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			</iic-fim:CategoriaFIM>
			<iic-com:PoliticaInversion contextRef="FIM_S12025_V-62272828_ia">El Fondo invierte en activos monetarios y de renta fija emitidos en euros. La duración media de la cartera de renta fija será máximo de 2 años. No existe predeterminación de la calificación crediticia de las inversiones. Con todo, se persigue un rendimiento regular, marcado por los tipos de interés a corto plazo en los mercados monetarios y de renta fija del euro. La selección de valores se realiza teniendo en cuenta no solo aspectos económicos y financieros sino también criterios extra-financieros de inversión sostenible, medioambientales, sociales y de buen gobierno, también conocidos como ESG, aplicando la metodología ESG desarrollada por Amundi.  Este fondo puede no ser adecuado para inversores que prevean retirar su dinero en un plazo inferior a 1 año.</iic-com:PoliticaInversion>
			<iic-com:OperativaDerivados contextRef="FIM_S12025_V-62272828_ia">Una información más detallada sobre la política de inversión del Fondo se puede encontrar en su folleto informativo.</iic-com:OperativaDerivados>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">1515670</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.04</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
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	<iic-com:InversionesFinancierasRFCotizadaMas1AnnoTotal>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">59789649</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">1.37</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">70081781</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">2.02</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">59789649</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">1.37</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">70081781</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">2.03</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">59789649</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">1.37</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">70081781</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">2.03</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">59789649</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">1.37</iic-com:InversionesFinancierasPorcentaje>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">70081781</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">2.03</iic-com:InversionesFinancierasPorcentaje>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">IT0005386245</iic-com:CodigoISIN>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">0</iic-com:InversionesFinancierasValor>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">IT0005534281</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.ITALIA -BTPS- 3,4% VT.28/03/2025</iic-com:InversionesFinancierasDescripcion>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">IT0004513641</iic-com:CodigoISIN>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS1788494257</iic-com:CodigoISIN>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2747616105</iic-com:CodigoISIN>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">1007089</iic-com:InversionesFinancierasValor>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">13456592</iic-com:InversionesFinancierasValor>
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	<iic-com:InversionesFinancierasRFCotizadaMas1Anno>
		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2487054004</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.ABN AMRO BANK 2,375% VT.01/06/2027</iic-com:InversionesFinancierasDescripcion>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">2993976</iic-com:InversionesFinancierasValor>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">0</iic-com:InversionesFinancierasValor>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2613658470</iic-com:CodigoISIN>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">1944180</iic-com:InversionesFinancierasValor>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2822525205</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.AUST&amp;NZ BK %VAR VT.21/05/2027</iic-com:InversionesFinancierasDescripcion>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">7001909</iic-com:InversionesFinancierasValor>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">6998624</iic-com:InversionesFinancierasValor>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2456253082</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.AUST&amp;NZ BK 0,25% VT.17/03/25</iic-com:InversionesFinancierasDescripcion>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">1978361</iic-com:InversionesFinancierasValor>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">FR001400L4Y2</iic-com:CodigoISIN>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">18091951</iic-com:InversionesFinancierasValor>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">FR001400XHW0</iic-com:CodigoISIN>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">0</iic-com:InversionesFinancierasValor>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">FR001400G0W1</iic-com:CodigoISIN>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">15036154</iic-com:InversionesFinancierasValor>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">FR001400O457</iic-com:CodigoISIN>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">0</iic-com:InversionesFinancierasValor>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">FR001400M8T2</iic-com:CodigoISIN>
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			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.44</iic-com:InversionesFinancierasPorcentaje>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">0</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.00</iic-com:InversionesFinancierasPorcentaje>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">FR001400D7M0</iic-com:CodigoISIN>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">0</iic-com:InversionesFinancierasValor>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">11210552</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.33</iic-com:InversionesFinancierasPorcentaje>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2451372499</iic-com:CodigoISIN>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">5004915</iic-com:InversionesFinancierasValor>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">4993515</iic-com:InversionesFinancierasValor>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">0</iic-com:InversionesFinancierasValor>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2463505581</iic-com:CodigoISIN>
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			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.01</iic-com:InversionesFinancierasPorcentaje>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2530506752</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.OP CORPORATE 2,875% VT.15/12/2025</iic-com:InversionesFinancierasDescripcion>
		<dgi-lc-int:Xcode_ISO4217.EUR contextRef="FIM_S12025_V-62272828_da">EUR</dgi-lc-int:Xcode_ISO4217.EUR>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">1962502</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.05</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">1969202</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.06</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
	</iic-com:InversionesFinancierasRFCotizadaMas1Anno>
	<iic-com:InversionesFinancierasRFCotizadaMas1Anno>
		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2546781555</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.OP CORPORATE 4,125% VT.18/04/27</iic-com:InversionesFinancierasDescripcion>
		<dgi-lc-int:Xcode_ISO4217.EUR contextRef="FIM_S12025_V-62272828_da">EUR</dgi-lc-int:Xcode_ISO4217.EUR>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">4120892</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.09</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">0</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.00</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
	</iic-com:InversionesFinancierasRFCotizadaMas1Anno>
	<iic-com:InversionesFinancierasRFCotizadaMas1Anno>
		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">FR0013506524</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.PERNOD-RIC 1,125% VT.7/4/25</iic-com:InversionesFinancierasDescripcion>
		<dgi-lc-int:Xcode_ISO4217.EUR contextRef="FIM_S12025_V-62272828_da">EUR</dgi-lc-int:Xcode_ISO4217.EUR>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">0</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.00</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">5895129</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.17</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
	</iic-com:InversionesFinancierasRFCotizadaMas1Anno>
	<iic-com:InversionesFinancierasRFCotizadaMas1Anno>
		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">FR001400KPB4</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.PERNOD-RIC 3,75% VT.15/09/27</iic-com:InversionesFinancierasDescripcion>
		<dgi-lc-int:Xcode_ISO4217.EUR contextRef="FIM_S12025_V-62272828_da">EUR</dgi-lc-int:Xcode_ISO4217.EUR>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">514403</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.01</iic-com:InversionesFinancierasPorcentaje>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">0</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.00</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
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	<iic-com:InversionesFinancierasRFCotizadaMas1Anno>
		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">FR0014001JP1</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.PSA BANQUE 0% VT.22/01/25(C01/25)</iic-com:InversionesFinancierasDescripcion>
		<dgi-lc-int:Xcode_ISO4217.EUR contextRef="FIM_S12025_V-62272828_da">EUR</dgi-lc-int:Xcode_ISO4217.EUR>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">0</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.00</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">24718216</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.72</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
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	<iic-com:InversionesFinancierasRFCotizadaMas1Anno>
		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">FR001400F6V1</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.PSA BANQUE 3,875% VT.19/01/26(C12/25)</iic-com:InversionesFinancierasDescripcion>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">32291954</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.74</iic-com:InversionesFinancierasPorcentaje>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">17149894</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.50</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
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	<iic-com:InversionesFinancierasRFCotizadaMas1Anno>
		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">FR001400E904</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.RCI BANQUE 4,125% VT.01/12/25 (C9/25)</iic-com:InversionesFinancierasDescripcion>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">5027158</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.12</iic-com:InversionesFinancierasPorcentaje>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">4537028</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.13</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
	</iic-com:InversionesFinancierasRFCotizadaMas1Anno>
	<iic-com:InversionesFinancierasRFCotizadaMas1Anno>
		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">FR001400KXW4</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.RCI BANQUE 4,625% VT.02/10/26(C7/26)</iic-com:InversionesFinancierasDescripcion>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">8207241</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.19</iic-com:InversionesFinancierasPorcentaje>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">3576778</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.10</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
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	<iic-com:InversionesFinancierasRFCotizadaMas1Anno>
		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2178957077</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.REDEXIS GAS 1,875% VT.28/05/25</iic-com:InversionesFinancierasDescripcion>
		<dgi-lc-int:Xcode_ISO4217.EUR contextRef="FIM_S12025_V-62272828_da">EUR</dgi-lc-int:Xcode_ISO4217.EUR>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">0</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.00</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">1983914</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.06</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
	</iic-com:InversionesFinancierasRFCotizadaMas1Anno>
	<iic-com:InversionesFinancierasRFCotizadaMas1Anno>
		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">FR0014007KL5</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.RENAULT 0,5% VT.14/07/2025 (C7/25)</iic-com:InversionesFinancierasDescripcion>
		<dgi-lc-int:Xcode_ISO4217.EUR contextRef="FIM_S12025_V-62272828_da">EUR</dgi-lc-int:Xcode_ISO4217.EUR>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">5791372</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.13</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">4813839</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.14</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
	</iic-com:InversionesFinancierasRFCotizadaMas1Anno>
	<iic-com:InversionesFinancierasRFCotizadaMas1Anno>
		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2629470506</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.ROBERT BOSCH 3,625% VT.02/06/27</iic-com:InversionesFinancierasDescripcion>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">1023185</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.02</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">0</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.00</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
	</iic-com:InversionesFinancierasRFCotizadaMas1Anno>
	<iic-com:InversionesFinancierasRFCotizadaMas1Anno>
		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2344385815</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.RYANAIR 0,875% VT.25/05/2026</iic-com:InversionesFinancierasDescripcion>
		<dgi-lc-int:Xcode_ISO4217.EUR contextRef="FIM_S12025_V-62272828_da">EUR</dgi-lc-int:Xcode_ISO4217.EUR>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">4920063</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.11</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">0</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.00</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
	</iic-com:InversionesFinancierasRFCotizadaMas1Anno>
	<iic-com:InversionesFinancierasRFCotizadaMas1Anno>
		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2715297672</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.SANDOZ FIN 3,97% VT.17/04/27(C3/27)</iic-com:InversionesFinancierasDescripcion>
		<dgi-lc-int:Xcode_ISO4217.EUR contextRef="FIM_S12025_V-62272828_da">EUR</dgi-lc-int:Xcode_ISO4217.EUR>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">5137124</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.12</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">0</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.00</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
	</iic-com:InversionesFinancierasRFCotizadaMas1Anno>
	<iic-com:InversionesFinancierasRFCotizadaMas1Anno>
		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">FR001400Y1H8</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.SANOFI %VAR VT.11/3/27(C2/27)</iic-com:InversionesFinancierasDescripcion>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">FR0014002C30</iic-com:CodigoISIN>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">973492</iic-com:InversionesFinancierasValor>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">0</iic-com:InversionesFinancierasValor>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">FR001400MK22</iic-com:CodigoISIN>
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			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.35</iic-com:InversionesFinancierasPorcentaje>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">10012485</iic-com:InversionesFinancierasValor>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2617442525</iic-com:CodigoISIN>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">5069828</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.12</iic-com:InversionesFinancierasPorcentaje>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">2024267</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.06</iic-com:InversionesFinancierasPorcentaje>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2837886105</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.VOLKSWAGEN FINAN %VAR VT.10/06/27</iic-com:InversionesFinancierasDescripcion>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">6012833</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.17</iic-com:InversionesFinancierasPorcentaje>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2374595127</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.VOLKSWAGEN FINAN 0% VT.12/02/2025</iic-com:InversionesFinancierasDescripcion>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">0</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.00</iic-com:InversionesFinancierasPorcentaje>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">9585354</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.28</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2438615606</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.VOLKSWAGEN FINAN 0,25% VT.31/01/2025</iic-com:InversionesFinancierasDescripcion>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">0</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.00</iic-com:InversionesFinancierasPorcentaje>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">4927586</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.14</iic-com:InversionesFinancierasPorcentaje>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2152062209</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.VOLKSWAGEN FINAN 3% VT.06/04/2025</iic-com:InversionesFinancierasDescripcion>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">0</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.00</iic-com:InversionesFinancierasPorcentaje>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">1995791</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.06</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2941360963</iic-com:CodigoISIN>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">1011355</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.02</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">1000156</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.03</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
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	<iic-com:InversionesFinancierasRFCotizadaMas1Anno>
		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2837886014</iic-com:CodigoISIN>
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			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.26</iic-com:InversionesFinancierasPorcentaje>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">10105179</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.29</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
	</iic-com:InversionesFinancierasRFCotizadaMas1Anno>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2794650833</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.VOLKSWAGEN INT %VAR VT.27/03/26</iic-com:InversionesFinancierasDescripcion>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">8011038</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.18</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">8022473</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.23</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
	</iic-com:InversionesFinancierasRFCotizadaMas1Anno>
	<iic-com:InversionesFinancierasRFCotizadaMas1Anno>
		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2491738352</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.VOLKSWAGEN INT FIN 3,125% VT.28/03/25</iic-com:InversionesFinancierasDescripcion>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">0</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.00</iic-com:InversionesFinancierasPorcentaje>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">5922524</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.17</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
	</iic-com:InversionesFinancierasRFCotizadaMas1Anno>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2604697891</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.VOLKSWAGEN INT FIN 3,875% VT.29/03/26</iic-com:InversionesFinancierasDescripcion>
		<dgi-lc-int:Xcode_ISO4217.EUR contextRef="FIM_S12025_V-62272828_da">EUR</dgi-lc-int:Xcode_ISO4217.EUR>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ia">10136453</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ia">.23</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">403681</iic-com:InversionesFinancierasValor>
			<iic-com:InversionesFinancierasPorcentaje unitRef="pure" decimals="2" contextRef="FIM_S12025_V-62272828_ipy">.01</iic-com:InversionesFinancierasPorcentaje>
		</iic-com:InversionesFinancierasImporte>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2554487905</iic-com:CodigoISIN>
		<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S12025_V-62272828_ia">BO.VOLKSWAGEN INT FIN 4,125% VT.15/11/25</iic-com:InversionesFinancierasDescripcion>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS1605365193</iic-com:CodigoISIN>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">DE000DL19VD6</iic-com:CodigoISIN>
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			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">0</iic-com:InversionesFinancierasValor>
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		<iic-com:InversionesFinancierasImporte>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS1684269332</iic-com:CodigoISIN>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS1639488771</iic-com:CodigoISIN>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2237434472</iic-com:CodigoISIN>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">0</iic-com:InversionesFinancierasValor>
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		<iic-com:InversionesFinancierasImporte>
			<iic-com:InversionesFinancierasValor unitRef="euro" decimals="0" contextRef="FIM_S12025_V-62272828_ipy">0</iic-com:InversionesFinancierasValor>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS1550951211</iic-com:CodigoISIN>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS2001737324</iic-com:CodigoISIN>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS0862442331</iic-com:CodigoISIN>
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		<iic-com:CodigoISIN contextRef="FIM_S12025_V-62272828_ia">XS1395057430</iic-com:CodigoISIN>
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	<iic-com:ExplicacionHechosRelevantes contextRef="FIM_S12025_V-62272828_da">13/06/2025 La CNMV ha resuelto: Autorizar, a solicitud de SABADELL ASSET MANAGEMENT, S.A., S.G.I.I.C., como entidad Gestora, y de BNP PARIBAS S.A., SUCURSAL EN ESPAÑA, como entidad Depositaria, la fusión por absorción de SABADELL HORIZONTE 06 2025, FI (inscrito en el correspondiente registro de la CNMV con el número 5865), por SABADELL RENDIMIENTO, FI (inscrito en el correspondiente registro de la CNMV con el número 2145).03/04/2025 Con fecha 2 de abril de 2025, se ha formalizado mediante contrato privado la fusión por absorción de SABADELL RENDIMIENTO, FI (Fondo absorbente) y SABADELL GARANTÍA FIJA 20, FI (Fondo absorbido), una vez aprobados los correspondientes Estados Financieros a fecha 1 de abril de 2025, por la Sociedad Gestora y la Entidad Depositaria. Las ecuaciones de canje definitivas, calculadas de acuerdo con los estados financieros de 1 de abril de 2025, son las siguientes: Una participación de SABADELL GARANTÍA FIJA 20, FI equivale al siguiente número de participaciones de la correspondiente clase de SABADELL RENDIMIENTO, FI que se asigne como clase absorbente: 1,07432031 participaciones de la clase Base de SABADELL RENDIMIENTO, FI 1,06111090 participaciones de la clase Plus de SABADELL RENDIMIENTO, FI 1,04828448 participaciones de la clase Premier de SABADELL RENDIMIENTO, FI 1,04478844 participaciones de la clase Cartera de SABADELL RENDIMIENTO, FI 1,06709496 participaciones de la clase Pyme de SABADELL RENDIMIENTO, FI 1,06110828 participaciones de la clase Empresa de SABADELL RENDIMIENTO, FI 1,04208282 participaciones de la clase Canalizador de SABADELL RENDIMIENTO, FI 1,03571993 participaciones de la clase Superior de SABADELL RENDIMIENTO, FI 0,96427498 participaciones de la clase Z de SABADELL RENDIMIENTO, FI El criterio de asignación a la clase absorbente de SABADELL RENDIMIENTO, FI de la posición mantenida por cada uno de los partícipes en el Fondo absorbido, ha sido el siguiente: En el caso de personas físicas, las posiciones suscritas se han asignado a aquella clase de participaciones Base, Plus o Premier más favorable al interés del partícipe, siempre en función del importe de inversión mínima inicial exigido en las distintas clases del Fondo absorbente y de la posición mantenida por el partícipe en el Fondo absorbido el día anterior a la fecha de ejecución de la fusión. En el caso de personas jurídicas, las posiciones suscritas se han asignado a aquella clase de participaciones Base, Plus, Premier, Pyme o Empresa más favorable al interés del partícipe, siempre en función del importe de inversión mínima inicial exigido en las distintas clases del Fondo absorbente y de la posición mantenida por el partícipe en el Fondo absorbido el día anterior a la fecha de ejecución de la fusión.03/02/2025 Conociendo que la media diaria del cierre oficial del índice EUR Swap 1 año durante los últimos 10 días hábiles del mes de enero de 2025 ha sido 2,455% anual, se informa que se mantienen las comisiones aplicables a las distintas clases de participaciones de SABADELL RENDIMIENTO, FI en los mismos niveles que en el semestre anterior, durante el período comprendido entre el 1 de febrero de 2025 y el 31 de julio de 2025: Clase Comisión de gestión anual sobre el patrimonio Comisión de depositaría anual sobre el patrimonio BASE 0,85% 0,05% PLUS 0,55% 0,05% PREMIER 0,30% 0,02% CARTERA 0,25% 0,02% PYME 0,70% 0,05% EMPRESA 0,55% 0,05% CANALIZADOR 0,25% 0,02% SUPERIOR 0,27% 0,02% Z 0,10% 0,02%24/01/2025 La CNMV ha resuelto: Autorizar, a solicitud de SABADELL ASSET MANAGEMENT, S.A., S.G.I.I.C., como entidad Gestora, y de BNP PARIBAS S.A., SUCURSAL EN ESPAÑA, como entidad Depositaria, la fusión por absorción de SABADELL GARANTÍA FIJA 20, FI (inscrito en el correspondiente registro de la CNMV con el número 5724), por SABADELL RENDIMIENTO, FI (inscrito en el correspondiente registro de la CNMV con el número 2145).13/01/2025 Con fecha 10 de enero de 2025, se ha formalizado mediante contrato privado la fusión por absorción de SABADELL RENDIMIENTO, FI (Fondo absorbente), SABADELL GARANTÍA EXTRA 25, FI, SABADELL GARANTÍA EXTRA 26, FI y SABADELL GARANTÍA EXTRA 32, FI (Fondos absorbidos), una vez aprobados los correspondientes Estados Financieros a fecha 9 de enero de 2025, por la Sociedad Gestora y la Entidad Depositaria. Las ecuaciones de canje definitivas, calculadas de acuerdo con los estados financieros de 9 de enero de 2025, son las siguientes: Una participación de SABADELL GARANTÍA EXTRA 25, FI equivale al siguiente número de participaciones de la correspondiente clase de SABADELL RENDIMIENTO, FI que se asigne como clase absorbente: 1,10382573 participaciones de la clase Base de SABADELL RENDIMIENTO, FI 1,09098867 participaciones de la clase Plus de SABADELL RENDIMIENTO, FI 1,07847937 participaciones de la clase Premier de SABADELL RENDIMIENTO, FI 1,07500326 participaciones de la clase Cartera de SABADELL RENDIMIENTO, FI 1,09677152 participaciones de la clase Pyme de SABADELL RENDIMIENTO, FI 1,09098598 participaciones de la clase Empresa de SABADELL RENDIMIENTO, FI 1,07221956 participaciones de la clase Canalizador de SABADELL RENDIMIENTO, FI 1,06562474 participaciones de la clase Superior de SABADELL RENDIMIENTO, FI 0,99249595 participaciones de la clase Z de SABADELL RENDIMIENTO, FI Una participación de SABADELL GARANTÍA EXTRA 26, FI equivale al siguiente número de participaciones de la correspondiente clase de SABADELL RENDIMIENTO, FI que se asigne como clase absorbente: 1,09824666 participaciones de la clase Base de SABADELL RENDIMIENTO, FI 1,08547449 participaciones de la clase Plus de SABADELL RENDIMIENTO, FI 1,07302841 participaciones de la clase Premier de SABADELL RENDIMIENTO, FI 1,06956987 participaciones de la clase Cartera de SABADELL RENDIMIENTO, FI 1,09122811 participaciones de la clase Pyme de SABADELL RENDIMIENTO, FI 1,08547181 participaciones de la clase Empresa de SABADELL RENDIMIENTO, FI 1,06680024 participaciones de la clase Canalizador de SABADELL RENDIMIENTO, FI 1,06023875 participaciones de la clase Superior de SABADELL RENDIMIENTO, FI 0,98747957 participaciones de la clase Z de SABADELL RENDIMIENTO, FI Una participación de SABADELL GARANTÍA EXTRA 32, FI equivale al siguiente número de participaciones de la correspondiente clase de SABADELL RENDIMIENTO, FI que se asigne como clase absorbente: 1,19838175 participaciones de la clase Base de SABADELL RENDIMIENTO, FI 1,18444504 participaciones de la clase Plus de SABADELL RENDIMIENTO, FI 1,17086417 participaciones de la clase Premier de SABADELL RENDIMIENTO, FI 1,16709029 participaciones de la clase Cartera de SABADELL RENDIMIENTO, FI 1,19072326 participaciones de la clase Pyme de SABADELL RENDIMIENTO, FI 1,18444212 participaciones de la clase Empresa de SABADELL RENDIMIENTO, FI 1,16406813 participaciones de la clase Canalizador de SABADELL RENDIMIENTO, FI 1,15690838 participaciones de la clase Superior de SABADELL RENDIMIENTO, FI 1,07751522 participaciones de la clase Z de SABADELL RENDIMIENTO, FI El criterio de asignación a las distintas clases de SABADELL RENDIMIENTO, FI de la posición mantenida por cada uno de los partícipes en los Fondos absorbidos ha sido el siguiente: En el caso de personas físicas, las posiciones suscritas se han asignado a aquella clase de participaciones Base, Plus o Premier más favorable al interés del partícipe, siempre en función del importe de inversión mínima inicial exigido en las distintas clases del Fondo absorbente y de la posición mantenida por el partícipe en el Fondo absorbido el día anterior a la fecha de ejecución de la fusión. En el caso de personas jurídicas, las posiciones suscritas se han asignado a aquella clase de participaciones Base, Plus, Premier, Pyme o Empresa, más favorable al interés del partícipe, siempre en función del importe de inversión mínima inicial exigido en las distintas clases del Fondo absorbente y de la posición mantenida por el partícipe en el Fondo absorbido el día anterior a la fecha de ejecución de la fusión.</iic-com:ExplicacionHechosRelevantes>
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	<iic-com:AnexoOperacionesVinculadas contextRef="FIM_S12025_V-62272828_da">El Fondo ha realizado operaciones de adquisición de valores o instrumentos financieros emitidos o avalados por alguna entidad del grupo de Crédit Agricole, S.A., o en los que alguna entidad del grupo de Crédit Agricole, S.A. ha actuado como colocador, asegurador, director o asesor por importe de 134.476.523,00 euros, equivalentes a un 3,34% del patrimonio medio del Fondo.El Fondo ha realizado operaciones de adquisición de valores o instrumentos financieros emitidos o avalados por alguna entidad del grupo de BNP Paribas, S.A., o en los que alguna entidad del grupo de BNP Paribas, S.A., ha actuado como colocador, asegurador, director o asesor por importe de 123.577.407,99 euros, equivalentes a un 3,07% del patrimonio medio del Fondo.El volumen agregado de las operaciones en las que entidades del grupo de BNP Paribas, S.A. han actuado como intermediarios durante el período ha ascendido a 34.600.000,00 euros, habiendo percibido dichas entidades  121,30 euros durante el período, equivalentes a un 0,00% del patrimonio medio del Fondo, como contraprestación por los servicios de intermediación prestados.Las entidades del grupo de BNP Paribas S.A. han percibido comisiones satisfechas por el Fondo en concepto de liquidación de transacciones por importe de 192,58 euros, equivalentes a un 0,00% del patrimonio medio del Fondo.El Fondo ha realizado operaciones de adquisición de valores o instrumentos financieros emitidos o avalados por alguna entidad del grupo Banco de Sabadell, S.A. o en los que alguna entidad del grupo de Banco de Sabadell, S.A. ha actuado como colocador, asegurador, director o asesor por importe de 54.349.507,50 euros, equivalentes a un 1,35% del patrimonio medio del Fondo.El Fondo puede realizar operaciones de compraventa de activos o valores negociados en mercados secundarios oficiales, incluso aquéllos emitidos o avalados por entidades del grupo de Crédit Agricole, S.A. y/o del grupo BNP Paribas, S.A., operaciones de compraventa de divisa, así como operaciones de compraventa de títulos de deuda pública con pacto de recompra en las que actúen como intermediarios o liquidadores entidades del grupo de Crédit Agricole, S.A. y/o del grupo de BNP Paribas, S.A. Esta Sociedad Gestora verifica que dichas operaciones se realicen a precios y condiciones de mercado.La remuneración de las cuentas y depósitos del Fondo en la entidad depositaria se realiza a precios y condiciones de mercado.Puede consultar las últimas cuentas anuales auditadas de este Fondo por medios telemáticos en www.sabadellassetmanagement.com.  </iic-com:AnexoOperacionesVinculadas>
	<iic-com:ExplicacionInformePeriodico contextRef="FIM_S12025_V-62272828_da">1. SITUACION DE LOS MERCADOS Y EVOLUCIÓN DEL FONDO. a) Visión de la gestora/sociedad sobre la situación de los mercados.El inicio del primer semestre de 2025 fue positivo para la mayoria de las clases de activos, con la excepción de la bolsa de los Estados Unidos, que registró su peor trimestre desde el año 2022, con unos mercados que se vieron impactados por el anuncio de aplicación de aranceles por parte de la administración Trump, la irrupción en el mercado de DeepSeek y los paquetes de estímulo fiscal anunciados por Alemania y por el conjunto de la Unión Europea. Ya en el segundo trimestre, los resultados empresariales fueron mejores de lo esperado por el consenso, la fortaleza de los datos económicos publicados en Estados Unidos y una inflación más persistente, provocó que las principales bolsas en general corrigieran durante el pasado mes de abril. Desde entonces, las principales bolsas han recuperado con fuerza, principalmente la estadounidense, apoyada también por la debilidad del dólar respecto al resto de divisas de referencia. En cuanto a los tipos de interés, mientras que en la euro zona el Banco Central Europeo realizó cuatro bajadas de un 0,25% cada una, la Reserva Federal se mantuvo sin cambios por las preocupaciones acerca del crecimiento económico en los Estados Unidos y el posible impacto que las políticas arancelarias puedan tener en términos de inflación. En cuanto políticas monetarias, el Banco Central Europeo bajó los tipos de interés en cuatro ocasiones para dejarlos en el 2% desde el 3%. En los Estados Unidos, la Reserva Federal mantuvo los tipos de interés sin cambios en el 4,5% durante el primer semestre del año. En este sentido, en su reunión de junio indicó que que se encuentran en una posición de espera para evaluar el impacto de los aranceles en los precios. En el lado europeo, el banco central reconoció que su política monetaria se está volviendo menos restrictiva, reduciendo los costes financieros para las empresas y los particulares, aunque se mantienen vigilantes respecto a las tensiones comerciales, mencionando que los aranceles impuestos a las importaciones europeas por parte de los Estados Unidos pueden penalizar el crecimiento económico. En el lado estadounidense, los tipos de interés en los plazos medios cayeron, mientras que en la euro zona tuvimos un movimiento de empinamiento de la curva: los tipos de los plazos cortos cayeron y en los plazos intermedios y largos subieron. En el mercado de bonos corporativos, los diferenciales de crédito han estrechado durante el periodo. En los mercados de divisas, el dólar estadounidense registró un primer semestre del año negativo, cotizando la incertidumbre de las políticas comerciales y el impacto que puedan tener en el crecimiento económico, así como la preocupación por los posibles incrementos del déficit fiscal y el posterior incremento de deuda como consecuancia de las políticas económicas de la administración Trump. Tras el movimiento de salida de los inversores de los activos denominados en dólares, el Dollar Index cayó un 10,7% en el primer semestre del año, concentrando su mayor caída en el mes de abril (-4,5%). Respecto al movimiento del euro durante el semestre respecto a las principales divisas, se ha apreciado contra el dólar estadounidense (+13,7%), la libra británica (+3,8%) y el yen japonés (+4,2%). En los mercados emergentes, la renta variable ha regitrado rentabilidades positivas durante el semestre. Durante el semestre y tras un mes de abril con gran volatilidad tras el &quot;Día de la liberación&quot; en el que  Donald Trump anunció una serie de políticas arancelarias a nivel global, los activos de los mercados emergentes subieron en medio de mejores datos económicos, una mejora de las esperanzas de acuerdos comerciales y una extensión temporal de los aranceles por parte de la administración estadounidense. En cuanto a la evolución del mercado, los mercados emergentes experimentaron un semestre positivo, con el índice MSCI EM subiendo un +13,70% en términos de rentabilidad total en dólares estadounidenses, impulsado tanto por la región latinoamericana como la asiática. Los fundamentos económicos siguen siendo favorables para los países emergentes en términos generales, ya que creemos que muchos países mantienen la flexibilidad necesaria para compensar cualquier posible impactoarancelario mediante estímulos monetarios y/o fiscales. En términos generales, las bolsas han tenido un comportamiento positivo durante el primer semestre del año, con las bolsas europeas registrando rentabilidades superiores a la bolsa estadounidense. En este sentido, en el lado europeo, las valoraciones relativamente reducidas, los anuncios de medidas de estímulo fiscal tanto por parte de Alemania como por el conjunto de Europa y un entorno de tipos de interés a la baja, ha provocado subidas por parte de los principales índices: el índice MSCI Europe terminó el semestre con una subida del +6,45%. Por países, destacan el Ibex 35 con un +21,28%, el Dax alemán con un +20,09% o el FTSE italiano con un +16,40%. Al otro lado del Atlátinco, los mercados de renta variable de los Estados Unidos tuvieron un semestre positivo, con el S&amp;P500 subiendo un +5,50%, impulsado una vez más por las grandes compañías tecnológicas, así como por aquellos sectores que puedan resultar beneficiados por la depreciación del dólar. A pesar de estás importantes subidas, esta tendencia podría continuar dependiendo de las guías que puedan dar las compañías en sus presentaciones de resultados, la evolución de los datos económicos y el flujo de noticias relacionado con las políticas arancelarias por pate de la administración Trump. Pensamos que las condiciones macroeconómicas de las principales economías del mundo, la liquidez de los mercados y los crecimientos económicos esperados son razonablemente favorables para los activos de riesgo. Las perspectivas de beneficios empresariales también son relativamente buenas, aunque el segundo semestre del año podría poner a prueba si las empresas son capaces de trasladar los costes cada vez más elevados a los consumidores. En renta fija, pensamos que el empinamiento de la curva sigue ofreciendo oportunidades. Por regiones, en los Estados Unidos mantenemos la neutralidad, y bajamos a neutral la posición de duración en Europa. En el lado del crédito, pensamos que los rendimientos siguen siendo atractivos. En bolsas, las valoraciones de la bolsa estadounidense han alcanzado de nuevo niveles elevados, hecho que nos hace tener una posición de cierta cautela en la región. Pensamos que existen oportunidades en compañías de pequeña y mediana capitalización en Europa y Japón, segmentos que se encuentran relativamente aislados de las tensiones comerciales globales. b) Decisiones generales de inversión adoptadas.Durante el semestre el Fondo ha gestionado activamente y de forma dinámica su exposición, tanto sectorialmente como a nivel de títulos individuales. Se han realizado mayoritariamente compras, incluido bonos en primario y en menor medida ventas de bonos corporativos y financieros de cupón fijo y variable. Se han realizado ventas de futuros del dos años alemán así como swaps de tipos de interés como cobertura de tipos de interés, reduciendo la duración de la cartera. c) Índice de referencia.No aplica d) Evolución del Patrimonio, participes, rentabilidad y gastos de la IIC.El patrimonio sube desde 3.447.914.133,68 euros hasta 4.348.747.233,01 euros, es decir un 26,13%. El número de partícipes sube desde 40.261 unidades hasta 52.505 unidades. La rentabilidad en el semestre ha sido de un 1,19% para la clase base, un 1,34% para la clase plus, un 1,48% para la clase premier, un 1,50% para la clase cartera, un 1,26% para la clase pyme, un 1,34% para la clase empresa, un 1,50% para la clase canalizador, un 1,49% para la clase superior y un 1,58% para la clase z. La referida rentabilidad obtenida es neta de unos gastos que han supuesto una carga del 0,45% para la clase  base, un 0,30% para la clase  plus, un 0,16% para la clase  premier, un 0,13% para la clase  cartera, un 0,37% para la clase  pyme, un 0,30% para la clase  empresa, un 0,13% para la clase  canalizador, un 0,14% para la clase  superior y un 0,06% para la clase  z sobre el patrimonio medio. e) Rendimiento del fondo en comparación con el resto de fondos de la gestora.Durante este periodo la rentabilidad del Fondo ha sido de un 1,19%, inferior a la rentabilidad media ponderada del total de Fondos gestionados por Sabadell Asset Management y ha sido inferior al 1,39% que se hubiera obtenido al invertir en Letras del Tesoro a 1 año. La rentabilidad del Fondo ha sido superior a la de los mercados hacia los que orienta sus inversiones.2. INFORMACION SOBRE LAS INVERSIONES. a) Inversiones concretas realizadas durante el periodo.Durante el semestre se han realizado mayoritariamente compras de bonos financieros y corporativos de cupón fijo y variable. Destacamos la participación en el mercado primario, especialmente en bonos de cupón variable a corto plazo en el primer trimestre. A pesar de haber aumentado las coberturas de tipos de interés durante el periodo, el Fondo ha incrementado sensiblemente su duración para situarla cerca de medio año. Del mismo modo, se ha aumentado también la vida media de la cartera para situarla alrededor del año. Durante el semestre se incrementó también de manera sustancial el nivel de riesgo de la Renta Fija Privada en cartera. El fondo está sobreponderado en Renta Fija Privada, en especial en el sector financiero, cuya sobreponderación ha reducido durante el semestre y en menor medida en el de autos y utilities. A nivel geográfico, las principales exposiciones son Francia, Estados Unidos e Italia, habiéndose reducido algo la primera y aumentado las siguientes. El buen comportamiento de los diferenciales de crédito junto con las coberturas de tipos de interés, han hecho que la rentabilidad del Fondo haya sido superior a la de los mercados hacia los que orienta sus inversiones durante el semestre. Los activos que más han contribuido a la rentabilidad del Fondo en el periodo han sido: BO.BBVA FTF %VAR 10/5/26(C5/25) (0.017%); BO.MORGAN ST FTF %VAR VT.08/05/26(C5/25) (0.016%); OB.BANK OF AMERIC FTF %VAR VT.09/05/2026 (0.016%); OB.CRED AGR FTF %VAR VT.22/4/26(C4/26) (0.016%); BO.UNICREDIT SPA 0,5% VT.09/04/25 (0.016%). Los activos que menos han contribuido a la rentabilidad del Fondo en el periodo han sido: FUTURO EURO-SCHATZ 2YR 6% VT.06/09/24 (-0.018%); FUTURO EURO-SCHATZ 2YR 6% VT.06/12/24 (-0.008%); IRS EURIBOR 6M VT.06/08/2025(PAGO) (-0.001%); OB.BMW FINANCE NV 0,75% VT.12/07/2024 (0.000%); BO.BCPE SA 1% VT.15/07/2024 (0.000%). b) Operativa de préstamo de valores.No aplica c) Operativa en derivados y adquisición temporal de activos.A lo largo del semestre, el Fondo ha operado en los siguientes instrumentos derivados: futuros sobre el bono alemán a dos años (Euro-Schatz Future) y swaps de tipos de interés (IRS EURIBOR 6M). El objetivo de todas las posiciones en derivados es, por un lado, la inversión complementaria a las posiciones de contado permitiendo una mayor flexibilidad en la gestión de la cartera, y por otro, la gestión activa, tanto al alza como a la baja, de las expectativas sobre los mercados. El nivel de exposición en derivados se ha movido entre el 00,34% y el 23,15%. d) Otra información sobre inversiones.A la fecha de referencia 30/06/2025, el Fondo mantiene una cartera de activos de renta fija con una vida media de 0,846 años y con una TIR media bruta (esto es sin descontar los gastos y comisiones imputables al FI) a precios de mercado de 2,29%. No existirá predeterminación en cuanto a la calificación crediticia por las distintas agencias especializadas en la selección de inversiones de renta fija. El Fondo podría invertir hasta el 100% en emisiones de renta fija con una calificación crediticia inferior a investment grade. El nivel de inversión en este tipo de activos es de un 0% a cierre del período.3. EVOLUCION DEL OBJETIVO CONCRETO DE RENTABILIDAD.No aplica4. RIESGO ASUMIDO POR EL FONDO.El Fondo ha aumentado ligeramente los niveles de riesgo acumulados respecto al semestre anterior, tal y como reflejan los datos de volatilidad detallados en el informe, debido principalmente al incremento de los niveles de riesgo de los mercados hacia los que orienta sus inversiones. En este sentido, el Fondo ha experimentado durante el semestre una volatilidad del 0,24% frente a la volatilidad del 0,42% de la Letra del Tesoro a 1 año.5. EJERCICIO DERECHOS POLITICOS.No aplica6. INFORMACION Y ADVERTENCIAS CNMV.A cierre del período, un 7,92% del patrimonio del Fondo está invertido en activos que presentan menores niveles de liquidez.7. ENTIDADES BENEFICIARIAS DEL FONDO SOLIDARIO E IMPORTE CEDIDO A LAS MISMAS.No aplica8. COSTES DERIVADOS DEL SERVICIO DE ANALISIS.No aplica9. COMPARTIMENTOS DE PROPOSITO ESPECIAL (SIDE POCKETS).No aplica10. PERSPECTIVAS DE MERCADO Y ACTUACION PREVISIBLE DEL FONDO.El Fondo se gestionará de forma dinámica y proactiva para aprovechar los movimientos de mercado, con la finalidad de alcanzar una revalorización a largo plazo representativa de la alcanzada por los fondos adscritos a la categoría &quot;EAA Fund EUR Ultra Short-Term Bond&quot; según establezca, en cada momento, MorningStar.</iic-com:ExplicacionInformePeriodico>
	<iic-com:AdvertenciasCNMV contextRef="FIM_S12025_V-62272828_da">No aplicable</iic-com:AdvertenciasCNMV>
	<iic-com:InformacionPoliticaRemuneracion contextRef="FIM_S12025_V-62272828_da">Esta información aparecerá cumplimentada en el informe anual.</iic-com:InformacionPoliticaRemuneracion>
	<iic-com:InformacionReglamentoUE_2015_2365 contextRef="FIM_S12025_V-62272828_da">El fondo no ha realizado durante el período operaciones de financiación de valores, reutilización de garantías o swaps de rendimiento total.</iic-com:InformacionReglamentoUE_2015_2365>

	</iic-fim:DatosFondoCompartimentoFIM>

	</iic-fim:InformeFIM>

	
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