Cartera Renta Variable
ISIN | Activo | Div. | Valor | Peso | Dif. |
---|---|---|---|---|---|
US22282L1061 | Chartwe | EUR | 1 € | 0% | 0% |
Cartera Renta Fija menos de 1 año
ISIN | Activo | Int. | Fecha | Div. | Valor | Peso | Dif. |
---|---|---|---|---|---|---|---|
FR0013405537 | BNP | 1% | 2024-08-28 | EUR | 0 € | 0% | Vendida |
Cartera Renta Fija más de 1 año
ISIN | Activo | Int. | Fecha | Div. | Valor | Peso | Dif. |
---|---|---|---|---|---|---|---|
FR0014002P50 | UNEDIC | 0% | 2031-05-25 | EUR | 3.938.809 € | 1.53% | 2.21% |
FR0013369758 | Estado Francés | 0% | 2028-05-25 | EUR | 852.732 € | 0.33% | Nueva |
Cartera Deuda Publica menos de 1 año
ISIN | Activo | Int. | Fecha | Div. | Valor | Peso | Dif. |
---|---|---|---|---|---|---|---|
EU000A284451 | European Union | 0% | 2025-11-04 | EUR | 743.869 € | 0.29% | Nueva |
IT0005607459 | BUONI ORDINARI DEL T | 3% | 2025-01-31 | EUR | 49.887 € | 0.02% | Nueva |
ES0000012K38 | BONOS Y OBLIG DEL ES | 2025-05-31 | EUR | 0 € | 0% | Vendida | |
ES00000126B2 | DEUDA ESTADO ESPAÑOL | 2% | 2024-10-31 | EUR | 0 € | 0% | Vendida |
IT0005599474 | BUONI ORDINARI DEL T | 3% | 2025-06-13 | EUR | 0 € | 0% | Vendida |
IT0005580003 | Rep.de Italia | 3% | 2025-01-14 | EUR | 0 € | 0% | Vendida |
IT0005575482 | Rep.de Italia | 3% | 2024-12-13 | EUR | 0 € | 0% | Vendida |
IT0005570855 | Rep.de Italia | 3% | 2024-11-14 | EUR | 0 € | 0% | Vendida |
IT0005559817 | Rep.de Italia | 3% | 2024-08-14 | EUR | 0 € | 0% | Vendida |
IT0005555963 | Rep.de Italia | 3% | 2024-07-12 | EUR | 0 € | 0% | Vendida |
IT0005045270 | BUONI POLIENNALI DEL | 2024-12-01 | EUR | 0 € | 0% | Vendida | |
IT0005282527 | BUONI POLIENNALI DEL | 1% | 2024-11-15 | EUR | 0 € | 0% | Vendida |
IT0005327306 | Rep.de Italia | 1% | 2025-05-15 | EUR | 0 € | 0% | Vendida |
IT0005386245 | Rep.de Italia | 0% | 2025-02-01 | EUR | 0 € | 0% | Vendida |
Cartera Deuda Publica más de 1 año
ISIN | Activo | Int. | Fecha | Div. | Valor | Peso | Dif. |
---|---|---|---|---|---|---|---|
US9128285M81 | TREASURY BILL | 3% | 2028-11-15 | EUR | 5.150.084 € | 2.01% | 5.58% |
IT0005323032 | Rep.de Italia | 2% | 2028-02-01 | EUR | 4.027.700 € | 1.57% | 3.59% |
DE0001102556 | BUNDESREPUB. DEUTSCH | 1% | 2028-11-15 | EUR | 3.772.514 € | 1.47% | Nueva |
FR0013341682 | Estado Francés | 0% | 2028-11-25 | EUR | 3.653.790 € | 1.42% | 20.04% |
US9128283F58 | US TREASURY N/B | 2% | 2027-11-15 | EUR | 3.282.385 € | 1.28% | Nueva |
IE00BV8C9418 | Govierno Irlanda | 1% | 2026-05-15 | EUR | 3.100.745 € | 1.21% | 2.55% |
ES0000012B39 | DEUDA ESTADO ESPAÑOL | 1% | 2028-04-30 | EUR | 3.093.333 € | 1.2% | Nueva |
IT0005210650 | Rep.de Italia | 1% | 2026-12-01 | EUR | 2.871.473 € | 1.12% | 1.95% |
BE0000347568 | BELGIUM KINGDOM | 0% | 2029-06-22 | EUR | 2.798.247 € | 1.09% | Nueva |
ES00001010K8 | COMMUNITY OF MADRID | 3% | 2033-04-30 | EUR | 2.642.307 € | 1.03% | 2.71% |
IT0005514473 | BUONI POLIENNALI DEL | 3% | 2026-01-15 | EUR | 2.599.094 € | 1.01% | 1.08% |
ES0001352592 | Junta de galicia | 0% | 2027-07-30 | EUR | 2.254.694 € | 0.88% | 3.48% |
ES0000012L52 | BONOS Y OBLIG DEL ES | 3% | 2033-04-30 | EUR | 2.027.297 € | 0.79% | 2.7% |
US91282CGM73 | US TREASURY N/B | 3% | 2033-02-15 | EUR | 1.936.582 € | 0.75% | 11.11% |
EU000A283859 | European Union | 0% | 2030-10-04 | EUR | 1.436.153 € | 0.56% | 3.88% |
ES0000101875 | Com. de Madrid | 1% | 2028-04-30 | EUR | 1.366.574 € | 0.53% | 2.8% |
FR0012993103 | FRANCE (GOVT OF) | 1% | 2031-05-25 | EUR | 1.175.377 € | 0.46% | 61.16% |
ES0000012G34 | DEUDA ESTADO ESPAÑOL | 1% | 2030-10-31 | EUR | 870.528 € | 0.34% | 3.79% |
IT0005542359 | BUONI POLIENNALI DEL | 4% | 2031-10-30 | EUR | 635.171 € | 0.25% | Nueva |
IT0005500068 | BUONI POLIENNALI DEL | 2% | 2027-12-01 | EUR | 598.337 € | 0.23% | 2.5% |
FR001400BKZ3 | FRANCE (GOVT OF) | 2% | 2032-11-25 | EUR | 582.297 € | 0.23% | 68.07% |
ES0200002030 | Adif | 1% | 2026-05-04 | EUR | 0 € | 0% | Vendida |
EU000A3K4DD8 | EUROPEAN UNION | 1% | 2032-07-06 | EUR | 0 € | 0% | Vendida |
FR001400H7V7 | FRANCE (GOVT OF) | 3% | 2033-05-25 | EUR | 0 € | 0% | Vendida |
EU000A284451 | European Union | 0% | 2025-11-04 | EUR | 0 € | 0% | Vendida |
FR0013369758 | Estado Francés | 0% | 2028-05-25 | EUR | 0 € | 0% | Vendida |
FR0012938116 | Estado Francés | 1% | 2025-11-25 | EUR | 0 € | 0% | Vendida |
Cartera ICC
ISIN | Activo | Div. | Valor | Peso | Dif. |
---|---|---|---|---|---|
IE00B44Z5B48 | ETF SPDR MSCI ACWI | EUR | 17.998.826 € | 7.01% | 8.18% |
IE00B3F81R35 | ETF Ishares Barclays | EUR | 13.828.067 € | 5.38% | 2.21% |
IE00BJ0KDQ92 | ETF X MSCI World-IC | EUR | 9.402.537 € | 3.66% | 8.89% |
LU0478205379 | ETF DB X-Trackers | EUR | 9.173.721 € | 3.57% | 3.94% |
IE00B60SX394 | ETF Invesco MSCI Wor | EUR | 9.063.426 € | 3.53% | 9.01% |
IE00B6R52259 | ETF Isha. MSCI ACWI | EUR | 8.298.395 € | 3.23% | 9.16% |
FR0010315770 | ETF Lyxor MSCI World | EUR | 7.734.852 € | 3.01% | 7.76% |
IE00B3RBWM25 | ETF Vanguard FTSE AW | EUR | 7.406.784 € | 2.88% | 7.44% |
IE000AK4O3W6 | iShares EUR Corp Bon | EUR | 7.148.968 € | 2.78% | Nueva |
LU1484799843 | UBS LUX Convert Bond | EUR | 5.624.872 € | 2.19% | Nueva |
IE00BYVF7770 | NeubeCor | EUR | 5.632.864 € | 2.19% | 402.69% |
LU0210246277 | Robeco Capital Growt | EUR | 5.549.825 € | 2.16% | Nueva |
LU0361845232 | AXA World Funds - Eu | EUR | 5.520.379 € | 2.15% | Nueva |
IE00BD4TXV59 | UBS Irl ETF plc - MS | EUR | 5.268.403 € | 2.05% | Nueva |
IE0001GSQ2O9 | Amundi MSCI World ES | EUR | 5.275.210 € | 2.05% | 9.81% |
LU0629459743 | ETF UBS MSCI World | EUR | 5.249.357 € | 2.04% | 46.01% |
LU1829219127 | ETF Lyx Eur Corp Bon | EUR | 4.932.301 € | 1.92% | 3.88% |
IE00BYX2JD69 | ETF Ishares JPM MSCI | EUR | 4.883.253 € | 1.9% | 8.06% |
IE00B57X3V84 | ETF Ishares Gl Sust | EUR | 4.201.728 € | 1.64% | 5.28% |
LU1437018168 | ETF Amundi IEACS DR | EUR | 3.099.870 € | 1.21% | 3.93% |
IE00B3B8Q275 | ETF IShares EUR Cove | EUR | 2.565.270 € | 1% | Nueva |
LU1681045370 | Amundi Msci Emerg Ma | EUR | 1.898.752 € | 0.74% | 2.62% |
LU1931975079 | ETF Amundi Prime E | EUR | 1.630.147 € | 0.63% | 1.8% |
IE00BKDW9G15 | Prin Gl Fin UN EM FI | EUR | 1.167.715 € | 0.45% | 9.14% |
US46138E3541 | Invesco S&P 500 Low | EUR | 1.129.032 € | 0.44% | 11.51% |
IE00BKM4GZ66 | ETF Ishares CORE | EUR | 997.595 € | 0.39% | 2.23% |
LU0646914142 | Arcano Fund - Europe | EUR | 812.421 € | 0.32% | 4.01% |
US4642871762 | ETF Ishares Barclays | EUR | 797.427 € | 0.31% | 3.24% |
IE00BTJRMP35 | ETF DBX MSCI Emerg m | EUR | 706.092 € | 0.27% | 2.29% |
IE000UQND7H4 | ETF HSBC MSCI WLD EU | EUR | 564.690 € | 0.22% | Nueva |
IE00B4L60045 | IShares Euro Corp Bo | EUR | 20.105 € | 0.01% | Nueva |
IE00BD9MMF62 | ETF JPM Eur Ultsht I | EUR | 0 € | 0% | Vendida |
Derechos sobre Derivados
Activo | Operación | Derivado | Tipo | Strike | Vencimiento | Importe | Protegida |
---|---|---|---|---|---|---|---|
Standard & Poors 500 | Compra | Opción | CALL | 6200 | 02/25 | 9.580.838 € | |
Standard & Poors 500 | Compra | Opción | PUT | 6100 | 03/25 | 1.740.868 € | |
Standard & Poors 500 | Compra | Opción | PUT | 6000 | 03/25 | 1.712.492 € | |
DJ Euro Stoxx 50 | Compra | Opción | CALL | 4950 | 03/25 | 2.970.000 € |
Obligaciones sobre Derivados
Activo | Operación | Derivado | Tipo | Strike | Vencimiento | Importe | Protegida |
---|---|---|---|---|---|---|---|
DJ Stoxx Europe 600 Utilities Price | Venta | Futuro | FUT | 03/25 | 1.067.052 € | ||
Indice Utilities Select Sector | Venta | Futuro | FUT | 03/25 | 1.131.881 € | ||
DJ Stoxx Europe 600 | Venta | Futuro | FUT | 03/25 | 1.135.332 € | ||
Standard & Poors 500 | Venta | Opción | PUT | 5500 | 03/25 | 1.569.635 € | |
MSCI Emerging Markets MINI | Venta | Futuro | FUT | 03/25 | 2.608.774 € | ||
Standard & Poors 500 | Venta | Futuro | FUT | 03/25 | 1.486.116 € | ||
Indice MSCI World Total Ret USD | Venta | Futuro | FUT | 03/25 | 2.244.598 € | ||
DJ Euro Stoxx 50 | Venta | Futuro | FUT | 03/25 | 1.243.125 € | ||
Standard & Poors 500 | Venta | Opción | PUT | 5400 | 03/25 | 1.541.243 € |
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2024-Q4
Renta Variable Mixta Internacional
EUR
14.913.253
21
0 €
0
185.905.882 €
Política de Inversión
Política de Inversión
Operativa con derivados
Sectores
- No Clasificado
100.00%
Regiones
- Estados Unidos
100.00%
Tipo de Inversión
- No Clasificado
100.00%
Comisiones
Comisión de gestión
0.33
0.17
Patrimonio
Comisión de depositario
0.09
0.05
Gastos
Trimestral
0.15
0.15
0.14
0.14
Anual
0.58
0.48
0.48
0.52