MI PROYECTO SANTANDER 2040, FI
5,76 €
1W | 1M | 3M | 1Y | 3Y | 5Y | 10Y |
---|---|---|---|---|---|---|
- | - |
Explicación del informe periódico
Explicación del informe periódico
Cartera Renta Fija menos de 1 año
ISIN | Activo | Int. | Fecha | Div. | Valor | Peso | Dif. |
---|---|---|---|---|---|---|---|
FR0128379494 | FRANCE REPUBLIC | 0% | 2025-05-21 | EUR | 77.869 € | 1.89% | Nueva |
Cartera Deuda Publica menos de 1 año
ISIN | Activo | Int. | Fecha | Div. | Valor | Peso | Dif. |
---|---|---|---|---|---|---|---|
ES0L02501101 | SPAIN LETRAS DEL | 0% | 2025-01-10 | EUR | 307.807 € | 7.49% | 0.02% |
IT0005561458 | ITALY BUONI ORDI | 0% | 2024-09-13 | EUR | 0 € | 0% | Vendida |
Cartera ICC
ISIN | Activo | Div. | Valor | Peso | Dif. |
---|---|---|---|---|---|
IE00B1YZSC51 | ISHARES CORE MSCI EUROPE | EUR | 282.556 € | 6.87% | 1.48% |
LU1135865084 | LYXOR S AND P 500 UCITS | EUR | 252.433 € | 6.14% | 26.2% |
LU0274209237 | DB X-TRACKERS MSCI EUROP | EUR | 243.833 € | 5.93% | 8.68% |
IE00BF4G7076 | JPMORGAN US RESEARCH ENH | EUR | 229.211 € | 5.58% | 12.66% |
LU0969639474 | UBS ETF BARCLAYS EUR T | EUR | 205.454 € | 5% | Nueva |
IE00BMTX1Y45 | ISHARES S AND P 500 SWAP | EUR | 170.191 € | 4.14% | Nueva |
LU1313770965 | CANDRIAM SRI BOND EUR CO | EUR | 121.633 € | 2.96% | 25.21% |
LU0950671825 | UBS ETF MSCI JAPAN UCITS | EUR | 115.800 € | 2.82% | 12.39% |
LU1437017350 | AMUNDI INDEX MSCI EMERGI | EUR | 112.958 € | 2.75% | 8.23% |
IE00B469F816 | SSGA SPDR MSCI EMERGING | EUR | 96.726 € | 2.35% | 15.23% |
IE00BKWQ0Q14 | SPDR MSCI EUROPE UCITS E | EUR | 95.488 € | 2.32% | 0.86% |
IE00B3YCGJ38 | INVESCO S AND P 500 UCIT | EUR | 522.464 € | 12.71% | 11.97% |
IE000JZ473P7 | HSBC S AND P 500 UCITS | EUR | 512.706 € | 12.47% | 17.46% |
IE00BF4G7183 | JPM EUROPE RESEARCH ENHA | EUR | 456.084 € | 11.1% | 4.75% |
IE00B52MJY50 | ISHARES CORE MSCI PACIFI | EUR | 57.675 € | 1.4% | 3.34% |
LU1437015735 | AMUNDI INDEX MSCI EUROPE | EUR | 46.468 € | 1.13% | 35.81% |
LU0969639128 | UBS ETF BLOOMBERG BARC | EUR | 0 € | 0% | Vendida |
LU1819949246 | BNP PARIBAS FUNDS SUST | EUR | 0 € | 0% | Vendida |
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2024-Q4
Global
EUR
737.208
111
0 €
1 participaci�n
4.110.448 €
Política de Inversión
Política de Inversión
Operativa con derivados
Comisiones
Comisión de gestión
0.35
0.18
Patrimonio
Comisión de depositario
0.09
0.04
Gastos
Trimestral
0.16
0.21
0.19
0.17
Anual
0.99
0.69