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No existe objetivo predeterminado ni límites máximos en lo que se refiere a la distribución de activos por tipo de emisor (publico o privado), ni por rating de emisión/emisor, ni duración, ni por capitalización bursátil, ni por divisa, ni por sector económico, ni por países. Se podrá invertir en países emergentes. La exposición al riesgo de divisa puede alcanzar el 100% del patrimonio. La Sociedad no tiene ningún índice de referencia en su gestión.</iic-com:PoliticaInversion>
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                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="SIC_S12025_A82589573_ipy" unitRef="pure">0.94</iic-com:InversionesFinancierasPorcentaje>
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                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="SIC_S12025_A82589573_ipy" unitRef="pure">0.71</iic-com:InversionesFinancierasPorcentaje>
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                <iic-com:InversionesFinancierasValor decimals="0" contextRef="SIC_S12025_A82589573_ipy" unitRef="euro">111510</iic-com:InversionesFinancierasValor>
                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="SIC_S12025_A82589573_ipy" unitRef="pure">0.57</iic-com:InversionesFinancierasPorcentaje>
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                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="SIC_S12025_A82589573_ia" unitRef="pure">0.57</iic-com:InversionesFinancierasPorcentaje>
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                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="SIC_S12025_A82589573_ipy" unitRef="pure">0.38</iic-com:InversionesFinancierasPorcentaje>
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                <iic-com:InversionesFinancierasValor decimals="0" contextRef="SIC_S12025_A82589573_ipy" unitRef="euro">961569</iic-com:InversionesFinancierasValor>
                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="SIC_S12025_A82589573_ipy" unitRef="pure">4.94</iic-com:InversionesFinancierasPorcentaje>
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                <iic-com:InversionesFinancierasValor decimals="0" contextRef="SIC_S12025_A82589573_ipy" unitRef="euro">961569</iic-com:InversionesFinancierasValor>
                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="SIC_S12025_A82589573_ipy" unitRef="pure">4.94</iic-com:InversionesFinancierasPorcentaje>
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                <iic-com:InversionesFinancierasValor decimals="0" contextRef="SIC_S12025_A82589573_ipy" unitRef="euro">504063</iic-com:InversionesFinancierasValor>
                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="SIC_S12025_A82589573_ipy" unitRef="pure">2.60</iic-com:InversionesFinancierasPorcentaje>
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                <iic-com:InversionesFinancierasValor decimals="0" contextRef="SIC_S12025_A82589573_ipy" unitRef="euro">504063</iic-com:InversionesFinancierasValor>
                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="SIC_S12025_A82589573_ipy" unitRef="pure">2.60</iic-com:InversionesFinancierasPorcentaje>
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      <iic-com:ExplicacionHechosRelevantes contextRef="SIC_S12025_A82589573_da">La CNMV ha resuelto: Inscribir en el Registro Administrativo de RENTAPLUS 46, SICAV S.A. (inscrita en el correspondiente registro de la CNMV con el número 1360), la revocación del acuerdo de gestión con ABANTE ASESORES GESTION, SGIIC, S.A. y el otorgamiento a OLEA GESTION DE ACTIVOS, SGIIC, S.A. Asimismo recoger la sustitución de ABANTE ASESORES GESTION, SGIIC, S.A. por OLEA GESTION DE ACTIVOS, SGIIC, S.A. como entidad encargada de la representación y administración de RENTAPLUS 46, SICAV S.A..
Número de registro: 312022

La CNMV ha resuelto: Inscribir la sustitución de BANCO INVERSIS, S.A. por UBS AG, SUCURSAL EN ESPAÑA, como depositario, así como el traslado del domicilio social de la sociedad que pasa a ser: C/Velázquez, N 76 - 1º Derecha, 28001, MADRID.
Número de registro: 312021</iic-com:ExplicacionHechosRelevantes>
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      </iic-sic:OperacionesVinculadasSICAV>
      <iic-com:AnexoOperacionesVinculadas contextRef="SIC_S12025_A82589573_da">Los Repos del periodo han sido contratados con el depositario. El importe del total compras y ventas del periodo del informe, así como su porcentaje sobre el patrimonio medio del fondo es el siguiente:
Total Compras: 251639000 euros (7,78%)
Total Venta: 251662852,90 euros (7,79%)

El fondo ha realizado en el periodo operaciones de divisa con el depositario con el fin de convertir a euro los importes resultantes de la liquidación de las operaciones de cartera en divisa distinta de euro.</iic-com:AnexoOperacionesVinculadas>
      <iic-com:ExplicacionInformePeriodico contextRef="SIC_S12025_A82589573_da">1. SITUACION DE LOS MERCADOS Y EVOLUCIÓN DEL FONDO.

a) Visión de la gestora/sociedad sobre la situación de los mercados.

El primer semestre de 2025 nos ha dejado profundos cambios geopolíticos, una crisis comercial, una guerra en Oriente Medio, una rebaja importante de calificación crediticia y un repunte de volatilidad no visto desde el Covid-19 y, sin embargo, cuando hacemos resumen de rentabilidad de los activos, es como si no hubiese pasado (casi) nada. 

Evidentemente no se puede explicar lo sucedido en este semestre sin hablar de la irrupción de Donald Trump que tras su toma de posesión causó un shock mundial con su "día de la liberación" en el que se imponían tarifas desorbitadas, aleatorias e injustificadas, que produjo un seismo en los cimientos del comercio mundial. Desde máximos el S&amp;P 500 llegó a caer un -21%, la volatilidad medida por el VIX llegó a niveles de 60 y vimos algunos de los días más "locos" que se recuerden, con uno de los mayores rebotes diarios de las bolsas a golpe de Tweet de Trump. No se habían roto todos los puentes… había margen para negociar. El S&amp;P 500 llegó a subir un 9,50% el día 9 de abril y provocó un rally que lo aupaba de nuevo a máximos históricos a finales de junio.  

Tras estos días de locura de abril, el mercado ha digerido también la guerra entre Israel e Irán, con participación de los EE.UU. y también la pérdida de la calificación crediticia de AAA para el tesoro norteamericano (Faltaba Moody's por rebajarle y lo hizo a mediados del mes de mayo). También ha digerido el nuevo marco presupuestario de Trump, llamado "One Big Beautifull Bill" que perpetúa las bajadas impositivas. 

No solo es TRUMP el que realiza políticas expansivas. En Europa el nuevo canciller alemán anuncia un ambicioso plan de infraestructuras y de gasto en defensa (al hilo de las necesidades de la OTAN) que regará de dinero público al continente europeo.

En renta variable, el índice mundial se anota una subida en el primer semestre de año del 5,73% en moneda local, sin embargo, cuando medimos la rentabilidad en euros, desciende un 4,21% debido al debilitamiento del dólar. Los índices americanos cierran en negativo también con el S&amp;P 500 cayendo un 7,18% y el Dow Jones un 8,81%, ambos medidos en euros. El Nasdaq cierra el semestre con una rentabilidad negativa de 7,02% en euros.

Europa se pone al frente en el semestre en términos de rentabilidad, con el MSCI Europe cerrando el semestre con una subida del 6,45% y el Euro Stoxx 50 también cierra con una rentabilidad positiva del 8,32%, ambas medidas en euros. Destacamos el comportamiento del índice de referencia español, con el IBEX 35 anotándose una subida del 20,67% a cierre de junio. 

Japón continúa con la tendencia alcista en el primer semestre de año, cerrando con una rentabilidad positiva del 1,58%, aunque medido en euros se queda una rentabilidad negativa del del 2,50%, debido al fortalecimiento del euro. Los países emergentes cierran con subidas en el semestre del 9,28%, aunque, si tenemos en cuenta el efecto divisa, se queda con una rentabilidad en el semestre del 0,30% medida en euros. 

En cuanto a los estilos, el value registró una caída del 4,05%, superando ligeramente al growth, que cierra el semestre con una rentabilidad negativa del 4,85%, ambos medidos en euros. 

A nivel sectorial, el semestre ha tenido un desempeño positivo en la gran mayoría de los segmentos, sin embargo, cuando medimos las rentabilidades en euros, como hemos podido ver en el comportamiento por geografías, la foto es completamente distinta ya que se ve distorsionada por el fortalecimiento del euro respecto al dólar. Destacan el sector industrial, financiero y el sector de las utilities que, a pesar del efecto de la divisa, logran anotarse rentabilidades positivas en el semestre, con subidas del 2,59%, 1,24% y 0,52% respectivamente. Sin embargo, el resultado es negativo para el resto de sectores. Los sectores de telecomunicaciones, materiales, consumo básico y energía se anotan rentabilidades negativas del 0,38%, 4,23%, 4,79% y 4,86%, respectivamente, todas medidas en euros. Por otro lado, los sectores energía, salud y consumo discrecional, presentan rentabilidades negativas del 9,48%, 12,07% y 13,16%, también medidas en euros.

La renta fija ha tenido una primera mitad de año positiva en la mayoría de sus segmentos, siendo la única excepción los bonos de gobierno alemán en los tramos más largos de la curva. La subida de estas referencias se debe a la aprobación del Parlamento alemán de un plan de gasto, permitiendo al país invertir más de un billón de euros en defensa e infraestructuras en los próximos años. Sin embargo, el BCE ha seguido la senda de bajadas, situando la tasa de depósito en el 2%. Mientras tanto, la FED ha sido incapaz de bajar los tipos debido a la incertidumbre causada por Trump y sus políticas arancelarias. Sin embargo, los bonos del tesoro sí que han tenido un buen comportamiento con los tipos descontando una previsible desaceleración de la economía. El crédito ha continuado con la tendencia positiva del año anterior, lo que ha provocado que los diferenciales se encuentren ya en niveles muy ajustados.

En los bonos de gobierno, hemos visto un comportamiento mixto. La TIR del bono americano a 10 años cae en el año del 4,57% al 4,23%, cerrando el semestre con una rentabilidad positiva en términos de precio del 5,35% en moneda local. Sin embargo, La TIR del bund alemán a 10 años sube del 2,37% al 2,61%, cerrando el primer semestre con una rentabilidad negativa en precio del -0,27%.

En deuda corporativa, después de la ampliación de diferenciales que tuvimos tras el Liberation Day, la mayoría de las regiones han vuelto a los valores con los que empezamos el año consiguiendo que todos los activos de crédito cierren el primer semestre del año con rentabilidades positivas. La deuda corporativa de baja calidad avanza en Estados Unidos un 4,57%, en moneda local y en Europa sube un 2,30%.

Los índices de crédito de alta calidad, que tienen un componente mayor de duración cierran el semestre con Estados Unidos subiendo un 4,17% y Europa un 1,80%, en moneda local, respectivamente.

En cuanto a los datos macro, este primer semestre se ha podido apreciar como la inflación general de las regiones se ha ido acercando al objetivo de los bancos centrales. En la zona euro la inflación general ha caído hasta el 2,0%, y la subyacente hasta el 2,3%. En España, el dato general cae hasta el 2,2%. En Estados Unidos, el último dato de mayo alcanza el 2,4%, la subyacente llega al 2,9%.

En cuanto a las materias primas, el oro continúa la tendencia del año pasado superando nuevos máximos históricos y cierra junio en 3.307,70 dólares por onza, apreciándose un 25,24% el primer semestre. Por otro lado, el petróleo (Brent), cae un -9,42%, cerrando el semestre en 67,61 dólares por barril.

Respecto a las divisas, el dólar es el principal protagonista del año al depreciarse contra la mayoría de las divisas, contra el euro se deprecia un -12,16% a cierre de junio con el cambio en 1,1787. El buen comportamiento del euro hace que se fortalezca en el periodo contra la mayoría de divisas: el yen se deprecia un -3,98% y la libra un -3,62%.

b) Decisiones generales de inversión adoptadas.

A cierre de diciembre de 2024, la exposición a renta variable se situaba en torno al 40%, con especial peso en bolsas europeas a través de derivados sobre Eurostoxx 50. Tras una primera parte del año con salidas parciales en valores españoles y reducción de liquidez, la cartera ajustó posiciones tras la salida de algunos accionistas y el reembolso parcial de varios fondos. El aumento de la volatilidad en abril llevó a elevar temporalmente la exposición a renta variable al 50% mediante compras de ETFs y opciones call sobre los principales índices, aunque esta posición se fue reduciendo conforme avanzó el semestre, finalizando en torno al 40%. En renta fija, la cartera ha dado preferencia a emisiones Investment Grade y ha incrementado ligeramente la duración media, mientras que la exposición a USD ha oscilado entre el 8,5% y el 12,5%, situándose en el rango alto al cierre de junio.

c) Índice de referencia.

La rentabilidad de la Sociedad en el periodo ha sido un 3,49% y se ha situado por encima de la rentabilidad del 1,39 % del índice de Letras del Tesoro a 1 año.

d) Evolución del Patrimonio, participes, rentabilidad y gastos de la IIC.

Durante el primer semestre de 2025, el patrimonio del fondo ha experimentado una reducción, pasando de 19.409 miles de euros a 15.932 miles de euros al cierre del periodo. El número de accionistas se ha incrementado ligeramente, situándose en 114 frente a los 112 registrados en el semestre anterior. En cuanto a la rentabilidad, el fondo ha obtenido un resultado positivo del 3,49% en el periodo. El ratio de gastos soportado sobre el patrimonio medio del semestre se ha situado en el 0,54%. Estos datos reflejan una evolución favorable en términos de rentabilidad, a pesar de la disminución del patrimonio, manteniéndose los gastos en niveles contenidos y el número de partícipes con una ligera tendencia al alza.
Los gastos devengados en concepto de comisión de resultado han sido de 58.848,19 euros.

e) Rendimiento del fondo en comparación con el resto de fondos de la gestora.

El comportamiento de la Sociedad ha sido razonable, parecido en términos de rentabilidad al de productos similares dentro de la gestora.
La rentabilidad del período de las IIC gestionadas ha sido: Olea Neutral FI: 3,60% Crevafam Sicav: 4,67%

2. INFORMACION SOBRE LAS INVERSIONES.

a) Inversiones concretas realizadas durante el periodo.

El punto de partida de cierre de diciembre 2024 es un nivel de exposición a renta variable del 40% con sobreponderación en bolsas europea vía derivados sobre Eurostoxx 50.
Tras un inicio positivo de los índices europeos se ha ido reduciendo progresivamente la exposición a bolsa española con ventas parciales en Acciona Energía, Cellnex, Santander, Acerinox hasta situar el nivel total de exposición en el 35% con un nivel de liquidez en cuenta del 20%.
A lo largo del mes de marzo se produce una significativa reducción del patrimonio de la sicav con la salida de algunos accionistas, lo que supone una reducción de la liquidez hasta el 8%y volver a un nivel de renta variable del 40%, que ajustamos con el reembolso parcial de 3 fondos (Muzinich Enhanced Yield, MS Global Brands y Seilern World Growth)
A principios de abril, vuelve la volatilidad a los mercados por las fuertes tensiones arancelarias y las caídas en las bolsas son notables. En esos primeros 10 días de abril se eleva el nivel de exposición a renta variable al 50%, principalmente con la compra de ETFs del índice MSCI World EurHdg y con compra de opciones call sobre los índices S&amp;P500 y Eurostoxx50. Con el rebote generalizados de los mercados de finales de abril, se fueron reduciendo las posiciones compradas hasta cerrar el mes con una exposición del 45%.
Con la buena evolución de los índices en los meses de mayo y junio, se ha continuado el proceso de reducción del riesgo con la venta parcial de acciones de Gestamp, Microsoft, ETFs MSCI World y un último tramo del fondo MS Global Brands, cerrando el semestre en un nivel de renta variable cercano al 40%, nivel similar al inicio del año 2025.
En renta fija, se ha priorizado la compra de emisiones Investment Grade sobre High Yield. La política de inversión se ha centrado en invertir la liquidez, que cada vez es menos rentable por las bajadas de tipos por parte del BCE, y aumentar ligeramente la duración de la cartera, especialmente en bonos americanos.
En cuanto a divisas, el nivel de exposición a USD en cartera ha oscilado entre el 8.5% y 12.5% en estos 6 meses. A cierre de junio se sitúa en el máximo del semestre en el 12,5%.

b) Operativa de préstamo de valores.

N/A

c) Operativa en derivados y adquisición temporal de activos.

Durante el primer semestre de 2025, el fondo ha realizado operativa en derivados con el objetivo de gestionar de manera eficiente la exposición a los mercados de renta variable. Se han utilizado fundamentalmente opciones y futuros sobre índices (Eurostoxx 50 y S&amp;P 500), tanto en estrategias de compra como de venta, así como emisiones de opciones call y put para cubrir o incrementar la exposición a determinados subyacentes. El importe nominal comprometido al cierre del periodo asciende a 3.096 miles de euros. El apalancamiento medio del semestre para el fondo ha sido del 24,46%. Se han realizado operaciones en derivados con finalidad de inversión para gestionar de un modo más eficaz la cartera. Los instrumentos financieros derivados han sido negociados todos en mercados organizados, sin riesgo de contrapartida.

d) Otra información sobre inversiones.

La inversión total de la Sociedad en otras IICs a 30 de junio de 2025 suponía un 13,81%

3. EVOLUCION DEL OBJETIVO CONCRETO DE RENTABILIDAD.

N/A

4. RIESGO ASUMIDO POR EL FONDO.

En referencia al riesgo asumido, la volatilidad del año de la sociedad, a 30 de junio de 2025, ha sido 5,84%, siendo la volatilidad del índice de Letra Tesoro 1 año representativo de la renta fija de un 0,45 %

5. EJERCICIO DERECHOS POLITICOS.

N/A

6. INFORMACION Y ADVERTENCIAS CNMV.

N/A

7. ENTIDADES BENEFICIARIAS DEL FONDO SOLIDARIO E IMPORTE CEDIDO A LAS MISMAS.

N/A

8. COSTES DERIVADOS DEL SERVICIO DE ANALISIS.

N/A

9. COMPARTIMENTOS DE PROPOSITO ESPECIAL (SIDE POCKETS).

N/A

10. PERSPECTIVAS DE MERCADO Y ACTUACION PREVISIBLE DEL FONDO.

En renta fija, la estrategia se mantendrá enfocada en una gestión activa de la duración, ajustando las posiciones en función de la evolución de las tires y priorizando la inversión en emisores de elevada calidad crediticia. En cuanto a la renta variable, la cartera permanece en una posición neutral y diversificada, con un sesgo hacia compañías de calidad, evitando concentraciones excesivas y preservando la flexibilidad para actuar ante eventuales movimientos significativos en los mercados. Esta orientación refleja una gestión prudente, centrada en la preservación del capital y en el control del riesgo asumido.

Los costes de transacción del año 2025 ascendieron a un 0,09% del patrimonio medio de la IIC.</iic-com:ExplicacionInformePeriodico>
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