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        <iic-com:PoliticaInversion contextRef="FIM_S22025_V87811030_ia">El Fondo se gestionar� con el objetivo de que la volatilidad sea inferior al 10% anual.
Se podr� invertir entre 0%-100% del patrimonio en IIC financieras que sean activo apto, armonizadas o no, pertenecientes o no al grupo de la gestora, con un m�ximo del 30% en IIC no armonizadas.
El Fondo invertir� directa o indirectamente (a trav�s de IIC), m�s del 70% de su exposici�n total en renta fija p�blica y/o privada (incluyendo dep�sitos e instrumentos del mercado monetario, cotizados o no, l�quidos), sin predeterminaci�n en cuanto al tipo de emisor,
porcentajes, duraci�n, o rating m�nimo de las emisiones/emisores. 
El resto de la exposici�n total se invertir� en renta variable nacional e internacional, sin predeterminaci�n de sectores o capitalizaci�n burs�til.
Tanto para la renta fija como para la renta variable, los emisores y mercados ser�n principalmente europeos y en menor medida de la OCDE (especialmente EEUU), pudiendo invertir hasta un 20% de la exposici�n total en emisores/mercados de pa�ses emergentes.
Podr� existir concentraci�n geogr�fica o sectorial.
La suma de las inversiones en valores de renta variable emitidos por entidades radicadas fuera del �rea euro, m�s el riesgo divisa no superar� el 30% de la exposici�n total.
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            <iic-com-fon:ComisionesAplicadas>
              <iic-com-fon:ComisionGestion>
                <iic-com:ComisionGestionCobradaPatrimonio decimals="2" contextRef="FIM_S22025_V87811030_da" unitRef="pure">0.40</iic-com:ComisionGestionCobradaPatrimonio>
                <iic-com:ComisionGestionCobradaPatrimonio decimals="2" contextRef="FIM_S22025_V87811030_daa" unitRef="pure">0.80</iic-com:ComisionGestionCobradaPatrimonio>
                <iic-com:ComisionGestionCobradaResultados decimals="2" contextRef="FIM_S22025_V87811030_da" unitRef="pure">0.00</iic-com:ComisionGestionCobradaResultados>
                <iic-com:ComisionGestionCobradaResultados decimals="2" contextRef="FIM_S22025_V87811030_daa" unitRef="pure">0.00</iic-com:ComisionGestionCobradaResultados>
                <iic-com-fon:ComisionGestionCobrada decimals="2" contextRef="FIM_S22025_V87811030_da" unitRef="pure">0.40</iic-com-fon:ComisionGestionCobrada>
                <iic-com-fon:ComisionGestionCobrada decimals="2" contextRef="FIM_S22025_V87811030_daa" unitRef="pure">0.80</iic-com-fon:ComisionGestionCobrada>
                <iic-com-fon:XCode_BaseCalculoComisionGestion_01 contextRef="FIM_S22025_V87811030_daa">01</iic-com-fon:XCode_BaseCalculoComisionGestion_01>
              </iic-com-fon:ComisionGestion>
              <iic-com-fon:ComisionDepositario>
                <iic-com-fon:ComisionDepositarioCobrada decimals="2" contextRef="FIM_S22025_V87811030_da" unitRef="pure">0.05</iic-com-fon:ComisionDepositarioCobrada>
                <iic-com-fon:ComisionDepositarioCobrada decimals="2" contextRef="FIM_S22025_V87811030_daa" unitRef="pure">0.10</iic-com-fon:ComisionDepositarioCobrada>
              </iic-com-fon:ComisionDepositario>
            </iic-com-fon:ComisionesAplicadas>
          </iic-com-fon:DatosGeneralesClase>
          <iic-fim:RentabilidadClaseFIM>
            <iic-com:RentabilidadIIC decimals="2" contextRef="FIM_S22025_V87811030_daa" unitRef="pure">6.20</iic-com:RentabilidadIIC>
            <iic-com:RentabilidadIIC decimals="2" contextRef="FIM_S22025_V87811030_daq" unitRef="pure">1.41</iic-com:RentabilidadIIC>
            <iic-com:RentabilidadIIC decimals="2" contextRef="FIM_S22025_V87811030_dpq" unitRef="pure">2.27</iic-com:RentabilidadIIC>
            <iic-com:RentabilidadIIC decimals="2" contextRef="FIM_S22025_V87811030_dpq2" unitRef="pure">1.71</iic-com:RentabilidadIIC>
            <iic-com:RentabilidadIIC decimals="2" contextRef="FIM_S22025_V87811030_dpq3" unitRef="pure">0.68</iic-com:RentabilidadIIC>
            <iic-com:RentabilidadIIC decimals="2" contextRef="FIM_S22025_V87811030_dpy" unitRef="pure">5.77</iic-com:RentabilidadIIC>
            <iic-com:RentabilidadIIC decimals="2" contextRef="FIM_S22025_V87811030_dpy2" unitRef="pure">6.78</iic-com:RentabilidadIIC>
            <iic-com:RentabilidadIIC decimals="2" contextRef="FIM_S22025_V87811030_dpy3" unitRef="pure">-2.83</iic-com:RentabilidadIIC>
            <iic-com:RentabilidadIIC decimals="2" contextRef="FIM_S22025_V87811030_dpy5" unitRef="pure">2.61</iic-com:RentabilidadIIC>
          </iic-fim:RentabilidadClaseFIM>
          <iic-com-fon:RentabilidadExtremaClase>
            <iic-com-fon:RentabilidadMinimaValor decimals="2" contextRef="FIM_S22025_V87811030_daq" unitRef="pure">-0.53</iic-com-fon:RentabilidadMinimaValor>
            <iic-com-fon:RentabilidadMinimaValor decimals="2" contextRef="FIM_S22025_V87811030_dpy" unitRef="pure">-1.35</iic-com-fon:RentabilidadMinimaValor>
            <iic-com-fon:RentabilidadMinimaValor decimals="2" contextRef="FIM_S22025_V87811030_dly3" unitRef="pure">-1.23</iic-com-fon:RentabilidadMinimaValor>
            <iic-com-fon:RentabilidadMinimaFecha contextRef="FIM_S22025_V87811030_daq">2025-10-10</iic-com-fon:RentabilidadMinimaFecha>
            <iic-com-fon:RentabilidadMinimaFecha contextRef="FIM_S22025_V87811030_dpy">2025-04-04</iic-com-fon:RentabilidadMinimaFecha>
            <iic-com-fon:RentabilidadMinimaFecha contextRef="FIM_S22025_V87811030_dly3">2022-05-09</iic-com-fon:RentabilidadMinimaFecha>
            <iic-com-fon:RentabilidadMaximaValor decimals="2" contextRef="FIM_S22025_V87811030_daq" unitRef="pure">0.36</iic-com-fon:RentabilidadMaximaValor>
            <iic-com-fon:RentabilidadMaximaValor decimals="2" contextRef="FIM_S22025_V87811030_dpy" unitRef="pure">0.82</iic-com-fon:RentabilidadMaximaValor>
            <iic-com-fon:RentabilidadMaximaValor decimals="2" contextRef="FIM_S22025_V87811030_dly3" unitRef="pure">0.95</iic-com-fon:RentabilidadMaximaValor>
            <iic-com-fon:RentabilidadMaximaFecha contextRef="FIM_S22025_V87811030_daq">2025-10-13</iic-com-fon:RentabilidadMaximaFecha>
            <iic-com-fon:RentabilidadMaximaFecha contextRef="FIM_S22025_V87811030_dpy">2025-05-12</iic-com-fon:RentabilidadMaximaFecha>
            <iic-com-fon:RentabilidadMaximaFecha contextRef="FIM_S22025_V87811030_dly3">2022-11-10</iic-com-fon:RentabilidadMaximaFecha>
          </iic-com-fon:RentabilidadExtremaClase>
          <iic-com:PeriodicidadCalculoVL>
            <iic-com:XCode_PeriodicidadCalculoVL_01 contextRef="FIM_S22025_V87811030_da">01</iic-com:XCode_PeriodicidadCalculoVL_01>
          </iic-com:PeriodicidadCalculoVL>
          <iic-fim:MedidasRiesgoFIM>
            <iic-com-fon:VolatilidadValorLiquidativo decimals="2" contextRef="FIM_S22025_V87811030_daa" unitRef="pure">3.65</iic-com-fon:VolatilidadValorLiquidativo>
            <iic-com-fon:VolatilidadValorLiquidativo decimals="2" contextRef="FIM_S22025_V87811030_daq" unitRef="pure">2.71</iic-com-fon:VolatilidadValorLiquidativo>
            <iic-com-fon:VolatilidadValorLiquidativo decimals="2" contextRef="FIM_S22025_V87811030_dpq" unitRef="pure">2.64</iic-com-fon:VolatilidadValorLiquidativo>
            <iic-com-fon:VolatilidadValorLiquidativo decimals="2" contextRef="FIM_S22025_V87811030_dpq2" unitRef="pure">5.31</iic-com-fon:VolatilidadValorLiquidativo>
            <iic-com-fon:VolatilidadValorLiquidativo decimals="2" contextRef="FIM_S22025_V87811030_dpq3" unitRef="pure">3.37</iic-com-fon:VolatilidadValorLiquidativo>
            <iic-com-fon:VolatilidadValorLiquidativo decimals="2" contextRef="FIM_S22025_V87811030_dpy" unitRef="pure">3.37</iic-com-fon:VolatilidadValorLiquidativo>
            <iic-com-fon:VolatilidadValorLiquidativo decimals="2" contextRef="FIM_S22025_V87811030_dpy2" unitRef="pure">4.02</iic-com-fon:VolatilidadValorLiquidativo>
            <iic-com-fon:VolatilidadValorLiquidativo decimals="2" contextRef="FIM_S22025_V87811030_dpy3" unitRef="pure">5.07</iic-com-fon:VolatilidadValorLiquidativo>
            <iic-com-fon:VolatilidadValorLiquidativo decimals="2" contextRef="FIM_S22025_V87811030_dpy5" unitRef="pure">11.85</iic-com-fon:VolatilidadValorLiquidativo>
            <iic-com-fon:VolatilidadIbex decimals="2" contextRef="FIM_S22025_V87811030_daa" unitRef="pure">16.02</iic-com-fon:VolatilidadIbex>
            <iic-com-fon:VolatilidadIbex decimals="2" contextRef="FIM_S22025_V87811030_daq" unitRef="pure">11.41</iic-com-fon:VolatilidadIbex>
            <iic-com-fon:VolatilidadIbex decimals="2" contextRef="FIM_S22025_V87811030_dpq" unitRef="pure">12.59</iic-com-fon:VolatilidadIbex>
            <iic-com-fon:VolatilidadIbex decimals="2" contextRef="FIM_S22025_V87811030_dpq2" unitRef="pure">23.33</iic-com-fon:VolatilidadIbex>
            <iic-com-fon:VolatilidadIbex decimals="2" contextRef="FIM_S22025_V87811030_dpq3" unitRef="pure">14.42</iic-com-fon:VolatilidadIbex>
            <iic-com-fon:VolatilidadIbex decimals="2" contextRef="FIM_S22025_V87811030_dpy" unitRef="pure">13.30</iic-com-fon:VolatilidadIbex>
            <iic-com-fon:VolatilidadIbex decimals="2" contextRef="FIM_S22025_V87811030_dpy2" unitRef="pure">14.12</iic-com-fon:VolatilidadIbex>
            <iic-com-fon:VolatilidadIbex decimals="2" contextRef="FIM_S22025_V87811030_dpy3" unitRef="pure">19.43</iic-com-fon:VolatilidadIbex>
            <iic-com-fon:VolatilidadIbex decimals="2" contextRef="FIM_S22025_V87811030_dpy5" unitRef="pure">33.84</iic-com-fon:VolatilidadIbex>
            <iic-com-fon:VolatilidadLetrasTesoro decimals="2" contextRef="FIM_S22025_V87811030_daa" unitRef="pure">0.33</iic-com-fon:VolatilidadLetrasTesoro>
            <iic-com-fon:VolatilidadLetrasTesoro decimals="2" contextRef="FIM_S22025_V87811030_daq" unitRef="pure">0.18</iic-com-fon:VolatilidadLetrasTesoro>
            <iic-com-fon:VolatilidadLetrasTesoro decimals="2" contextRef="FIM_S22025_V87811030_dpq" unitRef="pure">0.22</iic-com-fon:VolatilidadLetrasTesoro>
            <iic-com-fon:VolatilidadLetrasTesoro decimals="2" contextRef="FIM_S22025_V87811030_dpq2" unitRef="pure">0.40</iic-com-fon:VolatilidadLetrasTesoro>
            <iic-com-fon:VolatilidadLetrasTesoro decimals="2" contextRef="FIM_S22025_V87811030_dpq3" unitRef="pure">0.43</iic-com-fon:VolatilidadLetrasTesoro>
            <iic-com-fon:VolatilidadLetrasTesoro decimals="2" contextRef="FIM_S22025_V87811030_dpy" unitRef="pure">0.63</iic-com-fon:VolatilidadLetrasTesoro>
            <iic-com-fon:VolatilidadLetrasTesoro decimals="2" contextRef="FIM_S22025_V87811030_dpy2" unitRef="pure">1.05</iic-com-fon:VolatilidadLetrasTesoro>
            <iic-com-fon:VolatilidadLetrasTesoro decimals="2" contextRef="FIM_S22025_V87811030_dpy3" unitRef="pure">3.42</iic-com-fon:VolatilidadLetrasTesoro>
            <iic-com-fon:VolatilidadLetrasTesoro decimals="2" contextRef="FIM_S22025_V87811030_dpy5" unitRef="pure">0.52</iic-com-fon:VolatilidadLetrasTesoro>
            <iic-com-fon:VolatilidadIndice>
              <iic-com-fon:VolatilidadElemento contextRef="FIM_S22025_V87811030_daa">70 Euribor+30 Eurostoxx Net Total Return</iic-com-fon:VolatilidadElemento>
              <iic-com-fon:VolatilidadElementoValor decimals="2" contextRef="FIM_S22025_V87811030_daa" unitRef="pure">4.98</iic-com-fon:VolatilidadElementoValor>
              <iic-com-fon:VolatilidadElementoValor decimals="2" contextRef="FIM_S22025_V87811030_daq" unitRef="pure">3.42</iic-com-fon:VolatilidadElementoValor>
              <iic-com-fon:VolatilidadElementoValor decimals="2" contextRef="FIM_S22025_V87811030_dpq" unitRef="pure">4.21</iic-com-fon:VolatilidadElementoValor>
              <iic-com-fon:VolatilidadElementoValor decimals="2" contextRef="FIM_S22025_V87811030_dpq2" unitRef="pure">7.06</iic-com-fon:VolatilidadElementoValor>
              <iic-com-fon:VolatilidadElementoValor decimals="2" contextRef="FIM_S22025_V87811030_dpq3" unitRef="pure">4.62</iic-com-fon:VolatilidadElementoValor>
              <iic-com-fon:VolatilidadElementoValor decimals="2" contextRef="FIM_S22025_V87811030_dpy" unitRef="pure">3.96</iic-com-fon:VolatilidadElementoValor>
              <iic-com-fon:VolatilidadElementoValor decimals="2" contextRef="FIM_S22025_V87811030_dpy2" unitRef="pure">4.16</iic-com-fon:VolatilidadElementoValor>
              <iic-com-fon:VolatilidadElementoValor decimals="2" contextRef="FIM_S22025_V87811030_dpy3" unitRef="pure">7.02</iic-com-fon:VolatilidadElementoValor>
              <iic-com-fon:VolatilidadElementoValor decimals="2" contextRef="FIM_S22025_V87811030_dpy5" unitRef="pure">9.51</iic-com-fon:VolatilidadElementoValor>
            </iic-com-fon:VolatilidadIndice>
            <iic-com-fon:VolatilidadVaRHistorica decimals="2" contextRef="FIM_S22025_V87811030_daa" unitRef="pure">2.14</iic-com-fon:VolatilidadVaRHistorica>
            <iic-com-fon:VolatilidadVaRHistorica decimals="2" contextRef="FIM_S22025_V87811030_daq" unitRef="pure">2.14</iic-com-fon:VolatilidadVaRHistorica>
            <iic-com-fon:VolatilidadVaRHistorica decimals="2" contextRef="FIM_S22025_V87811030_dpq" unitRef="pure">2.14</iic-com-fon:VolatilidadVaRHistorica>
            <iic-com-fon:VolatilidadVaRHistorica decimals="2" contextRef="FIM_S22025_V87811030_dpq2" unitRef="pure">2.14</iic-com-fon:VolatilidadVaRHistorica>
            <iic-com-fon:VolatilidadVaRHistorica decimals="2" contextRef="FIM_S22025_V87811030_dpq3" unitRef="pure">2.14</iic-com-fon:VolatilidadVaRHistorica>
            <iic-com-fon:VolatilidadVaRHistorica decimals="2" contextRef="FIM_S22025_V87811030_dpy" unitRef="pure">3.36</iic-com-fon:VolatilidadVaRHistorica>
            <iic-com-fon:VolatilidadVaRHistorica decimals="2" contextRef="FIM_S22025_V87811030_dpy2" unitRef="pure">3.31</iic-com-fon:VolatilidadVaRHistorica>
            <iic-com-fon:VolatilidadVaRHistorica decimals="2" contextRef="FIM_S22025_V87811030_dpy3" unitRef="pure">3.51</iic-com-fon:VolatilidadVaRHistorica>
            <iic-com-fon:VolatilidadVaRHistorica decimals="2" contextRef="FIM_S22025_V87811030_dpy5" unitRef="pure">5.25</iic-com-fon:VolatilidadVaRHistorica>
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            <iic-com:RatioTotalGastos decimals="2" contextRef="FIM_S22025_V87811030_daa" unitRef="pure">0.93</iic-com:RatioTotalGastos>
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            <iic-com:RatioTotalGastos decimals="2" contextRef="FIM_S22025_V87811030_dpy5" unitRef="pure">0.90</iic-com:RatioTotalGastos>
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                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ia" unitRef="pure">4.78</iic-com:InversionesFinancierasPorcentaje>
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              <iic-com:InversionesFinancierasImporte>
                <iic-com:InversionesFinancierasValor decimals="0" contextRef="FIM_S22025_V87811030_ipp" unitRef="euro">4344612</iic-com:InversionesFinancierasValor>
                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ipp" unitRef="pure">12.51</iic-com:InversionesFinancierasPorcentaje>
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              <iic-com:CodigoISIN contextRef="FIM_S22025_V87811030_ia">ES00000124C5</iic-com:CodigoISIN>
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                <iic-com:InversionesFinancierasValor decimals="0" contextRef="FIM_S22025_V87811030_ia" unitRef="euro">0</iic-com:InversionesFinancierasValor>
                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ia" unitRef="pure">0.00</iic-com:InversionesFinancierasPorcentaje>
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              <iic-com:InversionesFinancierasImporte>
                <iic-com:InversionesFinancierasValor decimals="0" contextRef="FIM_S22025_V87811030_ipp" unitRef="euro">8199217</iic-com:InversionesFinancierasValor>
                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ipp" unitRef="pure">23.59</iic-com:InversionesFinancierasPorcentaje>
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            <iic-com:InversionesFinancierasAdquisicionTemporalActivos>
              <iic-com:CodigoISIN contextRef="FIM_S22025_V87811030_ia">ES0000012N43</iic-com:CodigoISIN>
              <iic-com:InversionesFinancierasDescripcion contextRef="FIM_S22025_V87811030_ia">Bonos ESTADO ESPA�OL 1,89 2026-01-02</iic-com:InversionesFinancierasDescripcion>
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                <iic-com:InversionesFinancierasValor decimals="0" contextRef="FIM_S22025_V87811030_ia" unitRef="euro">1898878</iic-com:InversionesFinancierasValor>
                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ia" unitRef="pure">5.36</iic-com:InversionesFinancierasPorcentaje>
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              <iic-com:InversionesFinancierasImporte>
                <iic-com:InversionesFinancierasValor decimals="0" contextRef="FIM_S22025_V87811030_ipp" unitRef="euro">0</iic-com:InversionesFinancierasValor>
                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ipp" unitRef="pure">0.00</iic-com:InversionesFinancierasPorcentaje>
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                <iic-com:InversionesFinancierasValor decimals="0" contextRef="FIM_S22025_V87811030_ia" unitRef="euro">1898878</iic-com:InversionesFinancierasValor>
                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ia" unitRef="pure">5.36</iic-com:InversionesFinancierasPorcentaje>
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              <iic-com:InversionesFinancierasImporte>
                <iic-com:InversionesFinancierasValor decimals="0" contextRef="FIM_S22025_V87811030_ipp" unitRef="euro">8199217</iic-com:InversionesFinancierasValor>
                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ipp" unitRef="pure">23.59</iic-com:InversionesFinancierasPorcentaje>
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                <iic-com:InversionesFinancierasValor decimals="0" contextRef="FIM_S22025_V87811030_ia" unitRef="euro">9156272</iic-com:InversionesFinancierasValor>
                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ia" unitRef="pure">25.86</iic-com:InversionesFinancierasPorcentaje>
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              <iic-com:InversionesFinancierasImporte>
                <iic-com:InversionesFinancierasValor decimals="0" contextRef="FIM_S22025_V87811030_ipp" unitRef="euro">17510857</iic-com:InversionesFinancierasValor>
                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ipp" unitRef="pure">50.40</iic-com:InversionesFinancierasPorcentaje>
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            </iic-com:InversionesFinancierasRF>
            <iic-com:InversionesFinancierasRVCotizada>
              <iic-com:CodigoISIN contextRef="FIM_S22025_V87811030_ia">ES0109067019</iic-com:CodigoISIN>
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                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ia" unitRef="pure">0.26</iic-com:InversionesFinancierasPorcentaje>
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                <iic-com:InversionesFinancierasValor decimals="0" contextRef="FIM_S22025_V87811030_ipp" unitRef="euro">0</iic-com:InversionesFinancierasValor>
                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ipp" unitRef="pure">0.00</iic-com:InversionesFinancierasPorcentaje>
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              <iic-com:CodigoISIN contextRef="FIM_S22025_V87811030_ia">ES0148396007</iic-com:CodigoISIN>
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                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ia" unitRef="pure">0.50</iic-com:InversionesFinancierasPorcentaje>
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                <iic-com:InversionesFinancierasValor decimals="0" contextRef="FIM_S22025_V87811030_ipp" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ia" unitRef="pure">0.76</iic-com:InversionesFinancierasPorcentaje>
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                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ia" unitRef="pure">0.76</iic-com:InversionesFinancierasPorcentaje>
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                <iic-com:InversionesFinancierasValor decimals="0" contextRef="FIM_S22025_V87811030_ipp" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ia" unitRef="pure">26.62</iic-com:InversionesFinancierasPorcentaje>
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              <iic-com:InversionesFinancierasImporte>
                <iic-com:InversionesFinancierasValor decimals="0" contextRef="FIM_S22025_V87811030_ipp" unitRef="euro">17510857</iic-com:InversionesFinancierasValor>
                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ipp" unitRef="pure">50.40</iic-com:InversionesFinancierasPorcentaje>
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                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ia" unitRef="pure">2.82</iic-com:InversionesFinancierasPorcentaje>
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                <iic-com:InversionesFinancierasValor decimals="0" contextRef="FIM_S22025_V87811030_ipp" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ia" unitRef="pure">0.56</iic-com:InversionesFinancierasPorcentaje>
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                <iic-com:InversionesFinancierasValor decimals="0" contextRef="FIM_S22025_V87811030_ipp" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ia" unitRef="pure">5.57</iic-com:InversionesFinancierasPorcentaje>
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                <iic-com:InversionesFinancierasValor decimals="0" contextRef="FIM_S22025_V87811030_ipp" unitRef="euro">0</iic-com:InversionesFinancierasValor>
                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ipp" unitRef="pure">0.00</iic-com:InversionesFinancierasPorcentaje>
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                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ia" unitRef="pure">8.95</iic-com:InversionesFinancierasPorcentaje>
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                <iic-com:InversionesFinancierasValor decimals="0" contextRef="FIM_S22025_V87811030_ipp" unitRef="euro">0</iic-com:InversionesFinancierasValor>
                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ipp" unitRef="pure">0.00</iic-com:InversionesFinancierasPorcentaje>
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                <iic-com:InversionesFinancierasPorcentaje decimals="2" contextRef="FIM_S22025_V87811030_ipp" unitRef="pure">0.57</iic-com:InversionesFinancierasPorcentaje>
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                <iic-com:InversionesFinancierasValor decimals="0" contextRef="FIM_S22025_V87811030_ipp" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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      <iic-com:AnexoOperacionesVinculadas contextRef="FIM_S22025_V87811030_da">Los Repos del periodo han sido contratados con el depositario. El importe del total compras y ventas del periodo del informe, as� como su porcentaje sobre el patrimonio medio del fondo es el siguiente:
Total Compras: 713746153,61 euros (10,90%)
Total Venta: 713799411,65 euros (10,90%)

Abante Asesores S.A. es oficina virtual de Bankinter S.A.,  y ha percibido ingresos por importe de 8.981 euros (0,03%)
</iic-com:AnexoOperacionesVinculadas>
      <iic-com:ExplicacionInformePeriodico contextRef="FIM_S22025_V87811030_da">1. SITUACION DE LOS MERCADOS Y EVOLUCI�N DEL FONDO.

a) Visi�n de la gestora/sociedad sobre la situaci�n de los mercados.

El 2025 ha sido un a�o favorable para los activos de riesgo, aunque marcado por episodios de elevada volatilidad. Uno de los momentos m�s relevantes se produjo en abril, tras el conocido como �liberation day�, cuando el endurecimiento de la pol�tica arancelaria de Donald Trump gener� un repunte significativo de la incertidumbre. A pesar de ello, el entorno macroecon�mico ha mostrado una resiliencia mayor de la esperada, y las empresas (sobre todo en Estados Unidos) han seguido generando buenos beneficios, dando soporte a los mercados de renta variable. No obstante, el debilitamiento del d�lar a lo largo del a�o �con el euro/d�lar pasando de niveles de 1,04 a comienzos de a�o a 1,17 al cierre� ha restado rentabilidad a los activos estadounidenses para el inversor europeo, dejando un balance mucho m�s contenido al medir las rentabilidades en euros.



En renta variable, el �ndice mundial cierra 2025 con una rentabilidad del 16,87% en moneda local y del 5,35% en euros. En Estados Unidos, los principales �ndices registran subidas muy relevantes en moneda local, con el S&amp;P 500 avanzando un 16,39% y el Dow Jones un 12,97%. Sin embargo, al trasladar estas rentabilidades a euros, el impacto del tipo de cambio reduce de forma significativa el resultado final, con avances del 2,63% y un ligero retroceso del -0,38%, respectivamente. El Nasdaq, apoyado en el buen comportamiento del sector tecnol�gico a lo largo del ejercicio, cierra el a�o con una subida del 6,13% en euros.



En Europa, el sentimiento durante el a�o ha sido claramente positivo. El MSCI Europe finaliza 2025 con una rentabilidad del 16,34% en euros, mientras que el Euro Stoxx 50 avanza un 18,29%, impulsado principalmente por el buen comportamiento del sector financiero. Jap�n tambi�n registra un muy buen a�o tambi�n, con una revalorizaci�n del 21,79% en moneda local, aunque esta se reduce al 7,67% en euros debido al debilitamiento del yen. Por su parte, los mercados emergentes cierran el ejercicio con subidas del 15,13% en euros.



Desde el punto de vista de estilos, el comportamiento relativo ha sido favorable al growth frente al value en el conjunto del a�o. El estilo growth cierra 2025 con una rentabilidad del 6,19% en euros, superando al value, que avanza un 4,27%, ambos medidos en euros. Esta diferencia refleja el liderazgo de sectores vinculados al crecimiento estructural y a la inversi�n en tecnolog�a, frente a un comportamiento m�s moderado de los segmentos tradicionalmente m�s defensivos.



A nivel sectorial, 2025 ha estado marcado por una elevada dispersi�n en las rentabilidades. Destacan claramente los sectores de telecomunicaciones, tecnolog�a, financieras e industriales, con subidas del 29,87%, 22,08%, 21,97% y 19,10%, respectivamente. Por el contrario, sectores m�s defensivos como consumo b�sico, consumo discrecional y energ�a han ofrecido un comportamiento m�s moderado en t�rminos relativos, aunque positivo en t�rminos absolutos, reflejando un entorno de mayor apetito por riesgo y crecimiento.



En renta fija, el a�o ha estado condicionado por la evoluci�n de los tipos de inter�s y por la divergencia entre regiones. En deuda p�blica, el bono del Tesoro estadounidense a 10 a�os ofrece una rentabilidad del 8,40% en moneda local y del 6,03% en euros cubiertos, mientras que el bund alem�n a 10 a�os cierra el ejercicio con un balance ligeramente negativo del -0,64%. 



En deuda corporativa, cerramos un a�o con rentabilidades positivas en todos los segmentos. Las empresas mantienen balances s�lidos y los niveles de default son reducidos. Tambi�n ha ayudado un flujo de demanda fuerte por parte de los inversores. El cr�dito investment grade estadounidense destaca con un avance del 7,77% en moneda local, seguido del cr�dito IG global con un 7,08%. En el segmento de high yield, el comportamiento ha sido especialmente bueno, con el high yield global cerrando el a�o con una rentabilidad del 10,02%, mientras que Estados Unidos alcanza el 8,62% y Europa el 4,86%.



Desde el punto de vista macroecon�mico, la inflaci�n ha continuado moder�ndose a lo largo del a�o, aunque permaneciendo en niveles todav�a superiores a los objetivos de los bancos centrales. En la zona euro, la inflaci�n general se sit�a en el 2,1%, con la subyacente en el 2,4%. En Estados Unidos, el IPC general se modera hasta el 2,7%, mientras que la subyacente retrocede al 2,6%, reforzando un escenario de normalizaci�n gradual de las presiones inflacionistas.



En materias primas, el oro ha sido uno de los grandes protagonistas del a�o, alcanzando nuevos m�ximos hist�ricos y cerrando el ejercicio en torno a los 4.341 d�lares por onza. Por el contrario, el petr�leo ha mostrado un comportamiento m�s d�bil, cerrando el a�o en niveles pr�ximos a los 60 d�lares por barril. En el mercado de divisas, el euro se ha fortalecido de forma generalizada frente a las principales monedas, destacando la apreciaci�n frente al d�lar y el yen, lo que ha tenido un impacto relevante en las rentabilidades de los activos internacionales para el inversor europeo.


b) Decisiones generales de inversi�n adoptadas.

Durante el segundo semestre de 2025, el fondo ha mantenido una estructura de cartera coherente con su vocaci�n de renta fija mixta, con un peso predominante de la renta fija y una exposici�n a renta variable contenida y estable. La cartera refleja una gesti�n activa, con ajustes relevantes en la composici�n de los activos, sin que ello haya supuesto alteraciones significativas en el perfil global de riesgo del fondo.


En renta variable, el fondo mantiene una exposici�n moderada, materializada fundamentalmente a trav�s de inversi�n directa en acciones, tras la reducci�n total de las posiciones en ETFs que figuraban en el semestre anterior. Al cierre del periodo, la renta variable representa aproximadamente el 24,6% del patrimonio, distribuida entre valores europeos y estadounidenses de gran capitalizaci�n, pertenecientes a sectores como tecnolog�a, consumo, industria, financiero y salud. Esta transici�n en la forma de instrumentar la renta variable no ha implicado un incremento relevante del peso total de este tipo de activo, sino una optimizaci�n en la implementaci�n de la estrategia, manteniendo una adecuada diversificaci�n por emisores y sectores.


En renta fija, la cartera contin�a concentr�ndose en emisiones de deuda p�blica y privada, tanto interior como exterior, con una clara orientaci�n hacia emisores de calidad crediticia media-alta.Durante el semestre se han producido ajustes significativos en la distribuci�n de la renta fija, reduci�ndose la exposici�n a adquisiciones temporales de activos y aumentando el peso de deuda p�blica alemana y de cr�dito corporativo internacional. La estructura por vencimientos combina tramos cortos y medios, lo que permite mantener una duraci�n global controlada, coherente con el objetivo de limitar la volatilidad del fondo.


En conjunto, las decisiones de inversi�n adoptadas durante el semestre responden a una gesti�n activa orientada a preservar el capital y optimizar la rentabilidad ajustada al riesgo, manteniendo una exposici�n equilibrada entre renta fija y renta variable y reforzando la diversificaci�n de la cartera, en l�nea con la pol�tica de inversi�n y el perfil de riesgo del fondo.


c) �ndice de referencia.

El �ndice de referencia del fondo es una combinaci�n del 70% Euribor a 12 meses y 30% Eurostoxx 50 Net Total Return, representativa de una asignaci�n mayoritaria a activos monetarios y de renta fija a corto plazo, complementada con una exposici�n moderada a renta variable de la zona euro. Durante el segundo semestre de 2025, dicho �ndice ha registrado una rentabilidad del 3,97%, mientras que en el conjunto del a�o 2025 ha alcanzado una rentabilidad acumulada del 8,07%.
En el mismo periodo, el fondo ha obtenido una rentabilidad del 3,65% en el segundo semestre de 2025, situ�ndose ligeramente por debajo de la rentabilidad del �ndice de referencia en dicho semestre. 

En el conjunto del ejercicio, la rentabilidad acumulada del fondo ha sido del 6,20%, tambi�n inferior a la del �ndice. Este diferencial de comportamiento se explica por el posicionamiento m�s conservador del fondo, coherente con su vocaci�n de renta fija mixta y con el objetivo de mantener la volatilidad en niveles moderados.
Tanto al inicio como al cierre del semestre, el fondo ha mantenido una exposici�n a renta variable contenida, inferior a la impl�cita en el �ndice de referencia, as� como una estructura de renta fija con una duraci�n controlada. Estas diferencias en la composici�n y en la implementaci�n de la cartera respecto al �ndice han condicionado la evoluci�n relativa del fondo, especialmente en un entorno de mercado favorable para los activos de mayor riesgo.


En conjunto, el comportamiento del fondo durante el periodo es coherente con su pol�tica de inversi�n y con el nivel de riesgo asumido, presentando una evoluci�n alineada con la de su �ndice de referencia, con las diferencias derivadas de la gesti�n activa y del perfil defensivo del fondo.


d) Evoluci�n del Patrimonio, participes, rentabilidad y gastos de la IIC.

Durante el segundo semestre de 2025, el patrimonio de DUX MIXTO MODERADO, FI ha experimentado un ligero incremento, situ�ndose al cierre del periodo y del ejercicio en 35,42 millones de euros, frente a los 34,80 millones de euros con los que contaba el fondo al cierre del semestre anterior. La evoluci�n del patrimonio durante el periodo responde a la combinaci�n de los resultados obtenidos por la gesti�n y de los movimientos netos de part�cipes registrados en el semestre.
El n�mero de part�cipes ha descendido ligeramente, pasando de 203 a 199 part�cipes, mientras que el n�mero de participaciones en circulaci�n se ha reducido desde 2.847.524 a 2.798.448, reflejando una evoluci�n moderada de la base inversora del fondo.
En t�rminos de rentabilidad, el fondo ha obtenido una rentabilidad del 3,65% en el segundo semestre de 2025, cerrando el ejercicio con una rentabilidad acumulada anual del 6,20%, en l�nea con la evoluci�n de los mercados y con la vocaci�n de renta fija mixta del fondo.
En relaci�n con los gastos, el ratio total de gastos sobre patrimonio medio, correspondiente al conjunto del ejercicio 2025, se ha situado en el 0,93% anual. Dicho ratio incluye una comisi�n de gesti�n del 0,80% anual y una comisi�n de depositario del 0,10%, manteni�ndose en niveles coherentes con la pol�tica de inversi�n y el perfil de riesgo del fondo.


e) Rendimiento del fondo en comparaci�n con el resto de fondos de la gestora.

N/A

2. INFORMACION SOBRE LAS INVERSIONES.

a) Inversiones concretas realizadas durante el periodo.

Durante el segundo semestre de 2025, el fondo ha mantenido una cartera diversificada, con una exposici�n moderada a renta variable directa, coherente con su vocaci�n de renta fija mixta y sin variaciones significativas en el peso agregado de este tipo de activo respecto al semestre anterior. La inversi�n en renta variable se articula a trav�s de una selecci�n amplia de valores de gran capitalizaci�n, pertenecientes a distintos sectores y geograf�as, lo que contribuye a un adecuado control del riesgo.



En cuanto al comportamiento de los activos que han compuesto la cartera durante el periodo, los tres valores con mayor rentabilidad han sido Alphabet Inc., con una revalorizaci�n del 77,88%, Caterpillar Inc., con una rentabilidad del 48,53%, y LVMH Mo�t Hennessy Louis Vuitton, con una rentabilidad del 44,36%. Por el contrario, los tres valores con menor rentabilidad han sido Wolters Kluwer, con una ca�da del 36,42%, Novo Nordisk A/S, con una rentabilidad del -25,66%, y SAP SE, con un descenso del -19,58%. El impacto de estos valores en el conjunto de la cartera ha sido limitado, dada la diversificaci�n existente y el peso relativo de cada posici�n.



Desde el punto de vista de los rendimientos generados por la gesti�n, durante el periodo los ingresos por intereses han contribuido con un 1,15% a la rentabilidad del fondo, mientras que los dividendos percibidos han aportado un 0,17% adicional. Asimismo, la operativa en instrumentos derivados ha generado una ganancia del 0,47% en el semestre. Estos rendimientos recurrentes han complementado de forma significativa la evoluci�n de los precios de los activos en cartera, contribuyendo positivamente al resultado global del periodo.



Desde el punto de vista de la concentraci�n, el fondo no mantiene posiciones significativas en ning�n emisor ni en ninguna gestora, sin superarse umbrales relevantes de concentraci�n sobre el patrimonio. La cartera presenta una distribuci�n equilibrada entre los distintos valores, coherente con la pol�tica de inversi�n y orientada a una adecuada diversificaci�n del riesgo.



En conjunto, las inversiones realizadas durante el periodo reflejan una gesti�n activa orientada a la preservaci�n del capital y a la optimizaci�n de la rentabilidad ajustada al riesgo, en l�nea con la vocaci�n y el perfil de riesgo del fondo. Durante el semestre se han utilizado derivados de renta variable para gestionar la volatilidad de la cartera. El fondo no mantiene una posici�n significativa (superior al 10% del patrimonio) en ninguna gestora.


b) Operativa de pr�stamo de valores.

Durante el segundo semestre de 2025, DUX MIXTO MODERADO, FI ha realizado operaciones con instrumentos financieros derivados con finalidad de inversi�n, fundamentalmente mediante futuros y opciones sobre �ndices de renta variable (S&amp;P 500 y Euro Stoxx 50), as� como futuros sobre el tipo de cambio EUR/USD, con el objetivo de gestionar de un modo m�s eficaz la exposici�n a los mercados y ajustar el perfil de riesgo de la cartera. El importe nominal comprometido al cierre del periodo asciende a 6,26 millones de euros, lo que representa aproximadamente un 17,7% del patrimonio del fondo, situado en 35,42 millones de euros al cierre del ejercicio. El apalancamiento medio del fondo durante el semestre se ha situado en el 10,57%, manteni�ndose en niveles moderados y coherentes con la pol�tica de inversi�n del fondo. Como resultado de esta operativa, el fondo ha registrado una ganancia en derivados del 0,47% durante el periodo. Se han realizado operaciones en derivados con finalidad de inversi�n para gestionar de un modo m�s eficaz la cartera. Los instrumentos financieros derivados han sido negociados todos en mercados organizados, sin riesgo de contrapartida.


c) Operativa en derivados y adquisici�n temporal de activos.

La operativa en derivados durante el semestre ha continuado la senda de simplificaci�n, limit�ndose principalmente a futuros y opciones sobre �ndices internacionales. Las posiciones abiertas en futuros al cierre del semestre representan un 10,06% del patrimonio y las posiciones en opciones un 4,08%. El apalancamiento medio ha sido del 10,57%. Se han realizado operaciones en derivados con finalidad de inversi�n para gestionar de un modo m�s eficaz la cartera. Los instrumentos financieros derivados han sido negociados todos en mercados organizados, sin riesgo de contrapartida.

d) Otra informaci�n sobre inversiones.

N/A

3. EVOLUCION DEL OBJETIVO CONCRETO DE RENTABILIDAD.

N/A

4. RIESGO ASUMIDO POR EL FONDO.

La volatilidad del fondo en el conjunto del a�o 2025 se ha situado en el 3,65%, lo que refleja un nivel de riesgo bajo, coherente con su vocaci�n de renta fija mixta y con el objetivo de preservar el capital. Este nivel de volatilidad ha sido inferior al de su �ndice de referencia, 70% Euribor a 12 meses + 30% Eurostoxx 50 Net Total Return, cuya volatilidad se ha situado en el 4,98%, poniendo de manifiesto un comportamiento m�s estable del fondo frente a las oscilaciones del mercado representado por dicho �ndice.

Asimismo, la volatilidad del fondo ha sido muy inferior a la de la renta variable, que en el caso del Ibex 35 se ha situado en el 16,02% durante el mismo periodo. Una volatilidad reducida indica que el valor liquidativo del fondo ha experimentado variaciones contenidas de un d�a para otro, sin sufrir movimientos bruscos, lo que resulta consistente con el perfil de riesgo asumido y con la pol�tica de inversi�n del fondo.


5. EJERCICIO DERECHOS POLITICOS.

Como regla general, Abante Asesores Gesti�n SGIIC delegar� su derecho de asistencia y voto a las Juntas Generales de las sociedades, en el presidente del Consejo de Administraci�n o de otro miembro de dicho �rgano, sin indicaci�n del sentido del voto. No obstante, cuando Abante Asesores Gesti�n SGIIC lo considere oportuno para la mejor defensa de los derechos de los part�cipes, asistir� a las Juntas Generales y ejercitar� el voto en beneficio exclusivo de dichos part�cipes. 
En todo caso, Abante Asesores Gesti�n SGIIC ejercer� los derechos pol�ticos siempre y cuando el emisor sea una sociedad espa�ola, la participaci�n tuviera una antig�edad superior a 12 meses y que la participaci�n represente al menos un 1% y en todo caso siempre que se haya establecido una prima de asistencia a Junta o cualquier otro beneficio ligado a la misma.

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.

El servicio de an�lisis ha mejorado la gesti�n en varios aspectos. Distinguir�a dos grupos de firmas y como su servicio incide en la calidad de la gesti�n. Por un lado los grandes grupos multinacionales -bancos de inversi�n- que adem�s de dar opini�n sobre las compa��as del universo de inversi�n del fondo, tienen opini�n sobre temas m�s gen�ricos como macroeconom�a y mercados internacionales, y adem�s suelen ser los intermediarios que lideran los eventos de los mercados de capitales y trabajar con ellos nos permite acudir a estos eventos cuando lo consideramos interesantes. Y en el otro extremo estar�an las casas locales que son las que por su mayor especializaci�n mejor opini�n tienen del universo de compa��as en las que invierte el fondo. Su mayor cercan�a y foco hace que su an�lisis sea diferencial en nuestra opini�n.

Los gastos correspondientes al servicio de an�lisis financiero sobre inversiones soportados por el fondo en 2025 han ascendido a 863,39 euros. El importe presupuestado por dicho servicio para el ejercicio 2026 es de 927 euros.

9. COMPARTIMENTOS DE PROPOSITO ESPECIAL (SIDE POCKETS).

N/A

10. PERSPECTIVAS DE MERCADO Y ACTUACION PREVISIBLE DEL FONDO.

En renta fija seguiremos manteniendo un perfil alto de calidad crediticia. En renta variable mantenemos una posici�n bastante neutral, muy diversificada y sesgada a acciones de calidad que prevemos mantener salvo que se produzcan importantes movimientos en las Bolsas.

Los costes de transacci�n del a�o 2025 ascendieron a un 0,37% del patrimonio medio de la IIC.</iic-com:ExplicacionInformePeriodico>
      <iic-com:AdvertenciasCNMV contextRef="FIM_S22025_V87811030_da">N/A</iic-com:AdvertenciasCNMV>
      <iic-com:InformacionPoliticaRemuneracion contextRef="FIM_S22025_V87811030_da">Abante Asesores Gesti�n SGIIC, S.A. cuenta con una pol�tica de remuneraci�n de sus empleados acorde a la normativa vigente que ha sido aprobada por su Consejo de administraci�n. 

El Consejo de Administraci�n es el �rgano responsable de revisar de manera peri�dica el contenido de la pol�tica de remuneraci�n.  De la revisi�n realizada en el ejercicio 2025 no se han detectado hallazgos significativos y, en consecuencia, no se han realizado modificaciones.

La retribuci�n fija se establece tomando en consideraci�n el nivel de responsabilidad y la trayectoria profesional del empleado en el Grupo, fij�ndose una referencia salarial para cada funci�n que refleja su valor dentro de la Organizaci�n.
La retribuci�n variable tiene por objeto primar la creaci�n de valor del Grupo y recompensar la aportaci�n individual de las personas, los equipos y la agregaci�n de todos ellos. La retribuci�n variable se basa en el establecimiento de unos objetivos de creaci�n de valor cuyo cumplimiento determina la retribuci�n variable a repartir entre sus integrantes, que se distribuye entre ellos en base al rendimiento individual, distingui�ndose entre las distintas categor�as de empleados

En el caso de los miembros de la Alta Direcci�n, los empleados incursos en la carrera profesional y los empleados que puedan incidir en el perfil de riesgo de la entidad, la retribuci�n variable est� vinculada a los resultados del Grupo, cuya cuant�a est� supeditada a la consecuci�n de unos objetivos concretos, cuantificables y directamente alineados con los intereses de los accionistas en la medida en que contribuyen a la generaci�n de valor para el Grupo. En el resto de los empleados la retribuci�n variable est� vinculada a objetivos relacionados con sus funciones y/o aspectos cualitativos.

Dada la naturaleza de la Sociedad Gestora, consideramos que las actividades desarrolladas por la Direcci�n, Gestores y �rea de Control no inciden en el perfil de riesgo de las IIC gestionadas, ya que el perfil de riesgo se encuentra perfectamente delimitado en el folleto y en su correspondiente DFI.
En el ejercicio 2025 la retribuci�n fija y variable pagada por Abante Asesores Gesti�n SGIIC se detalla a continuaci�n:
	                                 Fija	                        Variable                  Total Empleados           Emp.R.Variable             TOTAL
					 
Remuneracion Total	   2.446.669 	       3.543.886 	             53                              46                  5.990.555 
					
Altos Cargos	             286.741 	       678.974 	                        2	                            2                      965.715 
 
Dado que la IIC no tiene comisi�n de gesti�n variable no ha existido remuneraci�n ligada a dicha comisi�n.
�rea de control: Las funciones de la unidad de control interno est�n delegadas a Abante Asesores S.A. En 2025 la Entidad Gestora ha satisfecho a la S.A. un importe de 143.000,00 euros
</iic-com:InformacionPoliticaRemuneracion>
      <iic-com:InformacionReglamentoUE_2015_2365 contextRef="FIM_S22025_V87811030_da">N/A</iic-com:InformacionReglamentoUE_2015_2365>
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