← Volver a Radar Fondos

Ficha de fondo

CBNK RENTA VARIABLE ESPAÑA, FI

Categoria
Ultimo periodo
2S 2025
Posiciones
31

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.

31
Empresa Tipo Pais Peso Precio
ACCIONES|BANCO SANTANDER, S.A. ES0113900J37 · EUR Renta Variable Cotizada ES 9.14%
ACCIONES|IBERDROLA SA ES0144580Y14 · EUR Renta Variable Cotizada ES 8.95%
ACCIONES|INDUSTRIA DE DISEÑO TEXTIL SA ES0148396007 · EUR Renta Variable Cotizada ES 8.78%
ACCIONES|FERROVIAL SE NL0015001FS8 · EUR Renta Variable Cotizada NL 7.52%
CBNK BANCO DE COLECTIVOS S.A. ES0L02602065 · EUR Adquisicion Temporal Activos ES 4.60%
ACCIONES|ALMIRALL SA ES0157097017 · EUR Renta Variable Cotizada ES 4.18% 10.46 EUR
ACCIONES|REPSOL SA ES0173516115 · EUR Renta Variable Cotizada ES 4.11%
CBNK BANCO DE COLECTIVOS — · EUR Depositos 3.91%
ACCIONES|MELIA HOTELS INTERNATIONAL ES0176252718 · EUR Renta Variable Cotizada ES 3.68% 10.13 EUR
ACCIONES|MERLIN PROPERTIES SOCIMI SA ES0105025003 · EUR Renta Variable Cotizada ES 3.39% 14.10 EUR
ACCIONES|TELEFONICA,SA ES0178430E18 · EUR Renta Variable Cotizada ES 3.05%
ACCIONES|CELLNEX TELECOM SA ES0105066007 · EUR Renta Variable Cotizada ES 3.03%
ACCIONES|ALLFUNDS GROUP PLC GB00BNTJ3546 · EUR Renta Variable Cotizada GB 2.97% 8.95 EUR
CBNK BANCO DE COLECTIVOS — · EUR Depositos 2.65%
ACCIONES|PUIG BRANDS SA ES0105777017 · EUR Renta Variable Cotizada ES 2.54%
ACCIONES|AMADEUS IT GROUP SA ES0109067019 · EUR Renta Variable Cotizada ES 2.35%
ACCIONES|BEFESA SA LU1704650164 · EUR Renta Variable Cotizada LU 2.11%
CBNK BANCO DE COLECTIVOS — · EUR Depositos 2.04%
CBNK BANCO DE COLECTIVOS — · EUR Depositos 1.96%
ACCIONES|INMOBILIARIA COLONIAL SOCIMI ES0139140174 · EUR Renta Variable Cotizada ES 1.78% 5.47 EUR
ACCIONES|INTL CONSOLIDATED AIRLINES GROUP ES0177542018 · EUR Renta Variable Cotizada ES 1.67%
ACCIONES|CORP ACCIONA ENERGIAS RENOV ES0105563003 · EUR Renta Variable Cotizada ES 1.59% 20.78 EUR
ACCIONES|ENERGIAS DE PORTUGAL SA PTEDP0AM0009 · EUR Renta Variable Cotizada PT 1.51%
ACCIONES|EDP RENOVAVEIS SA ES0127797019 · EUR Renta Variable Cotizada ES 1.45%
ACCIONES|BANK OF AMERICA CORP US0605051046 · USD Renta Variable Cotizada US 1.37%
CBNK BANCO DE COLECTIVOS — · EUR Depositos 1.30%
ACCIONES|COCA-COLA CO US1912161007 · USD Renta Variable Cotizada US 1.30%
ACCIONES|MICROSOFT CORP US5949181045 · USD Renta Variable Cotizada US 1.24% 483.24 USD
CBNK BANCO DE COLECTIVOS — · EUR Depositos 0.78%
CBNK BANCO DE COLECTIVOS — · EUR Depositos 0.65%
CBNK BANCO DE COLECTIVOS — · EUR Depositos 0.61%

Movimientos del periodo

2S 2025 frente a 1S 2025 (estimada)

Nuevas: 1 Salidas: 3 Incrementos: 8 Recortes: 6
+ CBNK BANCO DE COLECTIVOS S.A.

Entra en la cartera con un 4.60% de peso.

Ver ficha de la empresa →
− BANCO INVERSIS, S.A

Sale de la cartera; tenia un 5.67% de peso.

− CBNK BANCO DE COLECTIVOS S.A.

Sale de la cartera; tenia un 4.04% de peso.

− ACCIONES|CONSTRUCCIONES Y AUXILIAR DE FERROCARRILE

Sale de la cartera; tenia un 2.00% de peso.

Ver ficha de la empresa →
▲ ACCIONES|INDUSTRIA DE DISEÑO TEXTIL SA

Pasa del 6.96% al 8.78%.

Ver ficha de la empresa →
▲ ACCIONES|ALLFUNDS GROUP PLC

Pasa del 1.49% al 2.97%.

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.

Ver ficha de la empresa →
▲ ACCIONES|BANCO SANTANDER, S.A.

Pasa del 7.69% al 9.14%.

Ver ficha de la empresa →
▲ ACCIONES|MERLIN PROPERTIES SOCIMI SA

Pasa del 2.16% al 3.39%.

MERLIN Properties SOCIMI, S.A. is one of the largest real estate and infrastructure companies listed on the Spanish Stock Exchange. It specializes in the development, acquisition and management of commercial property in the Iberian Peninsula, mainly investing in offices, shopping centers, logistics facilities and data centers within the Core and Core Plus segments. MERLIN Properties SOCIMI, S.A. was incorporated in 2014 in Spain.

Ver ficha de la empresa →
▲ ACCIONES|FERROVIAL SE

Pasa del 6.68% al 7.52%.

Ver ficha de la empresa →
▲ ACCIONES|PUIG BRANDS SA

Pasa del 2.04% al 2.54%.

Ver ficha de la empresa →
▲ ACCIONES|ALMIRALL SA

Pasa del 3.76% al 4.18%.

Almirall, S.A. operates as a skin health-focused biopharmaceutical company in Spain, Europe, the Middle East, the United States, Asia, and Africa. The company offers its products for skin diseases comprising Psoriasis, atopic dermatitis, acne, actinic keratosis, onychomycosis, androgenic alopecia, oncodermatology, and orphan indications, as well as for alimentary tract and metabolism, anti-infective for systemic use, cardiovascular system, dermatological, genito urinary system and sex hormones, immunostimulants, metabolism, musculo-skeletal system, nervous system, respiratory system, systemic hormonal preparations. It also develops tirbanibulin for actinic keratosis, and tildrakizumab for psoriatic arthritis under the registration phase, as well as lebrikizumab for atopic dermatitis pediatric in phase 2; Anti-IL-1RAP mAb for hidradenitis suppurativa, anti-IL-1RAP mAb for inflammatory skin disease, Anti-IL-21 mAb for hidradenitis suppurativa, IL-2muFc for alopecia areata, IL-2muFc for atopic dermatitis, and IL-2muFc for inflammatory skin disease in phase 2; readthrough inducer for rare dermatology in phase 1; and anti-IL-13/OX40L BsAb for atopic dermatitis, SMOL oral for Th2-driven diseases, and mRNA/LNP for non-melanoma skin cancer in preclinical stage. It has research and development agreements with Evotec, Ichnos, Simcere, Etherna, Novo Nordisk, and Eloxx. The company was formerly known as Laboratorios Almirall, S.A. and changed its name to Almirall, S.A. in May 2009. Almirall, S.A. was founded in 1943 and is headquartered in Barcelona, Spain.

Ver ficha de la empresa →
▲ ACCIONES|EDP RENOVAVEIS SA

Pasa del 1.24% al 1.45%.

Ver ficha de la empresa →
▼ ACCIONES|REPSOL SA

Pasa del 6.01% al 4.11%.

Ver ficha de la empresa →
▼ ACCIONES|TELEFONICA,SA

Pasa del 4.70% al 3.05%.

Ver ficha de la empresa →
▼ ACCIONES|CELLNEX TELECOM SA

Pasa del 3.95% al 3.03%.

Ver ficha de la empresa →
▼ ACCIONES|MELIA HOTELS INTERNATIONAL

Pasa del 4.49% al 3.68%.

Meliá Hotels International, S.A. owns, operates, manages, leases, and franchises hotels in Spain, Latin America, the rest of Europe, and Asia. It operates through Hotel Management, Hotel Business, Other Business Linked to Hotel Management, and Real Estate segments. The company operates hotels under the Gran Meliá Hotels & Resorts, the Meliá Collection, ME by Meliá, Paradisus by Meliá, Meliá Hotels & Resorts, INNSIDE by Meliá, ZEL, Sol by Meliá, Affiliated by Meliá brands, as well as Circle by Meliá and Club Meliá brands. It also engages in the operation of vacation club; casino or tour operation activities; and real estate business. In addition, the company offers Meliá Rewards; and Meliá PRO, a platform for professionals. The company was formerly known as Sol Meliá, S.A. and changed its name to Meliá Hotels International, S.A. in June 2011. The company was founded in 1956 and is headquartered in Palma de Mallorca, Spain.

Ver ficha de la empresa →
▼ ACCIONES|AMADEUS IT GROUP SA

Pasa del 2.91% al 2.35%.

Ver ficha de la empresa →
▼ ACCIONES|INMOBILIARIA COLONIAL SOCIMI

Pasa del 2.13% al 1.78%.

Colonial SFL, Socimi S. A. is the leading platform in Europe's prime commercial real estate market, with a presence in the main business districts of Barcelona, Madrid and Paris. It owns a unique portfolio of commercial properties totaling more than 1 million sqm, with a market value exceeding 12.0 billion euros. The Group follows a dedicated long-term strategy focused on value creation through a high-quality client portfolio and asset appreciation. Looking ahead, Colonial SFL will continue to lead the urban transformation of city centres in the European market, recognized for its expertise and professionalism, financial strength and profitability, while delivering outstanding sustainable real estate solutions tailored to client's needs.

Ver ficha de la empresa →

Renta fija

Exposición RF declarada
353,000 €
% de la cartera
4.6%
Posiciones
1
Emisores
0
Soberano: 0 € Corporativo: 0 € Repos / gestión de tesorería: 353,000 € Depósitos / liquidez: 1.1 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.

Vencimiento Posiciones Exposición %
Vencido o ≤3 meses 0 0 € 0.0%
3-6 meses 0 0 € 0.0%
6-12 meses 0 0 € 0.0%
1-2 años 0 0 € 0.0%
2-5 años 0 0 € 0.0%
5-10 años 0 0 € 0.0%
> 10 años 0 0 € 0.0%
Desconocido 0 0 € 0.0%

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.