SABADELL EQUILIBRADO, FI
•CARTERA
13,40 €
1W | 1M | 3M | 1Y | 3Y | 5Y | 10Y |
---|---|---|---|---|---|---|
1.03% | 1.97% | 6.25% | 5.25% | 4% | 4.86% | 2.92% |
Cartera Renta Fija más de 1 año
ISIN | Activo | Div. | Valor | Peso | Dif. |
---|---|---|---|---|---|
IE00B4ND3602 | EUR | 6.290.976 € | 1.27% | 10.59% |
Cartera ICC
ISIN | Activo | Div. | Valor | Peso | Dif. |
---|---|---|---|---|---|
ES0138983004 | Part. SABADELL EEUU BOLSA, FI - CARTERA | EUR | 45.270.965 € | 9.13% | 4.3% |
ES0174403008 | Part. SABADELL INTERÉS EURO, FI - CARTER | EUR | 41.398.147 € | 8.35% | 8.02% |
ES0173828007 | Part. SABADELL BONOS EURO, FI - CARTERA | EUR | 34.598.620 € | 6.98% | 4.75% |
ES0183339003 | Part. SABADELL EUROPA BOLSA FUT, FI-CART | EUR | 15.519.393 € | 3.13% | 8.26% |
ES0174356016 | Part. SAB BONOS FLOTANTES EUR, FI - CART | EUR | 14.872.983 € | 3% | 8.1% |
LU2351337501 | .FCH JPM US EQUIT FOC-ZCUSD SICAV(USD) | EUR | 14.590.956 € | 2.94% | 11.64% |
LU1894685046 | .AMUNDI FDS US EQ R VAL-I2 SICAV | EUR | 14.289.766 € | 2.88% | 13.59% |
LU1882472373 | .AMUNDI FDS EURO CORP BD-I2 C SICAV | EUR | 13.794.800 € | 2.78% | Nueva |
ES0111098002 | Part. SABADELL EUROACCIÓN, FI - CARTERA | EUR | 12.818.322 € | 2.59% | 7.64% |
LU1140883403 | .ELEVA EUROPEAN SEL-I2 EUR SICAV | EUR | 12.122.242 € | 2.45% | 6.92% |
IE0005YFAVJ3 | PART.PIMCO GIS COMMODI REAL RE-IEURUA | EUR | 12.068.402 € | 2.43% | 5.92% |
LU2732984955 | PART.AMUNDI FDS US EQ F GR J2 | EUR | 10.806.996 € | 2.18% | 8.21% |
ES0175083007 | Part. SAB BOLSAS EMERG, FI - CARTERA | EUR | 10.416.631 € | 2.1% | 7.01% |
LU1135865084 | ETF.AMUNDI S&P 500 II | EUR | 9.816.333 € | 1.98% | 8.11% |
ES0138950003 | Part. SABADELL DOLAR FIJO, FI - CARTERA | EUR | 9.587.233 € | 1.93% | 14.94% |
FR0014005XN8 | PART.AMUNDI EURO LIQ RATED RESPONSIBLE-Z | EUR | 9.244.509 € | 1.87% | 26.28% |
FR0010319996 | PART.AMUNDI ABS RESPONSIBLE I-C ACC | EUR | 8.281.154 € | 1.67% | 4.73% |
LU1883315480 | .AMUNDI EUR EQ VALUE-I2 EUR C SICAV | EUR | 8.089.100 € | 1.63% | 6.56% |
ES0184976001 | Part. SABADELL EURO YIELD, FI - CARTERA | EUR | 8.014.600 € | 1.62% | 1.73% |
LU1882440925 | PART.AMUNDI FUNDS-ABS RT MS-J C | EUR | 7.702.840 € | 1.55% | 6.69% |
LU1437018168 | ETF.AMUNDI INDEX EURO CORPORATE | EUR | 7.573.447 € | 1.53% | 7.7% |
IE00BNK9T448 | PART.AMUNDI TIEDMNN ARB ST-SIEURA | EUR | 7.077.836 € | 1.43% | 7.66% |
LU1882468934 | PART.AMUNDI-F EUR AGGREGAT BOND-J2 EUR C | EUR | 7.038.111 € | 1.42% | 7.75% |
LU1443248544 | .EXANE FUNDS 2 EQ SEL EUR-S SICAV | EUR | 6.716.826 € | 1.36% | 65.26% |
LU1883305259 | .AMUNDI EUROLAND EQY-J2EURC SICAV | EUR | 5.555.021 € | 1.12% | 7.71% |
LU1882474585 | .AMUNDI EURO GOVT RESP BD I2 C SICAV | EUR | 5.503.527 € | 1.11% | 8.04% |
LU2031322808 | .SCHRODER ISF GL EM OP IZUA SICAV(USD) | EUR | 5.470.369 € | 1.1% | 6.62% |
LU1955039661 | .ABN AMRO-PRNSS US SUS-X1 EUR SICAV | EUR | 5.003.373 € | 1.01% | 6.16% |
IE00B3LJVG97 | PART.MAN ALPHA SELECT ALTERNATIVE-IL-H | EUR | 4.998.049 € | 1.01% | 8.22% |
ES0111092005 | Part. SAB ESPAÑA BOLSA FUT, FI - CARTERA | EUR | 4.801.902 € | 0.97% | 21.67% |
LU2423587752 | .FCH NEUBERGER BER US LC ZC SICAV(USD) | EUR | 4.634.794 € | 0.94% | 12.4% |
IE00BL71KB37 | PART.AMUNDI CHENAVARI CREDIT FD-SSI E | EUR | 4.335.332 € | 0.87% | 8.15% |
LU1882454124 | .AMUNDI FUNDS-EMG MKT BD-J2EURHC SICAV | EUR | 4.133.316 € | 0.83% | 3.92% |
LU1883320050 | .AMUNDI GLOBAL ECO ESG-I2EUR C SICAV | EUR | 4.092.831 € | 0.83% | 6.32% |
LU0255979238 | .PICTET-JAPAN EQTY OPP-IE SICAV | EUR | 3.632.466 € | 0.73% | 6.22% |
LU1764069099 | .AB SICAV I-SEL US EQTY-S1 SICAV | EUR | 3.322.686 € | 0.67% | 7.81% |
LU1642889601 | .FIDELITY GL TECH FD-IA SICAV | EUR | 3.064.470 € | 0.62% | 4.3% |
LU0278427041 | PART.EPSILON FUND EURO BD-I | EUR | 3.082.056 € | 0.62% | 7.44% |
LU1435387458 | .LOOMIS SAYL US GR EQ-S1 A EUR SICAV | EUR | 3.009.676 € | 0.61% | 8.95% |
LU1559926545 | PART.EURIZON FUND TOP EUROPEAN RESEAR-X | EUR | 2.956.564 € | 0.6% | Nueva |
LU1870374508 | .ALMA CAPITAL-AL EI JP LCE-IEURC SICAV | EUR | 2.825.165 € | 0.57% | 5.44% |
LU2557886988 | .BNP PARIBAS US SMALL CP-I SICAV | EUR | 2.826.770 € | 0.57% | 8.44% |
LU0853555893 | .JUPITER JGF DY B FD-I EUR A SICAV | EUR | 2.504.992 € | 0.51% | 7.11% |
IE00BF2S5G73 | PART.MAN JAPAN CORE ALPHA EQ-IXX (JPY) | EUR | 2.522.534 € | 0.51% | 10.04% |
FR0013233707 | .EDR SICAV-FIN BONDS-NC EUR SICAV | EUR | 2.495.825 € | 0.5% | 7.71% |
LU2188668326 | .ESIF-M&G EU CRD INV-Q1CEUR SICAV | EUR | 2.488.238 € | 0.5% | 7.27% |
IE00BFYV9M80 | PART.GUINNESS SUSTAN ENERGY-Y EUR | EUR | 2.488.387 € | 0.5% | 1.5% |
IE00BM95B514 | PART.POLAR CAPITAL GLB TECH-I EUR ACC | EUR | 2.416.772 € | 0.49% | 1.55% |
LU2016219680 | .SCHRODER ISF LAT AM IZ U A SICAV(USD) | EUR | 2.386.051 € | 0.48% | 2.15% |
LU1728553857 | .DNCA INVEST-ALPHA BONDS-SIEU SICAV | EUR | 2.246.734 € | 0.45% | 8% |
LU0926439992 | .VONTOBEL-EMERG MARKET H HDG SICAV | EUR | 2.120.565 € | 0.43% | 5.78% |
LU0568582299 | .AMUNDI FUNDS-EQ JP TGT-Y C SICAV(JPY) | EUR | 2.077.206 € | 0.42% | 1.18% |
LU0966752916 | .JANUS HND ABS RET G2 EUR HEDG SICAV | EUR | 2.045.456 € | 0.41% | 8.22% |
IE00BF4RFH31 | ETF.ISHARES MSCI WORLD SMALL CAP | EUR | 2.023.440 € | 0.41% | 4.48% |
LU2049492049 | .EXANE 2- PLEIADE FND-SEURA SICAV | EUR | 1.993.063 € | 0.4% | 7.95% |
IE00B44G8632 | PART.KBI GLOBAL ENERGY TRANSITION FUND-C | EUR | 1.962.115 € | 0.4% | 1.73% |
LU1717117623 | .VONTOBEL TWF STRT INC-HGHEUR SICAV | EUR | 1.950.800 € | 0.39% | 7.34% |
LU1751207348 | .SCHRODER INTL EM ASIA IZ EUR SICAV | EUR | 1.641.108 € | 0.33% | 7.26% |
LU1481584016 | PART.FLOSSBACH STORCH BD OPP IT EUR | EUR | 1.645.096 € | 0.33% | 7% |
LU1739248950 | .ELEVA ABSOLUTE RETURN EURO-I2 SICAV | EUR | 1.553.049 € | 0.31% | 7.32% |
LU0891843558 | .CANDRIAM BONDS-EURO HY-V SICAV | EUR | 1.494.378 € | 0.3% | 8.09% |
LU0622664224 | .ROBECO FIN INST BD IH SICAV | EUR | 1.495.028 € | 0.3% | 7.71% |
LU1291158316 | .CPR INVEST- GS AGE I EUR-C SICAV | EUR | 1.446.538 € | 0.29% | 12.31% |
LU2423595854 | .FCH BLUEBAY INT GE EO BD-ZCEUR SICAV | EUR | 1.453.166 € | 0.29% | 7.98% |
LU1880402760 | .AMUNDI FDS US BOND IEURHDGC SICAV | EUR | 1.306.622 € | 0.26% | 6.61% |
LU1550163023 | .FIDELITY GL FIN-IEUR SICAV | EUR | 1.248.900 € | 0.25% | 7.89% |
LU2199721130 | .JPMORGAN ASIA GROWTH-IEURC SICAV | EUR | 1.245.787 € | 0.25% | 3.94% |
LU2145464777 | .ROBECO SMART MATERIAL-IEE SICAV | EUR | 1.195.259 € | 0.24% | 10.05% |
LU1960219571 | .BLKROCK WORLD HEALTHSCIE-I2EU SICAV | EUR | 1.153.078 € | 0.23% | 11.68% |
LU1460782573 | .HSBC GI M/A STYLE FTORS-XC SICAV | EUR | 1.095.819 € | 0.22% | 8.06% |
IE000TN7YMO1 | PART.ATLAS GBL INFRASTRUCT-BEUNHD | EUR | 1.058.285 € | 0.21% | Nueva |
LU1923163163 | .AMUNDI FUNDS-JAPAN EQ SELECT-I2 SICAV | EUR | 947.793 € | 0.19% | 3.65% |
LU1433232698 | .PICTET TR - ATLAS-I EUR SICAV | EUR | 902.576 € | 0.18% | 7.33% |
LU1559924847 | PART.EURIZON BOND AGGREGATE EUR-X | EUR | 895.266 € | 0.18% | 7.46% |
LU2402137298 | .FCH JPM EM MKT IG-ZEURHDGC SICAV | EUR | 802.194 € | 0.16% | 7.81% |
LU0583240782 | .MFS MER-EMERG MARK DEBT IH1E SICAV | EUR | 804.996 € | 0.16% | 55.93% |
LU1746647814 | .CPR INV- GL DISRUPT OP-SI EUR SICAV | EUR | 761.798 € | 0.15% | 11.85% |
LU1819524072 | .CANDRIAM ABS RET EQ MK NUT V SICAV | EUR | 634.893 € | 0.13% | 10.25% |
LU1951341897 | .CPR INVEST FOOD FOR GEN-I2EA SICAV | EUR | 608.700 € | 0.12% | 10.6% |
LU2473381015 | .SCHRODER INT SLEM EUR-Y9 SICAV | EUR | 104.344 € | 0.02% | 0.55% |
ES0173829070 | Part. SAB. RENDIMIENTO, FI - Z | EUR | 0 € | 0% | Nueva |
LU0119099496 | .AMUNDI FDS EURO CORP BD-IE C SICAV | EUR | 0 € | 0% | Vendida |
LU0549539178 | .BLUEBAY INV GR EURO GV-I EUR SICAV | EUR | 0 € | 0% | Nueva |
LU0325598752 | .BNP ENHANCED BOND 6M-I SICAV | EUR | 0 € | 0% | Vendida |
LU0219424131 | .MFS MER-EUROPEAN RES-I1 SICAV | EUR | 0 € | 0% | Vendida |
LU1437018598 | ETF.AMUNDI EURO GOVERNMENT BD-UCITS ETF | EUR | 0 € | 0% | Nueva |
IE000NPCPQI2 | PART.ATLAS GBL INFRASTRUCT-CEUNHD | EUR | 0 € | 0% | Vendida |
IE00B5WN3467 | PART.COMGEST GROWTH EUROPE-EUR IA | EUR | 0 € | 0% | Vendida |
Derechos sobre Derivados
Activo | Operación | Derivado | Tipo | Strike | Vencimiento | Importe | Protegida |
---|---|---|---|---|---|---|---|
EURO STOXX 50 INDEX | Compra | Opción | PUT | 5150 | 17/10/25 | 4.790.000 € | |
EURO STOXX 50 INDEX | Compra | Opción | PUT | 5150 | 17/10/25 | 4.841.000 € | |
STAND&POOR'S 500 | Compra | Opción | PUT | 5770 | 17/10/25 | 4.895.000 € |
Obligaciones sobre Derivados
Activo | Operación | Derivado | Tipo | Strike | Vencimiento | Importe | Protegida |
---|---|---|---|---|---|---|---|
EURO STOXX 50 INDEX | Venta | Opción | PUT | 4700 | 17/10/25 | 4.418.000 € | |
EURO STOXX 50 INDEX | Venta | Futuro | FUT | 19/09/25 | 160.000 € | ||
EURO STOXX 50 INDEX | Venta | Opción | PUT | 4700 | 17/10/25 | 4.371.000 € | |
FTSE 100 | Venta | Futuro | FUT | 19/09/25 | 623.000 € | ||
HSI - HANG SENG INDEX | Venta | Futuro | FUT | 30/07/25 | 1.314.000 € | ||
MSCI CHINA NET TOTAL RETURN USD INDEX | Venta | Futuro | FUT | 19/09/25 | 1.452.000 € | ||
MSCI EMERGING MARKETS | Venta | Futuro | FUT | 19/09/25 | 2.403.000 € | ||
NIKKEI 225 STOCK AVERAGE | C/ FUTURO NIKKEI 225 VT.11/09/25 (CME) | 323.000 € | |||||
S&P MIDCAP 400 INDEX | Venta | Futuro | FUT | 19/09/25 | 257.000 € | ||
S&P MIDCAP 400 INDEX | Venta | Futuro | FUT | 19/09/25 | 257.000 € | ||
S&P MIDCAP 400 INDEX | Venta | Futuro | FUT | 19/09/25 | 257.000 € | ||
S&P MIDCAP 400 INDEX | Venta | Futuro | FUT | 19/09/25 | 514.000 € | ||
STAND&POOR'S 500 | Venta | Futuro | FUT | 19/09/25 | 2.071.000 € | ||
STAND&POOR'S 500 | Venta | Futuro | FUT | 19/09/25 | 2.847.000 € | ||
STAND&POOR'S 500 | Venta | Futuro | FUT | 19/09/25 | 510.000 € | ||
STAND&POOR'S 500 | Venta | Opción | PUT | 5170 | 17/10/25 | 4.386.000 € | |
STAND&POOR'S 500 | Venta | Futuro | FUT | 19/09/25 | 11.389.000 € | ||
STOXX EUROPE 600 INDEX | Venta | Futuro | FUT | 19/09/25 | 819.000 € | ||
STOXX EUROPE 600 INDEX | Venta | Futuro | FUT | 19/09/25 | 27.000 € | ||
STOXX EUROPE 600 INDEX | Venta | Futuro | FUT | 19/09/25 | 322.000 € | ||
STOXX EUROPE 600 INDEX | Venta | Futuro | FUT | 19/09/25 | 296.000 € |

Suscribete a mi newslleter, y encuentra muchas tesis de inversión.
2025-Q2
Global
EUR
7.936
6
0
104.000 €
Operativa con derivadosUna información más detallada sobre la política de inversión del Fondo se puede encontrar en su folleto informativo.
Comisiones
Comisión de gestión
Total.30
Patrimonio
Comisión de depositario
Total.02
Al fondo
Gastos
Trimestral
Total.31
.31
.31
.31
Anual
Total1.28
1.27
1.29
1.34