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RURAL RENTA VARIABLE ESPAÑA, FI

Category
Latest period
H2 2025
Positions
41

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.

41
Company Type Country Weight Price
Ac.Banco Santander ES0113900J37 · EUR Renta Variable Cotizada ES 9.49%
Ac.Inditex ES0148396007 · EUR Renta Variable Cotizada ES 9.31%
Ac.Iberdrola ES0144580Y14 · EUR Renta Variable Cotizada ES 9.22%
Ac.Banco Bilbao Vizcaya ES0113211835 · EUR Renta Variable Cotizada ES 9.05%
Ac.CaixaBank ES0140609019 · EUR Renta Variable Cotizada ES 4.07%
Ac.Ferrovial Internacional SE NL0015001FS8 · EUR Renta Variable Cotizada NL 3.87%
Ac.Amadeus It Holdings ES0109067019 · EUR Renta Variable Cotizada ES 3.83%
Ac.International Consolidated Airlines ES0177542018 · EUR Renta Variable Cotizada ES 3.17%
Ac.Cellnex Telecom S.A. ES0105066007 · EUR Renta Variable Cotizada ES 2.47%
Ac.Indra Sistemas ES0118594417 · EUR Renta Variable Cotizada ES 2.41%
Ac.Merlin Properties Socimi SA ES0105025003 · EUR Renta Variable Cotizada ES 2.24% 14.10 EUR
Ac.Banco Sabadell ES0113860A34 · EUR Renta Variable Cotizada ES 2.06%
Ac.Sacyr Vallehermoso ES0182870214 · EUR Renta Variable Cotizada ES 1.89% 4.29 EUR
Ac.Fluidra ES0137650018 · EUR Renta Variable Cotizada ES 1.86%
Ac.Endesa ES0130670112 · EUR Renta Variable Cotizada ES 1.83%
Ac.Laboratorios Farmaceuticos R ES0157261019 · EUR Renta Variable Cotizada ES 1.79%
Ac.Cie Automotive ES0105630315 · EUR Renta Variable Cotizada ES 1.73%
Ac.Puig Brands SA B ES0105777017 · EUR Renta Variable Cotizada ES 1.71%
Ac.Construcciones y Aux de Ferrocarril ES0121975009 · EUR Renta Variable Cotizada ES 1.71%
Ac.Inmobiliaria Colonial Socimi ES0139140174 · EUR Renta Variable Cotizada ES 1.68% 5.47 EUR
Ac.Corp Acciona Energías Renovables SA ES0105563003 · EUR Renta Variable Cotizada ES 1.60% 20.78 EUR
Ac.Repsol ES0173516115 · EUR Renta Variable Cotizada ES 1.53%
Ac.Melia Hoteles Internacional ES0176252718 · EUR Renta Variable Cotizada ES 1.52% 10.13 EUR
Ac.Viscofán ES0184262212 · EUR Renta Variable Cotizada ES 1.42%
cc.Coca Cola European Partn GB00BDCPN049 · EUR Renta Variable Cotizada GB 1.40%
Ac.Arteche Lantegi Elkartea SA ES0105521001 · EUR Renta Variable Cotizada ES 1.39%
Ac.Acerinox ES0132105018 · EUR Renta Variable Cotizada ES 1.37% 17.15 EUR
Bono del Estado ES0000012C12 · EUR Adquisicion Temporal Activos ES 1.36%
Ac.Telefonica ES0178430E18 · EUR Renta Variable Cotizada ES 1.33%
Ac.Bankinter ES0113679I37 · EUR Renta Variable Cotizada ES 1.33%
Ac.Aena ES0105046017 · EUR Renta Variable Cotizada ES 1.20%
Unicaja Banco S.A. ES0180907000 · EUR Renta Variable Cotizada ES 1.19%
Ac.ArcelorMittal LU1598757687 · EUR Renta Variable Cotizada LU 1.16% 62.58 EUR
Ac.Zegona Communications PLC GB00BVGBY890 · GBP Renta Variable Cotizada GB 1.04% 1588.00 GBp
Ac.Hbx Group International PLC GB00BNXJB679 · EUR Renta Variable Cotizada GB 1.02%
Ac.Acciona ES0125220311 · EUR Renta Variable Cotizada ES 0.80%
Ac.Cia de Distribución Integral Logista ES0105027009 · EUR Renta Variable Cotizada ES 0.76%
AC.Almirall S.A. ES0157097017 · EUR Renta Variable Cotizada ES 0.61% 10.46 EUR
Ac.Solaria Energia y Medio Ambiente ES0165386014 · EUR Renta Variable Cotizada ES 0.42%
Ac.Global Dominion Access Sa ES0105130001 · EUR Renta Variable Cotizada ES 0.34% 2.75 EUR
Linea Directa Aseguradora SA ES0105546008 · EUR Renta Variable Cotizada ES 0.27% 1.33 EUR

This period's moves

H2 2025 vs H1 2025 (estimated)

New: 3 Exits: 2 Increases: 8 Cuts: 13
+ Ac.Indra Sistemas

Enters the portfolio at 2.41% weight.

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+ Unicaja Banco S.A.

Enters the portfolio at 1.19% weight.

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+ Ac.Zegona Communications PLC

Enters the portfolio at 1.04% weight.

Zegona Communications plc engages in the provision of integrated telecommunications services in Spain. The company offers broadband, mobile, TV, voice, data, and other value-added products and services. It serves business-to-consumer and business-to-business markets. The company was incorporated in 2015 and is based in London, the United Kingdom. Zegona Communications plc operates as a subsidiary of Ejlshm Funding Limited.

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− Ac.Gestamp Automocion SA

Leaves the portfolio; it was 0.37% of weight.

Gestamp Automoción, S.A. designs, develops, and manufactures metal components for the automotive industry in Western Europe, Eastern Europe, Mercosur, North America, and Asia. The company offers body-in-white products, large components and assembly parts, such as bonnets, roofs, doors, and mudguards, as well as other surface and assembly parts for use in creation of visible exterior skin of vehicles; and structural and crash-related elements, including floors, pillars, rails, and wheel arches. It also provides chassis parts comprising under body of vehicles and includes systems, frames and related parts, such as front and rear axles and couplings, control arms, and integrated couplings; hinges, door checks, electrical systems, and powered systems. In addition, the company offers hydraulic presses and dies in the areas of hot stamping, cold stamping, hydroforming, and try out of tools. Further, it serves vehicle manufacturers. Gestamp Automoción, S.A. was incorporated in 1997 and is headquartered in Madrid, Spain. Gestamp Automoción, S.A. is a subsidiary of Gestamp 2020, S.L.

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− Ac.Neinor Homes SLU

Leaves the portfolio; it was 0.35% of weight.

▲ Ac.Banco Bilbao Vizcaya

Goes from 7.29% to 9.05%.

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▲ Ac.Cie Automotive

Goes from 0.56% to 1.73%.

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▲ Ac.Fluidra

Goes from 1.01% to 1.86%.

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▲ Ac.Construcciones y Aux de Ferrocarril

Goes from 0.93% to 1.71%.

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▲ Ac.Inmobiliaria Colonial Socimi

Goes from 1.11% to 1.68%.

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.

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▲ Ac.Laboratorios Farmaceuticos R

Goes from 1.24% to 1.79%.

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▲ Ac.Sacyr Vallehermoso

Goes from 1.59% to 1.89%.

Sacyr, S.A. engages in the development and operation of infrastructure concessions worldwide. It is involved in the infrastructure development, such as transportation, sanitation, water, and waste treatment; development of large-scale civil engineering, industrial transport infrastructure, and building projects; water treatment, purification, desalination, purification, and reuse, as well as operation and maintenance of facilities. The company was formerly known as Sacyr Vallehermoso S.A. and changed its name to Sacyr, S.A. in August 2013. Sacyr, S.A. is based in Madrid, Spain.

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▲ Ac.Inditex

Goes from 9.04% to 9.31%.

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▼ Bono del Estado

Goes from 3.76% to 1.36%.

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▼ Ac.Telefonica

Goes from 3.11% to 1.33%.

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▼ Ac.Cellnex Telecom S.A.

Goes from 3.81% to 2.47%.

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▼ Ac.Repsol

Goes from 2.41% to 1.53%.

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▼ Ac.Endesa

Goes from 2.38% to 1.83%.

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▼ Ac.Amadeus It Holdings

Goes from 4.31% to 3.83%.

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▼ Ac.Iberdrola

Goes from 9.67% to 9.22%.

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▼ Ac.Aena

Goes from 1.65% to 1.20%.

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▼ Ac.International Consolidated Airlines

Goes from 3.62% to 3.17%.

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▼ Ac.Ferrovial Internacional SE

Goes from 4.27% to 3.87%.

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▼ Ac.Puig Brands SA B

Goes from 2.09% to 1.71%.

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▼ Ac.Banco Sabadell

Goes from 2.38% to 2.06%.

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▼ Ac.Cia de Distribución Integral Logista

Goes from 1.01% to 0.76%.

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Fixed income

Declared FI exposure
711,800 €
% of portfolio
1.4%
Positions
1
Issuers
0
Sovereign: 0 € Corporate: 0 € Repos / treasury management: 711,800 €

Maturity ladder

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

Maturity Positions Exposure %
Matured or ≤3 months 0 0 € 0.0%
3-6 months 0 0 € 0.0%
6-12 months 0 0 € 0.0%
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%

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.