Porfolio - Generali Investments
Transkript
Porfolio - Generali Investments
Jméno fondu Fund name Corporate Bonds Fund, GIC Skladba portfolia k Portfolio structure as of 31.8.2016 1i]HYLQYHVWLþQtKRQiVWURMH Investment instrument name ISIN 0ČQD Currency 7UåQtKRGQRWDYPČQČIRQGX Market value in fund currency ALROSA FINANCE 7.75 3/11/2020 XS0555493203 EUR 1 154 696,15 CROATIA GOV 6.75 5/11/2019 USD XS0464257152 EUR 1 112 354,25 GAZPROMBANK 3.984 30/10/2018 XS0987109658 EUR 1 074 153,85 SYNTHOS FIN 4 30/9/2021 C18 XS1115183359 EUR 1 047 921,67 RZD CAPITAL 3.3744 20/5/2021 XS0919581982 EUR 1 046 847,28 ERSTE BANK SUB L+40 19/7/2017 C12 XS0260783005 EUR 1 000 045,03 EXPORT CREDIT BK 5.875 24/4/2019 XS0774764152 EUR 954 655,50 ALFA BANK 5 27/11/2018 XS1324216768 EUR 945 631,22 FIAT CHRYSLER FIN 6.625 15/03/2018 XS0906420574 EUR 893 995,73 TURKIYE HALK BK 4.875 19/7/2017 XS0806482948 EUR 822 921,20 TURKIYE GARANTI BK 3.375 07/08/2019 XS1084838496 EUR 815 074,52 TURKIYE IS BK 3.75 10/10/2018 XS0808632250 EUR 813 883,40 HALYK SAVINGS BK 7.25 03/05/2017 XS0298931287 EUR 805 314,29 NOMOS CAP 7.25 25/4/2018 B XS0923110232 EUR 778 558,11 AGILE PROPERTY 9.875 20/03/17 XS0756437132 EUR 775 295,64 SHIMAO PPTY 6.625 14/1/2020 C17 XS0872804207 EUR 755 257,11 SAMRUK-ENERGY 3.75 20/12/2017 XS0868359166 EUR 728 100,37 KAZAGRO NATL MGMT 3.255 22/5/2019 XS1070363343 EUR 694 978,89 IPF 5.75 7/4/2021 XS1054714248 EUR 666 638,00 TURKIYE VAKIFLAR BK 3.5 17/6/2019 XS1077629225 EUR 658 360,16 GLENCORE FIN DUB 2.625 19/11/2018 XS0857215346 EUR 637 420,38 GAZ CAPITAL 6.605 13/2/2018 XS0327237136 EUR 556 066,45 TUPRAS 4.125 2/5/2018 XS0849020556 EUR 551 073,93 DEV BANK KAZ 4.125 10/12/2022 XS0860582435 EUR 532 975,21 HUNG.DEVELOP.BK 6.25 21/10/2020 XS0954674312 EUR 512 983,22 INTERGAS FIN 6.375 14/5/2017 USN45748AB15 EUR 512 883,35 HZL TURKIYE VAKIFLAR BK 2.375 04/05/2021 XS1403416222 EUR 497 981,58 JBS INV 7.75 28/10/2020 C17 USA29866AA70 EUR 490 960,24 KAZAKHSTAN ENGIN. 4.55 3/12/2016 XS0997708051 EUR 450 442,80 KAZMUNAYGAZ NAT 9.125 2/7/2018 XS0373641009 EUR 402 289,40 KAZAK TEMIR ZHOLY 6.375 6/10/2020 XS0546214007 EUR 396 679,66 GEELY AUTO 5.25 06/10/2019 C17 USG3777BAB92 EUR 382 935,68 HCFB BANK SUB 9.375 24/4/2020 C18 XS0846652666 EUR 380 306,32 JAGUAR LAND ROVER 4.125 15/12/2018 USG5002FAA42 EUR 374 649,21 TURKIYE GARANTI BK 4.75 17/10/19 XS1057541838 EUR 370 822,35 NE Property Cooperatief 3.75 26/02/2021 XS1325078308 EUR 320 828,95 VIMPELCOM 9.125 30/4/2018 XS0361041808 EUR 305 076,36 YAPI 5.25 03/12/2018 XS0994815016 EUR 278 209,44 KAZMUNAYGAS NAT 7 5/5/2020 XS0506527851 EUR 202 387,91 HALYK SAVINGS BK 7.25 28/1/2021 XS0583796973 EUR 196 355,45 EURASIAN DEV. BK 4.767 20/9/2022 XS0831571434 EUR 190 780,03 SEVERSTAL 4.45 19/03/2018 XS0899969702 EUR 188 170,39 BERTIN LTDA 10.25 05/10/2016 USP1655PAB96 EUR 94 300,64 RUSSIAN STD BK SUB VAR 1/12/2016 C11 XS0275728557 EUR 43 733,94 Ostatní aktiva / Other assets EUR 4 064 075,86 Celková hodnota / Total value EUR 30 479 071,12 *HQHUDOL,QYHVWPHQWV&((,QYHVWLþQtVSROHþQRVWDVNRUHVSRQGHQþQtDGUHVD32%2;405, 6600 05 Brno, Infolinka: 844 111 121HPDLOLQIR#JHQHUDOLLQYHVWPHQWVF]LQWHUQHWZZZJHQHUDOLLQYHVWPHQWVF]VtGORVSROHþQRVWL1D3DQNUiFL1720/123, 140 21 Praha 4,ý43873766',ý&=699001273]DSVDQiY2EFKRGQtPUHMVWĜtNXX0ČVWVNpKRVRXGXY3UD]HRGGtO%YORåND1031 1/1
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