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CINVEST MULTIGESTION FI

Category
Latest period
H2 2025
Positions
11

Portfolio as of 2025-12-31. Source: periodic filing with the CNMV. View original filing (PDF)

Full portfolio

Every position in the latest periodic filing, largest weight first. Aggregates ("other equities...") are baskets of small positions the filing itself does not break out line by line.

11
Company Type Country Weight Price
US TREASURY US91282CLP40 · USD Deuda Publica Cotizada Memos 1 Anio US 22.75%
Acciones|ETFSECURITIES UK LIMITED JE00B1VS3770 · EUR Renta Variable Cotizada JE 11.09%
Acciones|ENAGAS ES0130960018 · EUR Renta Variable Cotizada ES 2.35%
Acciones|BARRICK GOLD CORP CA06849F1080 · USD Renta Variable Cotizada CA 2.23%
Acciones|NOVO NORDISK A/S-B DK0062498333 · EUR Renta Variable Cotizada DK 1.99%
Acciones|INDITEX ES0148396007 · EUR Renta Variable Cotizada ES 1.57%
Acciones|CREDIT AGRICOLE FR0000045072 · EUR Renta Variable Cotizada FR 1.41%
Acciones|INTEL CORP US4581401001 · USD Renta Variable Cotizada US 1.05%
Acciones|GALP ENERGIA, SGPS, SA PTGAL0AM0009 · EUR Renta Variable Cotizada PT 1.04%
Acciones|APPLE INC US0378331005 · USD Renta Variable Cotizada US 1.03%
Acciones|COINBASE GLOBAL INC US19260Q1076 · USD Renta Variable Cotizada US 0.34%

This period's moves

H2 2025 vs H1 2025 (estimated)

New: 2 Exits: 6 Increases: 4 Cuts: 3
+ Acciones|NOVO NORDISK A/S-B

Enters the portfolio at 1.99% weight.

View company page →
+ Acciones|INDITEX

Enters the portfolio at 1.57% weight.

View company page →
− BANCO ALCA

Leaves the portfolio; it was 13.22% of weight.

− US TREASURY

Leaves the portfolio; it was 3.75% of weight.

− Acciones|PACCAR FINANCIAL EUROPE

Leaves the portfolio; it was 1.98% of weight.

− Acciones|OLD DOMINION FREIGHT LINE ODFL

Leaves the portfolio; it was 1.93% of weight.

− Acciones|VERISK

Leaves the portfolio; it was 1.86% of weight.

− Acciones|3M COMPANY

Leaves the portfolio; it was 1.42% of weight.

▲ Acciones|ETFSECURITIES UK LIMITED

Goes from 8.78% to 11.09%.

View company page →
▲ Acciones|ENAGAS

Goes from 1.00% to 2.35%.

View company page →
▲ Acciones|BARRICK GOLD CORP

Goes from 1.12% to 2.23%.

View company page →
▲ Acciones|INTEL CORP

Goes from 0.67% to 1.05%.

View company page →
▼ US TREASURY

Goes from 23.71% to 22.75%.

View company page →
▼ Acciones|COINBASE GLOBAL INC

Goes from 1.04% to 0.34%.

View company page →
▼ Acciones|APPLE INC

Goes from 1.63% to 1.03%.

View company page →

Fixed income

Declared FI exposure
510,075 €
% of portfolio
22.7%
Positions
1
Issuers
1
Sovereign: 510,075 € Corporate: 0 €

Maturity ladder

Observed contractual maturity of each position, repos excluded. Matured/≤3 months includes bonds maturing in the first days after the period close.

6-12 months · 100.0%
Maturity Positions Exposure %
Matured or ≤3 months 0 0 € 0.0%
3-6 months 0 0 € 0.0%
6-12 months 1 510,075 € 100.0%
1-2 years 0 0 € 0.0%
2-5 years 0 0 € 0.0%
5-10 years 0 0 € 0.0%
> 10 years 0 0 € 0.0%
Unknown 0 0 € 0.0%

Top issuers

The 10 issuers with the largest declared exposure in this fund, repos excluded.

Issuer Type ISINs Exposure Next maturity
United States Treasury Sovereign 1 510,075 € 2026-09-30

Top instruments

The 10 instruments with the largest declared exposure. No yield, IRR or rating: there's no reliable data to compute them.

ISIN Coupon Maturity Exposure
US91282CLP40 United States Treasury 3.50% 2026-09-30 510,075 €

Currencies

Fixed-income exposure by instrument currency.

Currency Exposure %
USD 510,075 € 100.0%

This period's fixed-income moves

Compares the current fixed-income portfolio with the previous period, by ISIN. An exit that coincides with maturity isn't a sale: the bond reached its contractual date.

New positions: 0 Exits at maturity: 1 Exits not explained by maturity: 0
◦ US TREASURY

Leaves the portfolio; it was 3.75% of weight.

Disclaimer

This is not financial advice. The portfolio comes from the periodic report the fund files with the CNMV and lags the real close of the period: it is a snapshot of the end of each half-year, not a real-time portfolio.