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ANNUALCYCLES STRATEGIES, FI

Categoria
Ultimo periodo
2S 2025
Posiciones
67

Cartera notificada con cierre 2025-12-31. Fuente: informe periodico en la CNMV. Ver informe original (PDF)

Cartera completa

Todas las posiciones del ultimo informe periodico, de mayor a menor peso. Los agregados ("resto de renta variable...") son cestas de posiciones pequenas que el propio informe no desglosa linea a linea.

67
Empresa Tipo Pais Peso Precio
ACCIONES|ALPHABET INC US02079K3059 · USD Renta Variable Cotizada US 9.59%
ACCIONES|META PLATFORMS INC-C US30303M1027 · USD Renta Variable Cotizada US 3.58% 549.90 USD
ACCIONES|ATALAYA MINING PLC CY0106002112 · GBP Renta Variable Cotizada CY 3.57% 1000.00 GBp
DEUDA ESTADO USA US912810FQ68 · USD Deuda Publica Cotizada Mas 1 Anio US 3.18%
ACCIONES|RYANAIR HOLDINGS PLC IE00BYTBXV33 · EUR Renta Variable Cotizada IE 2.37%
ACCIONES|AMAZON.COM INC US0231351067 · USD Renta Variable Cotizada US 2.29%
DEUDA ESTADO USA US912810TE82 · USD Deuda Publica Cotizada Mas 1 Anio US 2.26%
SACYR SA XS3071337847 · EUR Renta Fija Cotizada Mas 1 Anio XS 2.25%
ALEXANDRIA REAL ESTA US015271AR09 · USD Renta Fija Cotizada Mas 1 Anio US 1.98%
NESTLE SA CH0419042509 · CHF Renta Fija Cotizada Mas 1 Anio CH 1.92%
ANGLO AMERICAN CAP XS2598746290 · EUR Renta Fija Cotizada Mas 1 Anio XS 1.91%
PORSCHE XS2643320109 · EUR Renta Fija Cotizada Mas 1 Anio XS 1.87%
EDP FINANCE BV PTEDPUOM0008 · EUR Renta Fija Cotizada Mas 1 Anio PT 1.87%
ACCIONES|ALPHABET INC US02079K1079 · USD Renta Variable Cotizada US 1.67%
ACCIONES|AXA SA FR0000120628 · EUR Renta Variable Cotizada FR 1.64%
ACCIONES|NEWMONT CORPORATION US6516391066 · USD Renta Variable Cotizada US 1.58% 131.58 USD
ACCIONES|UBER TECHNOLOGIES IN US90353T1007 · USD Renta Variable Cotizada US 1.50%
ACCIONES|PSP SWISS PROPERTY CH0018294154 · CHF Renta Variable Cotizada CH 1.49%
ACCIONES|LVMH FR0000121014 · EUR Renta Variable Cotizada FR 1.41%
ACCIONES|VERTEX PHARMACEUTICA US92532F1003 · USD Renta Variable Cotizada US 1.41%
HSBC HOLDINGS US404280CY37 · USD Renta Fija Cotizada Mas 1 Anio US 1.38%
DEERE & CO US244199BD66 · USD Renta Fija Cotizada Mas 1 Anio US 1.31%
COCA-COLA US191216DR86 · USD Renta Fija Cotizada Mas 1 Anio US 1.29%
ACCIONES|VIDRALA SA ES0183746314 · EUR Renta Variable Cotizada ES 1.29%
ACCIONES|EQUITY RESIDENTIAL US29476L1070 · USD Renta Variable Cotizada US 1.20%
ACCIONES|3M CO US88579Y1010 · USD Renta Variable Cotizada US 1.20%
ACCIONES|MELIA HOTELS INTL ES0176252718 · EUR Renta Variable Cotizada ES 1.17% 10.13 EUR
VALEO FR001400WJR8 · EUR Renta Fija Cotizada Mas 1 Anio FR 1.13%
ARCELOR MITTAL XS2954181843 · EUR Renta Fija Cotizada Mas 1 Anio XS 1.10%
MORGAN STANLEY XS2790333616 · EUR Renta Fija Cotizada Mas 1 Anio XS 1.09%
ACCIONES|SANOFI FR0000120578 · EUR Renta Variable Cotizada FR 1.06%
VOLKSWAGEN LEASING XS2343822842 · EUR Renta Fija Cotizada Menos 1 Anio XS 1.05%
ACCIONES|GRIFOLS ES0171996087 · EUR Renta Variable Cotizada ES 0.97% 9.91 EUR
ACCIONES|HELIOS TOWERS PLC GB00BJVQC708 · GBP Renta Variable Cotizada GB 0.96%
ACCIONES|ROCHE HOLDING AG CH0012032048 · CHF Renta Variable Cotizada CH 0.92%
ACCIONES|TOTAL SA FR0000120271 · EUR Renta Variable Cotizada FR 0.89%
ACCIONES|SIEMENS AG DE0007236101 · EUR Renta Variable Cotizada DE 0.86%
ACCIONES|DEUTSCHE BOERSE AG DE0005810055 · EUR Renta Variable Cotizada DE 0.82% 282.90 EUR
ACCIONES|HUGO BOSS AG DE000A1PHFF7 · EUR Renta Variable Cotizada DE 0.79%
ACCIONES|INMOBILIARIA COLONIA ES0139140174 · EUR Renta Variable Cotizada ES 0.77% 5.47 EUR
ACCIONES|ZURICH INSURANCE GRO CH0011075394 · CHF Renta Variable Cotizada CH 0.74%
NETFLIX INC XS1821883102 · EUR Renta Fija Cotizada Mas 1 Anio XS 0.73%
GRIFOLS XS2077646391 · EUR Renta Fija Cotizada Mas 1 Anio XS 0.71%
ACCIONES|CAF ES0121975009 · EUR Renta Variable Cotizada ES 0.71%
ACCIONES|WATCHES OF SWITZERLA GB00BJDQQ870 · GBP Renta Variable Cotizada GB 0.67%
ACCIONES|NOVO NORDISK A/S US6701002056 · USD Renta Variable Cotizada US 0.63%
ACCIONES|ACS ES0167050915 · EUR Renta Variable Cotizada ES 0.62%
ACCIONES|AMUNDI SA FR0004125920 · EUR Renta Variable Cotizada FR 0.62%
DEUDA ESTADO USA US9128284N73 · USD Deuda Publica Cotizada Mas 1 Anio US 0.59%
ACCIONES|PUIG BRANDS SA-B ES0105777017 · EUR Renta Variable Cotizada ES 0.54%
ACCIONES|BASF SE DE000BASF111 · EUR Renta Variable Cotizada DE 0.53%
ACCIONES|HOLCIM CH0012214059 · CHF Renta Variable Cotizada CH 0.52%
ACCIONES|MASTERCRAFT BOAT HOL US57637H1032 · USD Renta Variable Cotizada US 0.45%
ACCIONES|MATCH GROUP INC US57667L1070 · USD Renta Variable Cotizada US 0.44%
ACCIONES|DAIMLER AG DE0007100000 · EUR Renta Variable Cotizada DE 0.44% 45.22 EUR
ACCIONES|CIA DE DISTRIBUCION ES0105027009 · EUR Renta Variable Cotizada ES 0.42%
ACCIONES|EZCORP INC-CL A US3023011063 · USD Renta Variable Cotizada US 0.42%
ACCIONES|BRISTOL-MYERS SQUIBB US1101221083 · USD Renta Variable Cotizada US 0.42%
ACCIONES|MICHELIN FR001400AJ45 · EUR Renta Variable Cotizada FR 0.41%
ACCIONES|NIKE INC US6541061031 · USD Renta Variable Cotizada US 0.33%
ACCIONES|PERNOD RICARD SA FR0000120693 · EUR Renta Variable Cotizada FR 0.32% 68.42 EUR
ACCIONES|PFIZER INC US7170811035 · USD Renta Variable Cotizada US 0.31%
ACCIONES|AMRIZE LTD CH1430134226 · CHF Renta Variable Cotizada CH 0.29% 36.50 CHF
ACCIONES|CVS HEALTH CORP US1266501006 · USD Renta Variable Cotizada US 0.21%
ACCIONES|DAIMLER AG DE000DTR0CK8 · EUR Renta Variable Cotizada DE 0.18%
ACCIONES|SOLVENTUM CORP US83444M1018 · USD Renta Variable Cotizada US 0.14%
ACCIONES|LENZ THERAPEUTICS IN US52635N1037 · USD Renta Variable Cotizada US 0.12%

Movimientos del periodo

2S 2025 frente a 1S 2025 (estimada)

Nuevas: 5 Salidas: 18 Incrementos: 10 Recortes: 2
+ ACCIONES|HELIOS TOWERS PLC

Entra en la cartera con un 0.96% de peso.

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+ ACCIONES|ZURICH INSURANCE GRO

Entra en la cartera con un 0.74% de peso.

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+ ACCIONES|PUIG BRANDS SA-B

Entra en la cartera con un 0.54% de peso.

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+ ACCIONES|EZCORP INC-CL A

Entra en la cartera con un 0.42% de peso.

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+ ACCIONES|LENZ THERAPEUTICS IN

Entra en la cartera con un 0.12% de peso.

Ver ficha de la empresa →
− CACEIS

Sale de la cartera; tenia un 1.87% de peso.

− BARCELO CORP EMPRESA

Sale de la cartera; tenia un 1.84% de peso.

− BARCELO CORP EMPRESA

Sale de la cartera; tenia un 1.84% de peso.

− RYANAIR HOLDINGS PLC

Sale de la cartera; tenia un 1.46% de peso.

− ALMIRALL LABORATORIO

Sale de la cartera; tenia un 1.41% de peso.

− D.ESTADO U.K.

Sale de la cartera; tenia un 1.29% de peso.

− ACCIONES|AENA SA

Sale de la cartera; tenia un 1.18% de peso.

− REPSOL INTL FINANCE

Sale de la cartera; tenia un 1.11% de peso.

− ACCIONES|VISCOFAN

Sale de la cartera; tenia un 0.74% de peso.

− ACCIONES|REPSOL SA

Sale de la cartera; tenia un 0.71% de peso.

− ACCIONES|ALLFUNDS GROUP PLC

Sale de la cartera; tenia un 0.61% de peso.

Allfunds Group plc, together with its subsidiaries, operates as a B2B WealthTech company that connects fund houses and distributors in the United Kingdom and internationally. It operates through two segments, Net Platform, and Net Subscription and Other Revenues. The company offers Connect, an Allfunds professional workstation; and Nextportfolio, a portfolio management system; and end-investor platform for wealth management needs of asset managers, banks, wealth managers, and insurance companies. It also provides ESG solutions, such as ESG scoring, reporting, portfolio advisory and construction, audit and certification, analysis, investment proposal generator, reporting generator, and monitoring; model portfolio advisory, bespoke reporting, private assets, audit and certification, fund selection, and regulatory implementation services; and Sustainability Navigator, a tool for constructing sustainable investment portfolios in line with SFDR regulation. In addition, the company offers regulatory reporting corner, a specialized platform to provide fund registration, regulatory reporting, and distribution, as well as generate fund regulatory reporting. Further, it provides investment solutions for Distributors and Fund Houses, including Management Company (ManCo) white label services in connection with the creation and distribution of UCITs funds; White Label Fund Hosting Platform that provides supports mutual funds and ETFs; Allfunds Navigator which provides market insights and identify opportunities; and Allfunds Blockchain solutions. The company serves private bank, insurance, asset management, bank, custodian, and other customers. The company was founded in 2000 and is based in London, the United Kingdom.

− ACCIONES|HEINEKEN NV

Sale de la cartera; tenia un 0.61% de peso.

Heineken N.V. brews and sells beer and cider in Europe, the Americas, Africa, the Middle East, and the Asia Pacific. The company also provides soft drinks. It sells its products under the Heineken, Heineken 0.0, Heineken Silver, Amstel, Moretti, Tiger, Desperados, Edelweiss, Lagunitas, Orchard Thieves, Windhoek, Dos Equis, Red Stripe, Kingfisher, Bintang, Gosser, Affligem, Mort Subite, Strongbow, Stassen, Bulmers, Old Mout, Savanna, Turbo King, Tecate, Lagunitas Hoppy Refresher, Bia Viet, Tiger Crystal, Birra Moretti, Harar, Cruzcampo, Bernini, Legend Stout, Beavertown, Stëlz, Texels, Ladrón, Bandida, Stibitzer, El Aguila, and Murphy's brands. In addition, the company engages in rental of pubs and bars; wholesale activities; and pub management and technical services. The company offers its products to retailers, wholesalers and distributors, bars, restaurants, clubs, cafes, and hotels. Heineken N.V. was incorporated in 1864 and is headquartered in Amsterdam, the Netherlands. Heineken N.V. is a subsidiary of Heineken Holding N.V.

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− BARCELO CORP EMPRESA

Sale de la cartera; tenia un 0.37% de peso.

− ACCIONES|GLOBAL DOMINION

Sale de la cartera; tenia un 0.33% de peso.

Global Dominion Access, S.A. engages in the provision of integral services for business process efficiency and sustainability worldwide. The company provides operation and maintenance services; environment services for industrial cleaning and waste management; installation and maintenance of refractory linings; design, construction, and maintenance of tall structures, including towers, silos, domes, chimneys, stacks, and others; designing, building, and maintaining industrial structures, such as gas systems, tanks and vessels, industrial furnaces, and electrical systems; and management of logistics and warehouses. It also provides solutions for flexible production and automation; telecommunication networks; technological projects and communication systems; renewable energy generation; wind services; and self-consumption and new energy systems. In addition, the company is involved in the implementation and integral management of the life cycle of transmission lines, substations, and distribution, as well as different projects. Global Dominion Access, S.A. was incorporated in 1999 and is headquartered in Bilbao, Spain.

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− DEUDA ESTADO USA

Sale de la cartera; tenia un 0.32% de peso.

− ACCIONES|INMODE LTD

Sale de la cartera; tenia un 0.18% de peso.

− ACCIONES|VIDRALA SA

Sale de la cartera; tenia un 0.06% de peso.

− DERECHOS|VISCOFAN

Sale de la cartera; tenia un 0.02% de peso.

▲ ACCIONES|ALPHABET INC

Pasa del 5.51% al 9.59%.

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▲ ACCIONES|ATALAYA MINING PLC

Pasa del 1.47% al 3.57%.

Atalaya Mining Copper, S.A., together with its subsidiaries, engages in the mineral exploration and development in Spain. The company's flagship property is the Proyecto Riotinto, an open-pit copper mine located in the Andalusia region of Spain. It explores for copper concentrates, silver by-products, and gold. The company was formerly known as Atalaya Mining Plc and changed its name to Atalaya Mining Copper, S.A. in January 2025. Atalaya Mining Copper, S.A. was incorporated in 2004 and is based in Seville, Spain.

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▲ ACCIONES|AMAZON.COM INC

Pasa del 1.39% al 2.29%.

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▲ ACCIONES|ALPHABET INC

Pasa del 0.97% al 1.67%.

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▲ ACCIONES|NEWMONT CORPORATION

Pasa del 0.94% al 1.58%.

Newmont Corporation operates as a gold producer. It also explores for copper, silver, lead, zinc, and other metals. It has operations and/or assets in the United States, Papua New Guinea, Australia, Ghana, Suriname, Argentina, Dominican Republic, Chile, Peru, Ecuador, Mexico, and Canada. The company was founded in 1916 and is headquartered in Denver, Colorado.

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▲ ACCIONES|LVMH

Pasa del 1.00% al 1.41%.

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▲ ACCIONES|RYANAIR HOLDINGS PLC

Pasa del 1.97% al 2.37%.

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▲ ACCIONES|UBER TECHNOLOGIES IN

Pasa del 1.15% al 1.50%.

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▲ DEUDA ESTADO USA

Pasa del 1.94% al 2.26%.

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▲ ACCIONES|WATCHES OF SWITZERLA

Pasa del 0.42% al 0.67%.

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▼ ACCIONES|NOVO NORDISK A/S

Pasa del 0.87% al 0.63%.

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▼ ACCIONES|DEUTSCHE BOERSE AG

Pasa del 1.03% al 0.82%.

Deutsche Börse AG operates as an international exchange organization in Germany, rest of Europe, the United States, and the Asia-Pacific. The company operates through four segments: Investment Management Solutions, Trading & Clearing, Fund Services, and Securities Services. The Investment Management Solutions segment offers financial data, analytics, and software-as-a-service solutions including research, data collection, data analysis, and the provision of indices, analytics and investment management software to institutional investors, banks, and corporate clients. The Trading & Clearing segment engages in the development and operation of markets and trading systems for securities, derivatives, commodities, currencies, digital assets, and other asset classes. This segment handles settlement of transactions through clearing houses. Its Fund Services segment provides infrastructure and services for fund processing, including order routing, settlement, custody, data and distribution support for investment funds. The Securities Services segment offers various services for securities issuance, settlement, custody as well as collateral, securities lending, and liquidity management. The company was founded in 1585 and is headquartered in Eschborn, Germany.

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Renta fija

Exposición RF declarada
7.6 M €
% de la cartera
27.6%
Posiciones
18
Emisores
16
Soberano: 1.7 M € Corporativo: 5.9 M €

Escalera de vencimientos

Vencimiento contractual observado de cada posición, sin repos. Vencido/≤3 meses incluye bonos que vencen en los primeros días tras el cierre del periodo.

6-12 meses · 3.8%1-2 años · 9.2%2-5 años · 46.4%5-10 años · 32.5%> 10 años · 8.2%
Vencimiento Posiciones Exposición %
Vencido o ≤3 meses 0 0 € 0.0%
3-6 meses 0 0 € 0.0%
6-12 meses 1 288,026 € 3.8%
1-2 años 3 694,643 € 9.2%
2-5 años 8 3.5 M € 46.4%
5-10 años 5 2.5 M € 32.5%
> 10 años 1 620,827 € 8.2%
Desconocido 0 0 € 0.0%

Top emisores

Los 10 emisores con mayor exposición declarada en este fondo, sin repos.

Emisor Tipo Nº ISIN Exposición Próximo vencimiento
United States Treasury Soberano 3 1.7 M € 2028-05-15
SACYR SA Corporativo 1 617,344 € 2030-05-29
ALEXANDRIA REAL ESTA Corporativo 1 543,898 € 2031-08-15
NESTLE SA Corporativo 1 527,024 € 2028-06-28
ANGLO AMERICAN CAP. Corporativo 1 523,364 € 2028-09-15
PORSCHE Corporativo 1 513,164 € 2030-09-27
EDP FINANCE BV Corporativo 1 511,787 € 2028-06-26
HSBC HOLDINGS PLC Corporativo 1 379,757 € 2032-11-22
DEERE & CO Corporativo 1 358,743 € 2029-10-16
COCA COLA Corporativo 1 354,453 € 2034-05-13

Top instrumentos

Los 10 instrumentos con mayor exposición declarada. Sin yield, TIR ni rating: no hay dato fiable para calcularlos.

ISIN Cupón Vencimiento Exposición
US912810FQ68 United States Treasury 3.38% 2032-04-15 872,359 €
US912810TE82 United States Treasury 0.13% 2052-02-15 620,827 €
XS3071337847 SACYR SA 4.75% 2030-05-29 617,344 €
US015271AR09 ALEXANDRIA REAL ESTA 3.38% 2031-08-15 543,898 €
CH0419042509 NESTLE SA 0.75% 2028-06-28 527,024 €
XS2598746290 ANGLO AMERICAN CAP. 4.50% 2028-09-15 523,364 €
XS2643320109 PORSCHE 4.25% 2030-09-27 513,164 €
PTEDPUOM0008 EDP FINANCE BV 3.88% 2028-06-26 511,787 €
US404280CY37 HSBC HOLDINGS PLC 2.87% 2032-11-22 379,757 €
US244199BD66 DEERE & CO 5.38% 2029-10-16 358,743 €

Divisas

Exposición RF por divisa del instrumento.

Divisa Exposición %
EUR 3.8 M € 49.6%
USD 3.3 M € 43.4%
CHF 527,024 € 7.0%

Movimientos de renta fija del periodo

Compara la cartera RF actual con la del periodo anterior, por ISIN. Una salida coincidente con vencimiento no es una venta: el bono llegó a su fecha contractual.

Nuevas posiciones: 0 Salidas por vencimiento: 7 Salidas no explicadas por vencimiento: 1
− ALMIRALL LABORATORIO

Sale de la cartera; tenía un 1.41% de peso.

◦ BARCELO CORP EMPRESA

Sale de la cartera; tenía un 1.84% de peso.

◦ BARCELO CORP EMPRESA

Sale de la cartera; tenía un 1.84% de peso.

◦ RYANAIR HOLDINGS PLC

Sale de la cartera; tenía un 1.46% de peso.

◦ D.ESTADO U.K.

Sale de la cartera; tenía un 1.29% de peso.

◦ REPSOL INTL FINANCE

Sale de la cartera; tenía un 1.11% de peso.

◦ BARCELO CORP EMPRESA

Sale de la cartera; tenía un 0.37% de peso.

◦ DEUDA ESTADO USA

Sale de la cartera; tenía un 0.32% de peso.

Aviso

Esto no es asesoramiento financiero. La cartera procede del informe periodico que el fondo presenta en la CNMV y llega con retraso respecto al cierre real del periodo: es una foto del final de cada semestre, no la cartera en tiempo real.