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GVC GAESCO SOSTENIBLE ISR, FI

Category
Latest period
H2 2025
Positions
33

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.

33
Company Type Country Weight Price
Acciones|BUREAU VERITAS FR0006174348 · EUR Renta Variable Cotizada FR 6.24%
Acciones|FANUC JP3802400006 · JPY Renta Variable Cotizada JP 5.63%
Acciones|KONINKLIJKE PHILIPS NL0000009538 · EUR Renta Variable Cotizada NL 5.56% 23.61 EUR
Acciones|DEUTSCHE POST AG DE0005552004 · EUR Renta Variable Cotizada DE 5.16%
ESTADO USA US912797QX89 · USD Renta Fija No Cotizada US 4.24%
ESTADO ESPAÑOL ES00000124C5 · EUR Deuda Publica Cotizada Mas 1 Anio ES 3.66%
BANCO CAMINOS — · EUR Depositos 3.62%
Acciones|CBRE GROUP US12504L1098 · USD Renta Variable Cotizada US 3.49%
Acciones|MEDTRONIC PLC IE00BTN1Y115 · USD Renta Variable Cotizada IE 3.47%
ESTADO ESPAÑOL ES0000012A89 · EUR Deuda Publica Cotizada Mas 1 Anio ES 3.36%
ESTADO ESPAÑOL ES0L02611066 · EUR Deuda Publica Cotizada Memos 1 Anio ES 3.34%
ESTADO ESPAÑOL ES0L02612049 · EUR Deuda Publica Cotizada Memos 1 Anio ES 3.34%
Acciones|DEUTSCHE BOERSE AG DE0005810055 · EUR Renta Variable Cotizada DE 3.04% 282.90 EUR
Acciones|COMPAGNIE DE SAINT-GOBAIN FR0000125007 · EUR Renta Variable Cotizada FR 2.96% 81.20 EUR
ESTADO USA US91282CBH34 · USD Deuda Publica Cotizada Memos 1 Anio US 2.89%
ESTADO USA US91282CBT71 · USD Deuda Publica Cotizada Memos 1 Anio US 2.87%
Acciones|ACCENTURE LTD. IE00B4BNMY34 · USD Renta Variable Cotizada IE 2.72%
ESTADO ESPAÑOL ES0L02608070 · EUR Deuda Publica Cotizada Memos 1 Anio ES 2.51%
ESTADO ESPAÑOL ES0L02609045 · EUR Deuda Publica Cotizada Memos 1 Anio ES 2.51%
ESTADO ESPAÑOL ES0L02610092 · EUR Deuda Publica Cotizada Memos 1 Anio ES 2.50%
Acciones|PRYSMIAN SPA IT0004176001 · EUR Renta Variable Cotizada IT 1.76%
Acciones|MICISO REAL ESTATE SOCIMI ES0105707006 · EUR Renta Variable Cotizada ES 1.70%
ESTADO ESPAÑOL ES00000127A2 · EUR Deuda Publica Cotizada Mas 1 Anio ES 1.65%
ESTADO ESPAÑOL ES0000012K53 · EUR Deuda Publica Cotizada Mas 1 Anio ES 1.60%
Acciones|ASM LITHOGRAPHY HOLDING NL0010273215 · EUR Renta Variable Cotizada NL 1.57%
Acciones|LAM RESEARCH CORP US5128073062 · USD Renta Variable Cotizada US 1.49%
Acciones|MUENCHENER RUECKVER DE0008430026 · EUR Renta Variable Cotizada DE 1.39%
Acciones|CAP GEMINI FR0000125338 · EUR Renta Variable Cotizada FR 1.09%
INMOBILIARIA COLONIA XS2979643991 · EUR Renta Fija Cotizada Mas 1 Anio XS 1.02%
Acciones|VISA INC. US92826C8394 · USD Renta Variable Cotizada US 1.01%
Acciones|KONE OYJ B FI0009013403 · EUR Renta Variable Cotizada FI 0.62% 51.90 EUR
Acciones|AIR LIQUIDE FR0000120073 · EUR Renta Variable Cotizada FR 0.54%
PENSIUM ESG ES0305668016 · EUR Renta Fija Cotizada Mas 1 Anio ES 0.51%

This period's moves

H2 2025 vs H1 2025 (estimated)

New: 10 Exits: 8 Increases: 6 Cuts: 5
+ ESTADO USA

Enters the portfolio at 4.24% weight.

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+ ESTADO ESPAÑOL

Enters the portfolio at 3.34% weight.

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+ ESTADO ESPAÑOL

Enters the portfolio at 3.34% weight.

View company page →
+ ESTADO USA

Enters the portfolio at 2.89% weight.

View company page →
+ ESTADO USA

Enters the portfolio at 2.87% weight.

View company page →
+ ESTADO ESPAÑOL

Enters the portfolio at 2.51% weight.

View company page →
+ ESTADO ESPAÑOL

Enters the portfolio at 2.51% weight.

View company page →
+ ESTADO ESPAÑOL

Enters the portfolio at 2.50% weight.

View company page →
+ ESTADO ESPAÑOL

Enters the portfolio at 1.65% weight.

View company page →
+ ESTADO ESPAÑOL

Enters the portfolio at 1.60% weight.

View company page →
− FRENCH DISCOUNT T BI

Leaves the portfolio; it was 3.48% of weight.

− ESTADO ESPAÑOL

Leaves the portfolio; it was 2.60% of weight.

− ESTADO ESPAÑOL

Leaves the portfolio; it was 1.74% of weight.

− ESTADO ESPAÑOL

Leaves the portfolio; it was 1.73% of weight.

− ESTADO ESPAÑOL

Leaves the portfolio; it was 1.73% of weight.

− ESTADO ESPAÑOL

Leaves the portfolio; it was 1.73% of weight.

− ESTADO ESPAÑOL

Leaves the portfolio; it was 1.73% of weight.

− VISA INC.

Leaves the portfolio; it was 0.74% of weight.

▲ Acciones|FANUC

Goes from 4.09% to 5.63%.

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▲ Acciones|DEUTSCHE POST AG

Goes from 4.47% to 5.16%.

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▲ Acciones|KONINKLIJKE PHILIPS

Goes from 5.03% to 5.56%.

Koninklijke Philips N.V. operates as a health technology company in North America, the Greater China, and internationally. It operates through Diagnosis & Treatment, Connected Care, and Personal Health segments. The company provides diagnostic imaging solutions, includes ultrasound business unit, magnetic resonance imaging, computed tomography, and diagnostic x-ray; Image Guided Therapy, including image guided therapy systems and image guided therapy devices. It also offers monitoring, enterprise informatics, and sleep and respiratory care, as well as personal health. Koninklijke Philips N.V. has strategic alliance with WellSpan Health to advanced imaging and diagnostics technology products and platforms. The company was formerly known as Koninklijke Philips Electronics N.V. and changed its name to Koninklijke Philips N.V. in May 2013. Koninklijke Philips N.V. was founded in 1891 and is headquartered in Amsterdam, the Netherlands.

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▲ Acciones|PRYSMIAN SPA

Goes from 1.26% to 1.76%.

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▲ Acciones|ASM LITHOGRAPHY HOLDING

Goes from 1.19% to 1.57%.

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▲ Acciones|MEDTRONIC PLC

Goes from 3.24% to 3.47%.

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▼ Acciones|DEUTSCHE BOERSE AG

Goes from 3.88% to 3.04%.

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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▼ Acciones|BUREAU VERITAS

Goes from 6.84% to 6.24%.

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▼ Acciones|COMPAGNIE DE SAINT-GOBAIN

Goes from 3.49% to 2.96%.

Compagnie de Saint-Gobain S.A., together with its subsidiaries, designs, manufactures, and distributes materials and solutions for the construction and industrial markets worldwide. It operates in five segments: High Performance Solutions; Northern Europe; Southern Europe – Middle East (ME) Americas; and Asia-Pacific. The company offers plaster-based products and systems for the construction and renovation markets under the Placo, Rigips, and Gyproc brands; insulation solutions for a range of applications, such as heating and air conditioning systems, insulation of pipes in industrial installations, engine and interior compartments of vehicles, household appliances, and photovoltaic panels under the Isover, CertainTeed, and Izocam brands; and mortars and construction chemicals under the Weber, Chryso, and GCP brands. It also provides ceilings under the Ecophon, CertainTeed, Eurocoustic, Gyptone, and Vinh Tuong brands; glazing solutions for buildings and mobility, including flat glass under the Saint-Gobain Glass, GlassSolutions, Vetrotech, and SageGlass brands; ductile cast iron pipe systems, covers, and gratings under the PAM brand; glass fiber materials and technical textiles; and abrasives, adhesives, sealants, adhesive tapes, foams, and films. In addition, the company offers ceramics and polymers; and exterior products comprising asphalt and composite shingles, solar roofing solutions, roll roofing systems, accessories, polymer shakes and shingles, and insulation cladding solutions under the CertainTeed brands. Further, it distributes heavy building materials; plumbing, heating, ventilation, and sanitaryware products; construction products; office partitions; timber and byproducts; home improvement products and services; bathrooms and kitchens; steel; and site equipment, PPEs, and tools. Compagnie de Saint-Gobain S.A. was founded in 1665 and is headquartered in Courbevoie, France.

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▼ Acciones|LAM RESEARCH CORP

Goes from 1.88% to 1.49%.

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▼ Acciones|ACCENTURE LTD.

Goes from 3.11% to 2.72%.

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Fixed income

Declared FI exposure
21.2 M €
% of portfolio
36.0%
Positions
14
Issuers
4
Sovereign: 20.3 M € Corporate: 899,149 € Deposits / cash: 2.1 M €

Maturity ladder

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

Matured or ≤3 months · 16.0%3-6 months · 11.8%6-12 months · 39.4%1-2 years · 9.3%2-5 years · 22.1%5-10 years · 1.4%
Maturity Positions Exposure %
Matured or ≤3 months 2 3.4 M € 16.0%
3-6 months 1 2.5 M € 11.8%
6-12 months 5 8.3 M € 39.4%
1-2 years 1 2.0 M € 9.3%
2-5 years 4 4.7 M € 22.1%
5-10 years 1 298,399 € 1.4%
> 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
Reino de España Sovereign 9 14.4 M € 2026-08-07
United States Treasury Sovereign 3 5.9 M € 2026-01-31
INMOBILIARIA COLONIA Corporate 1 600,750 € 2030-01-22
PENSIUM ESG Corporate 1 298,399 € 2031-06-25

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
US912797QX89 United States Treasury 3.65% 2026-06-11 2.5 M €
ES00000124C5 Reino de España 5.15% 2028-10-31 2.2 M €
ES0000012A89 Reino de España 1.45% 2027-10-31 2.0 M €
ES0L02611066 Reino de España 2.00% 2026-11-06 2.0 M €
ES0L02612049 Reino de España 2.05% 2026-12-04 2.0 M €
US91282CBH34 United States Treasury 0.19% 2026-01-31 1.7 M €
US91282CBT71 United States Treasury 0.38% 2026-03-31 1.7 M €
ES0L02608070 Reino de España 1.96% 2026-08-07 1.5 M €
ES0L02609045 Reino de España 1.96% 2026-09-04 1.5 M €
ES0L02610092 Reino de España 1.99% 2026-10-09 1.5 M €

Currencies

Fixed-income exposure by instrument currency.

Currency Exposure %
EUR 15.3 M € 72.2%
USD 5.9 M € 27.8%

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: 10 Exits at maturity: 8 Exits not explained by maturity: 0
+ ESTADO USA

Enters the portfolio at 4.24% weight.

+ ESTADO ESPAÑOL

Enters the portfolio at 3.34% weight.

+ ESTADO ESPAÑOL

Enters the portfolio at 3.34% weight.

+ ESTADO USA

Enters the portfolio at 2.89% weight.

+ ESTADO USA

Enters the portfolio at 2.87% weight.

+ ESTADO ESPAÑOL

Enters the portfolio at 2.51% weight.

+ ESTADO ESPAÑOL

Enters the portfolio at 2.51% weight.

+ ESTADO ESPAÑOL

Enters the portfolio at 2.50% weight.

+ ESTADO ESPAÑOL

Enters the portfolio at 1.65% weight.

+ ESTADO ESPAÑOL

Enters the portfolio at 1.60% weight.

◦ FRENCH DISCOUNT T BI

Leaves the portfolio; it was 3.48% of weight.

◦ ESTADO ESPAÑOL

Leaves the portfolio; it was 1.74% of weight.

◦ ESTADO ESPAÑOL

Leaves the portfolio; it was 2.60% of weight.

◦ ESTADO ESPAÑOL

Leaves the portfolio; it was 1.73% of weight.

◦ ESTADO ESPAÑOL

Leaves the portfolio; it was 1.73% of weight.

◦ ESTADO ESPAÑOL

Leaves the portfolio; it was 1.73% of weight.

◦ ESTADO ESPAÑOL

Leaves the portfolio; it was 1.73% of weight.

◦ VISA INC.

Leaves the portfolio; it was 0.74% 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.