EIGER PATRIMONIO GLOBAL FI
9,80 €
1W | 1M | 3M | 1Y | 3Y | 5Y | 10Y |
---|---|---|---|---|---|---|
- |
Explicación del informe periódico
Explicación del informe periódico
Cartera Renta Variable
ISIN | Activo | Div. | Valor | Peso | Dif. |
---|---|---|---|---|---|
PA1436583006 | CARNIVAL CORP | EUR | 20.460 € | 0.51% | 37.75% |
US70450Y1038 | PAYPAL HOLDINGS INC | EUR | 18.549 € | 0.46% | 52.19% |
ES0113900J37 | BANCO SANTANDER SA | EUR | 16.072 € | 0.4% | 3.09% |
US9182041080 | VF CORP | EUR | 15.132 € | 0.37% | 64.5% |
GB00BJDQQ870 | Watches of Switzerland Group P | EUR | 13.874 € | 0.34% | 38.57% |
FR0000051807 | TELEPERFORMANCE | EUR | 12.468 € | 0.31% | 15.48% |
US47215P1066 | JD.com Inc | EUR | 11.386 € | 0.28% | Nueva |
US57667L1070 | Match Group Inc | EUR | 9478 € | 0.23% | Nueva |
US44852D1081 | HUYA Inc | EUR | 3321 € | 0.08% | 19.59% |
Cartera Deuda Publica menos de 1 año
ISIN | Activo | Int. | Fecha | Div. | Valor | Peso | Dif. |
---|---|---|---|---|---|---|---|
FR0128379494 | FRENCH DISCOUNT T-BILL | 3% | 2025-05-21 | EUR | 58.209 € | 1.44% | 0.34% |
IT0005599474 | BUONI ORDINARI DEL TES | 3% | 2025-06-13 | EUR | 53.383 € | 1.32% | 0.47% |
ES0L02407051 | SPAIN LETRAS DEL TESORO | 3% | 2024-07-05 | EUR | 0 € | 0% | Vendida |
IT0005570855 | BUONI ORDINARI DEL TES | 3% | 2024-11-14 | EUR | 0 € | 0% | Vendida |
DE000BU0E097 | GERMAN TREASURY BILL | 3% | 2024-09-18 | EUR | 0 € | 0% | Vendida |
Cartera ICC
ISIN | Activo | Div. | Valor | Peso | Dif. |
---|---|---|---|---|---|
LU1534068801 | DWS Floating Rate Notes | EUR | 366.550 € | 9.08% | 14.66% |
FR0012088771 | Candriam Index Arbitrage | EUR | 317.323 € | 7.86% | 25.92% |
LU0236146428 | DWS Invest Short Duration Cred | EUR | 271.002 € | 6.71% | Nueva |
IE00B80G9288 | PIMCO Funds: Global Investors | EUR | 269.791 € | 6.68% | 19.19% |
IE00B441G979 | iShares MSCI World EUR Hedged | EUR | 250.631 € | 6.21% | 5.92% |
LU0132602656 | Morgan Stanley Investment Fund | EUR | 231.423 € | 5.73% | 3.98% |
LU1670722674 | M&G Lux Investment Funds 1 - M | EUR | 147.330 € | 3.65% | 19.89% |
IE00B7V30396 | BMO Investments III Ireland pl | EUR | 146.465 € | 3.63% | 12.68% |
LU0052620894 | Morgan Stanley Investment Fund | EUR | 135.396 € | 3.35% | 2.93% |
LU0217390060 | JPMorgan Funds - Emerging Mark | EUR | 119.180 € | 2.95% | 37.52% |
ES0173321011 | Renta 4 Pegasus FI | EUR | 112.427 € | 2.78% | 4% |
LU1736383024 | Robeco Capital Growth - BP Glo | EUR | 99.665 € | 2.47% | 2.94% |
LU0992624949 | Carmignac Portfolio - Securite | EUR | 93.129 € | 2.31% | 3.01% |
LU0438336421 | BlackRock Strategic Funds - Fi | EUR | 89.481 € | 2.22% | 2.19% |
LU0464251973 | UBS Lux Bond Fund - Full Cycle | EUR | 80.788 € | 2% | 2.26% |
LU0659580079 | db x-trackers MSCI Japan Index | EUR | 77.535 € | 1.92% | 37.86% |
LU0211118483 | AXA IM Fixed Income Investment | EUR | 72.844 € | 1.8% | 2.89% |
LU0406496546 | BlackRock Global Funds - Conti | EUR | 71.777 € | 1.78% | 4.59% |
LU1840769696 | Robeco Capital Growth Funds - | EUR | 68.682 € | 1.7% | 1.18% |
LU1078127419 | Kempen International Funds - K | EUR | 66.790 € | 1.65% | 5.7% |
LU1378879081 | Morgan Stanley Investment Fund | EUR | 63.039 € | 1.56% | 12.16% |
LU1261430877 | Fidelity Funds - Asian Smaller | EUR | 62.772 € | 1.55% | 3.2% |
US4642874329 | iShares 20+ Year Treasury Bond | EUR | 61.234 € | 1.52% | 26.51% |
IE00BD007Q55 | AXA IM Global Small Cap Equity | EUR | 60.000 € | 1.49% | Nueva |
LU1670707873 | M&G Lux Investment Funds 1 - M | EUR | 58.709 € | 1.45% | Nueva |
LU1701862812 | DWS Invest - CROCI Sectors Plu | EUR | 57.087 € | 1.41% | 2.01% |
LU1103304561 | Edmond de Rothschild Fund - US | EUR | 54.573 € | 1.35% | 5.25% |
LU0360477987 | Morgan Stanley Investment Fund | EUR | 26.137 € | 0.65% | 41.04% |
DE000A0F5UJ7 | iShares STOXX Europe 600 Banks | EUR | 21.948 € | 0.54% | 5% |
LU0721876364 | Matthews Asia Funds - China Sm | EUR | 16.319 € | 0.4% | 11.3% |
LU0088277610 | JPMorgan Liquidity Funds - USD | EUR | 0 € | 0% | Vendida |
LU0145657366 | DWS Invest ESG Euro Bonds Shor | EUR | 0 € | 0% | Vendida |
LU0161305759 | Schroder ISF European Value | EUR | 0 € | 0% | Vendida |
LU0841586075 | Nordea 1 SICAV - Global Climat | EUR | 0 € | 0% | Vendida |
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2024-Q4
Global
EUR
416.198
123
0 €
10 EUROS
4.037.880 €
Política de Inversión
Política de Inversión
Operativa con derivados
Sectores
- Consumo cíclico
50.40%
- Servicios financieros
28.67%
- Comunicaciones
10.60%
- Industria
10.33%
Regiones
- Estados Unidos
47.93%
- Europa
23.64%
- América Latina y Centroamérica
16.95%
- Reino Unido
11.49%
Tipo de Inversión
- Large Cap - Value
28.67%
- Small Cap - Blend
24.02%
- Medium Cap - Blend
16.95%
- Medium Cap - Value
10.33%
- Large Cap - Blend
9.43%
- Small Cap - Growth
7.85%
- No Clasificado
2.75%
Comisiones
Comisión de gestión
1.51
0.85
Mixta
Comisión de depositario
0.10
0.05
Al fondo
Gastos
Trimestral
0.47
0.48
0.48
0.48
Anual
2.01
1.97
2.19
1.85