← Back to Fund Radar

Fund page

SANTANDER GESTION GLOBAL DECIDIDO, FI

Category
Latest period
H2 2025
Positions
6

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.

6
Company Type Country Weight Price
ACCIONES|SOURCE PHYSICAL MARKETS GOLD IE00B579F325 · USD Renta Variable Cotizada IE 1.78%
SPAIN LETRAS DEL TESORO ES0L02603063 · EUR Deuda Publica Cotizada Memos 1 Anio ES 1.25%
ITALY BUONI ORDI IT0005655037 · EUR Deuda Publica Cotizada Memos 1 Anio IT 1.25%
FRANCE REPUBLIC FR0128984012 · EUR Deuda Publica Cotizada Memos 1 Anio FR 0.88%
SPAIN LETRAS DEL TESORO ES0L02609045 · EUR Deuda Publica Cotizada Memos 1 Anio ES 0.64%
SPAIN LETRAS DEL TESORO ES0L02606058 · EUR Deuda Publica Cotizada Memos 1 Anio ES 0.48%

This period's moves

H2 2025 vs H1 2025 (estimated)

New: 3 Exits: 4 Increases: 1 Cuts: 0
+ FRANCE REPUBLIC

Enters the portfolio at 0.88% weight.

View company page →
+ SPAIN LETRAS DEL TESORO

Enters the portfolio at 0.64% weight.

View company page →
+ SPAIN LETRAS DEL TESORO

Enters the portfolio at 0.48% weight.

View company page →
− FRANCE REPUBLIC GOVERNMENT BOND OAT COUP

Leaves the portfolio; it was 1.31% of weight.

− FRANCE REPUBLIC

Leaves the portfolio; it was 0.92% of weight.

− SPAIN LETRAS DEL TESORO

Leaves the portfolio; it was 0.92% of weight.

− ITALY BUONI ORDI

Leaves the portfolio; it was 0.92% of weight.

▲ ACCIONES|SOURCE PHYSICAL MARKETS GOLD

Goes from 1.43% to 1.78%.

View company page →

Fixed income

Declared FI exposure
33.0 M €
% of portfolio
4.5%
Positions
5
Issuers
3
Sovereign: 33.0 M € 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.

3-6 months · 47.3%Unknown · 52.7%
Maturity Positions Exposure %
Matured or ≤3 months 0 0 € 0.0%
3-6 months 2 15.6 M € 47.3%
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 3 17.4 M € 52.7%

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 3 17.4 M €
Repubblica Italiana Sovereign 1 9.1 M € 2026-06-12
République Française Sovereign 1 6.5 M € 2026-06-17

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
ES0L02603063 Reino de España 9.1 M €
IT0005655037 Repubblica Italiana 0.00% 2026-06-12 9.1 M €
FR0128984012 République Française 0.00% 2026-06-17 6.5 M €
ES0L02609045 Reino de España 4.7 M €
ES0L02606058 Reino de España 3.5 M €

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: 3 Exits at maturity: 2 Exits not explained by maturity: 2
+ FRANCE REPUBLIC

Enters the portfolio at 0.88% weight.

+ SPAIN LETRAS DEL TESORO

Enters the portfolio at 0.64% weight.

+ SPAIN LETRAS DEL TESORO

Enters the portfolio at 0.48% weight.

− FRANCE REPUBLIC GOVERNMENT BOND OAT COUP

Leaves the portfolio; it was 1.31% of weight.

− SPAIN LETRAS DEL TESORO

Leaves the portfolio; it was 0.92% of weight.

◦ FRANCE REPUBLIC

Leaves the portfolio; it was 0.92% of weight.

◦ ITALY BUONI ORDI

Leaves the portfolio; it was 0.92% 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.