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<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">KYG982771092</iic-com:CodigoISIN>
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<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">GB0009039941</iic-com:CodigoISIN>
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<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">FR0000053225</iic-com:CodigoISIN>
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<iic-com:ExplicacionHechosRelevantes contextRef="FIM_S22013_V-86772951_da">d. El 15 de octubre de 2013 la cuenta de libras esterlinas registraba un descubierto que representaba el 11,03% del patrimonio. Dicho exceso, originado por un error operativo, quedó regularizado el 16 de octubre de 2013.                                                                                                             j.Durante el semestre se ha producido la venta del grupo en el que se incluye Inversis Gestión SGIIC, pasando el control a Banca March S.A.</iic-com:ExplicacionHechosRelevantes>
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<iic-com:AnexoOperacionesVinculadas contextRef="FIM_S22013_V-86772951_da">  Tanto la Gestora "INVERSIS GESTION, S.A., S.G.I.I.C.", como el Depositario "BANCO INVERSIS  S.A.", pertenecen al grupo INVERSIS, y están plenamente integrados en el mismo,aunque observan rigurosamente las disposiciones legales vigentes sobre incompatibilidades.		&#13;
		&#13;
	De acuerdo con el art. 55.2 del R.D. 1393/1990, de 2 de Noviembre, la Sociedad Gestora y el Depositario han adoptado las siguientes normas de separación, a fin de garantizar su funcionamiento autónomo y prevenir posibles conflictos de intereses:		&#13;
		&#13;
	   a) Inexistencia de Consejeros comunes.	&#13;
	   b) Dirección efectiva de la Sociedad Gestora, por personas independientes del Depositario.	&#13;
	   c) Que en la cartera de la Institución, no haya valores emitidos por el Depositario, que superen el 1% del activo de la Sociedad.	&#13;
	   d) Que la Sociedad Gestora y el Depositario tengan domicilios diferentes y separación física de sus centros de actividad.</iic-com:AnexoOperacionesVinculadas>
<iic-com:ExplicacionInformePeriodico contextRef="FIM_S22013_V-86772951_da">Comentario de mercado&#13;
Semestre marcado nuevamente por la Reserva Federal, sorprendiendo en varias ocasiones con su estrategia de salida de las medidas cuantitativas. Finalmente en diciembre, con el apoyo de los datos (empleo, encuestas,) y también de los avances políticos sobre cuestiones fiscales, decidió iniciar el tapering. Lo hará a un ritmo inicialmente moderado, sin un calendario sobre próximas actuaciones y, más importante aún, lanzando al mismo tiempo un mensaje clave sobre tipos bajos más tiempo, lo que suaviza el posible impacto negativo en unos mercados que ya empezaban a especular con el siguiente movimiento desde la FED: la subida de tipos. &#13;
&#13;
Mientras en Europa, mayor tranquilidad política, tras la celebración de elecciones en Alemania y con Italia salvando un voto de confianza, además de nuevos pasos sobre la Unión Bancaria. En el semestre hemos visto a un BCE bajar los tipos y ampliar las medidas de liquidez ante un entorno de precios bajos y crecimiento débil. ¿Qué esperamos de los bancos centrales en los próximos meses? Desde la FED que prosiga el tapering, con una reducción de compras que lejos de ser lineal dependerá de los datos, y que como mínimo sería del mismo importe que lo visto en diciembre (-10.000 mill. de USD/mes). En Europa, no esperamos un nuevo recorte de tipos aunque no descartaríamos en el año medidas adicionales de liquidez y/o apoyo al crédito.&#13;
&#13;
Repasando los fundamentales de las economías, la situación ha seguido mejorando en el semestre, particularmente entre los desarrollados. EE UU apunta ya a crecimientos en 2014 próximos al 3%. En Europa, la confianza ha crecido situándose ya en niveles claramente compatibles con la salida de la recesión y un PIB de al menos un 1% al alza. Desde Japón, junto a la mejora de las cifras de inflación vemos también datos en apoyo del crecimiento. En emergentes es donde la situación es menos cierta. China ha dado señales de estabilización económica, pero con  tensiones financieras puntuales. El mercado valoró positivamente las próximas reformas del país, pero se antojan lentas. Mientras, Brasil parece controlar ligeramente los precios, aunque persisten las dudas sobre el coste de los tipos altos en materia de crecimiento.&#13;
&#13;
En relación con otros activos de riesgo como las divisas, nos fijamos en la debilidad del dólar contra el euro en particular (-6%). De cara a 2014, esperamos que el dólar se aprecie, recogiendo la mejora macro más marcada en EE UU así como un diferencial de tipos de interés favorable a EE UU frente a Europa. &#13;
&#13;
En el semestre la revalorización de la letra española ha sido del 0,6%.&#13;
&#13;
Comentario de gestión&#13;
El fondo fue lanzado el 28/06/2013 y a cierre del primer semestre no se había realizado ninguna inversión, estando invertida el total de la liquidez en repos a un día. Las primeras acciones se empezaron a comprar el 26/07/2013, fecha que puede considerarse realmente como el inicio del fondo.&#13;
&#13;
BISSAN Value Fund sigue una estrategia de inversión basada en Value Investing Cuantitativo. A lo largo del semestre, la exposición en renta variable ha sido superior al 90% ya que el modelo que sigue indica la necesidad de estar invertidos en renta variable lo máximo posible, dejando la liquidez en el mínimo del 3% a cierre de año.&#13;
&#13;
Todas las compras en renta variable son en acciones directas. No se ha invertido en fondos de inversión o Sicavs. Los gestores creen que su modelo puede aportar mayor rentabilidad que fondos similares pero que ya llevan parejos sus propios costes de gestión.&#13;
&#13;
El fondo ha invertido sobretodo en Europa, incluyendo Reino Unido y Suiza (53%) con valores como Trinity Mirror PLC con un 5,38% y Cegid con un 4,53%. Tras el mercado Europeo en su conjunto, destaca Asia, especialmente Hong Kong con valores como Beijing Beida (4,26%), Singapur cuenta con Boustead SIngapore (4,24%) e incluso Australia con Programmed maintenance (4,29%). Estados Unidos ha reducido posiciones y tiene como valor destacado SOLR Autoparts con un 4,45% del patrimonio.&#13;
&#13;
Los gestores desconfían mucho de la renta fija puesto que hay varios indicios que muestran que estamos ante una burbuja en este tipo de activo, por estos motivos, el fondo no ha invertido en renta fija.&#13;
&#13;
La rentabilidad a final del año ha sido del 7,98% con una volatilidad del 9.6%. La rentabilidad del fondo ha sido inferior a la media de las IIC's gestionadas de INVERSIS GESTIÓN, que ha cerrado el semestre en el 8,01%. Esta cartera no está referenciada a ningún benchmark. Dado el perfil de renta variable que tiene la cartera esperamos la continuación de su buena evolución apoyándose en la recuperación de los mercados a nivel global. La rentabilidad de la letra a 1 año fue de 0,60% con una volatilidad del 1,62%&#13;
&#13;
Por lo que respecta a la operativa en derivados, el fondo solo mantiene la venta de USD mediante forwards a 3 meses por un 16% del patrimonio total a cierre del año, con objetivo de cubrir la exposición que se tiene a esta divisa.&#13;
 &#13;
En cuanto a fondos estructurados, activos en litigio o activos que incluyan en el artículo 48.1.j del RD 1082/2012, la SICAV no posee ninguno.&#13;
 &#13;
El impacto total de los gastos soportados, tanto directos como indirectos no supera lo estipulado en el folleto informativo.&#13;
 &#13;
Respecto a la política general establecida por Inversis Gestion, SA SGIIC, en relación al ejercicio de los derechos políticos inherentes a los valores emitidos por sociedades españolas que integran las carteras, es la de no ejercer el derecho a asistir a las juntas y por tanto tampoco ejercer el derecho de voto, puesto que (i) las inversiones de renta variable son de carácter coyuntural y (ii) por no disponer de un peso lo suficientemente significativo para influir en las votaciones.	&#13;
Para el cumplimiento del límite de exposición total de riesgo de mercado asociada a instrumentos financieros derivados, en la IIC de referencia se aplica la metodología del compromiso, desarrollada en la sección 1ª del capítulo II de la Circular 6/2010 de la CNMV.&#13;
&#13;
A lo largo de todo el período analizado, la IIC ha venido cumpliendo el límite máximo de exposición al riesgo de mercado asociada a instrumentos financieros derivados, no registrándose excesos sobre el límite del patrimonio neto de la IIC que establece dicha Circular.&#13;
En el periodo no han existido costes derivados del servicio de análisis.&#13;
Desde su constitución, a finales del anterior semestre, el fondo acumula un patrimonio de 2.177.714,17 euros con 28 partícipes.</iic-com:ExplicacionInformePeriodico>
<iic-com:AdvertenciasCNMV contextRef="FIM_S22013_V-86772951_da">No aplicable.</iic-com:AdvertenciasCNMV>
</iic-fim:DatosFondoCompartimentoFIM>
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<iic-com:DenominacionCompartimento contextRef="FIM_S22013_V-86772951_ia">GESTION BOUTIQUE C2 ESTRATEGIA EQUILIBRADA</iic-com:DenominacionCompartimento>
<iic-com:FechaRegistroCompartimiento contextRef="FIM_S22013_V-86772951_ia">2013-06-28</iic-com:FechaRegistroCompartimiento>
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<iic-fim:CategoriaFIM>
<iic-fim:XCode_TipoFIM_07 contextRef="FIM_S22013_V-86772951_ia">07</iic-fim:XCode_TipoFIM_07>
<iic-com:XCode_VocacionInversora_05 contextRef="FIM_S22013_V-86772951_ia">05</iic-com:XCode_VocacionInversora_05>
<iic-com:PerfilRiesgo contextRef="FIM_S22013_V-86772951_ia">3 en una escala de 1 a 7</iic-com:PerfilRiesgo>
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<iic-com:PoliticaInversion contextRef="FIM_S22013_V-86772951_ia">El compartimento invertirá habitualmente entre 70% y 90% en otras IIC financieras, que sean activo apto, armonizadas o no, pertenecientes o no al grupo de la gestora, invirtiendo como máximo un 30% en IIC no armonizadas. Por condiciones de mercado dicho rango podrá situarse entre 50% y 100% del patrimonio</iic-com:PoliticaInversion>
<iic-com:OperativaDerivados contextRef="FIM_S22013_V-86772951_ia">Se podrá operar con instumentos derivados negociados en mercados organizados de derivados con la finalidad de cobertura y de inversión y no negociados en mercados organizados de derivados con la finalidad de cobertura y de inversión.</iic-com:OperativaDerivados>
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<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">IE00B3TH3V40</iic-com:CodigoISIN>
<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S22013_V-86772951_ia">PARTICIPACIONES|BNY Mellon Abs Ret E</iic-com:InversionesFinancierasDescripcion>
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<iic-com:InversionesFinancierasImporte>
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</iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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</iic-com:InversionesFinancierasImporte>
</iic-com:InversionesFinancierasIIC>
<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">LU0717821077</iic-com:CodigoISIN>
<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S22013_V-86772951_ia">PARTICIPACIONES|Robeco Gl Con Tr</iic-com:InversionesFinancierasDescripcion>
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<iic-com:InversionesFinancierasImporte>
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<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
<iic-com:InversionesFinancierasPorcentaje contextRef="FIM_S22013_V-86772951_ipp" decimals="2" unitRef="pure">0.00</iic-com:InversionesFinancierasPorcentaje>
</iic-com:InversionesFinancierasImporte>
</iic-com:InversionesFinancierasIIC>
<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">LU0119753134</iic-com:CodigoISIN>
<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S22013_V-86772951_ia">PARTICIPACIONES|Invesco GT Pan Europ</iic-com:InversionesFinancierasDescripcion>
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<iic-com:InversionesFinancierasImporte>
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<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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</iic-com:InversionesFinancierasImporte>
</iic-com:InversionesFinancierasIIC>
<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">LU0329592371</iic-com:CodigoISIN>
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<iic-com:InversionesFinancierasImporte>
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<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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</iic-com:InversionesFinancierasImporte>
</iic-com:InversionesFinancierasIIC>
<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">FR0010760694</iic-com:CodigoISIN>
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<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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</iic-com:InversionesFinancierasIIC>
<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">LU0739403623</iic-com:CodigoISIN>
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<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">LU0579399311</iic-com:CodigoISIN>
<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S22013_V-86772951_ia">PARTICIPACIONES|Ignis Absolute Retur</iic-com:InversionesFinancierasDescripcion>
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<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">LU0414666189</iic-com:CodigoISIN>
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<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">LU0432616810</iic-com:CodigoISIN>
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<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">GB00B3D8PZ13</iic-com:CodigoISIN>
<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S22013_V-86772951_ia">PARTICIPACIONES|Threadneedle F. Cred</iic-com:InversionesFinancierasDescripcion>
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<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">LU0212926132</iic-com:CodigoISIN>
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<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">GB00B1VMD022</iic-com:CodigoISIN>
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<iic-com:InversionesFinancierasImporte>
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<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">FR0010149120</iic-com:CodigoISIN>
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<iic-com:InversionesFinancierasPorcentaje contextRef="FIM_S22013_V-86772951_ia" decimals="2" unitRef="pure">4.89</iic-com:InversionesFinancierasPorcentaje>
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<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">FR0010135103</iic-com:CodigoISIN>
<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S22013_V-86772951_ia">PARTICIPACIONES|Carmignac Patrimoine</iic-com:InversionesFinancierasDescripcion>
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<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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<iic-com:InversionesFinancierasIICTotal>
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<iic-com:InversionesFinancierasPorcentaje contextRef="FIM_S22013_V-86772951_ia" decimals="2" unitRef="pure">70.77</iic-com:InversionesFinancierasPorcentaje>
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<iic-com:ExplicacionHechosRelevantes contextRef="FIM_S22013_V-86772951_da">d. El 15 de octubre de 2013 la cuenta de libras esterlinas registraba un descubierto que representaba el 11,03% del patrimonio. Dicho exceso, originado por un error operativo, quedó regularizado el 16 de octubre de 2013.                                                                                                         j.Durante el semestre se ha producido la venta del grupo en el que se incluye Inversis Gestión SGIIC, pasando el control a Banca March S.A.</iic-com:ExplicacionHechosRelevantes>
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<iic-com:AnexoOperacionesVinculadas contextRef="FIM_S22013_V-86772951_da"> Tanto la Gestora "INVERSIS GESTION, S.A., S.G.I.I.C.", como el Depositario "BANCO INVERSIS  S.A.", pertenecen al grupo INVERSIS, y están plenamente integrados en el mismo,aunque observan rigurosamente las disposiciones legales vigentes sobre incompatibilidades.		&#13;
		&#13;
	De acuerdo con el art. 55.2 del R.D. 1393/1990, de 2 de Noviembre, la Sociedad Gestora y el Depositario han adoptado las siguientes normas de separación, a fin de garantizar su funcionamiento autónomo y prevenir posibles conflictos de intereses:		&#13;
		&#13;
	   a) Inexistencia de Consejeros comunes.	&#13;
	   b) Dirección efectiva de la Sociedad Gestora, por personas independientes del Depositario.	&#13;
	   c) Que en la cartera de la Institución, no haya valores emitidos por el Depositario, que superen el 1% del activo de la Sociedad.	&#13;
	   d) Que la Sociedad Gestora y el Depositario tengan domicilios diferentes y separación física de sus centros de actividad.	&#13;
		                                                                                                                                                                                                                                         g) Se ha percibido 4110,05 euros en concepto de retrocesiones</iic-com:AnexoOperacionesVinculadas>
<iic-com:ExplicacionInformePeriodico contextRef="FIM_S22013_V-86772951_da">Comentario de mercado&#13;
&#13;
La FED vuelve a ser la principal protagonista de los mercados en la segunda mitad del año. Tras sorprender en septiembre al posponer el comienzo de la retirada de las políticas de estímulo, volvió a hacerlo en diciembre al lanzarse con el inicio del tapering. Justifica la salida desde la mejora macroeconómica y laboral junto a una cuestión fiscal en la que hemos vivido avances políticos hacia finales de año y que deja de ser un freno para el crecimiento. Y más allá del tapering, aleja el objetivo de desempleo del 6,5% como disparador de la subida de tipos, tratando de evitar así que el mercado comenzara a especular con el final de la era de tipos oficiales bajos. &#13;
&#13;
En este tiempo, en Europa, el BCE se ha enfrentado a una economía que, pese a las mejoras esperables de las encuestas, vive un corto plazo de precios bajos y una salida de la recesión poco homogénea. Mientras Alemania despunta con fuerza, y se ve acompañada por los periféricos con menor intensidad, Francia sigue deslizándose en cifras, evidenciando problemas de competitividad. En el semestre vimos una nueva bajada de tipos del BCE y la extensión de las facilidades de liquidez.&#13;
&#13;
Los mercados han vivido un semestre pendientes de la FED. En renta fija cesiones centradas en los plazos largos, tanto americanos como alemanes, lógico dado el inicio del tapering y la mejora macro. Los cortos plazos se mantienen más estables, anclados por los mensajes desde los bancos centrales. Mientras tanto, nuevo semestre de ganancias en la renta fija española y periférica en general, beneficiándose de la mejora de expectativas, cierta estabilidad y/o mejoras de rating, y una clara vuelta desde los flujos en dirección a estas economías. Entre la renta fija corporativa, avances menores en el grado de inversión y ganancias muy destacadas entre los activos de high yield.&#13;
&#13;
Para los próximos meses, esperamos continuidad en la presencia de los bancos centrales, con un ritmo de salida de la FED que vendrá marcado por los datos y un BCE que no tocaría los tipos de interés. Pensando en 2014 seguimos esperando tipos a 10 años en las principales economías en niveles más altos, y por tanto, pérdidas en estos activos, por lo que mantenemos la recomendación de no estar expuestos a duración.  Dentro de un escenario de normalización, sí vemos oportunidades en periféricos, tanto en los largos plazos españoles como en los cortos portugueses, aunque lejos de las rentabilidades logradas en 2013. En cuanto a la renta fija corporativa nos inclinamos por ratings bajos, beneficiados por la mejora macro y microeconómica.&#13;
&#13;
En el semestre la revalorización de la letra española ha sido del 0,6%.&#13;
Comentario de gestión&#13;
Ante un escenario de subidas de tipos en Estados Unidos y de mejora de las expectativas en Europa, la estrategia en renta fija ha sido la de reducción de la duración de la cartera, reduciendo el peso en fondos con duraciones largas y la apuesta por fondos con menos exposición a duración y de gestión alternativa de renta fija tales como el Ignis Absolute Return Gov Bond (4,7% del patrimonio), así como fondos que invierten en países periféricos, como España e Italia, tal como el Carmignac Securite (4,89%). También destaca como segunda posición el fondo de retorno absoluto dentrado en la renta fija M&amp;G Optimal Income con un 6,40%. Las principales posiciones se reservan para fondos de renta fija defensivos tales como el Aviva Corto Plazo con un 11,72% y el Santander Depósitos Plus con un 10,27%.&#13;
&#13;
Se ha cambiado el sesgo de la parte de gestión alternativa de la cartera, eliminando fondos que invierten en volatilidad y apostando por fondos que tienen estrategias de gestión alternativa de renta variable como el BSF European Absolute Return con un 4,33% o el BNY Mellon Absolute Return Equity con un 4,90%.&#13;
&#13;
En cuanto a la renta variable, apostando por una mejora en los mercados europeos y en concreto el Español, sobreponderan estos mercados a través de fondos que invierten en España con el Fidelity Iberia (3%)  y Europa con el BGF Euro Markets (4,61%) y por el contrario reducen peso en fondos globales tales como el Mellon LT Global Equity y el CS Global Prestige.&#13;
&#13;
La rentabilidad a final del semestre ha sido de 1,94% y con una volatilidad media del 2,15%, comparado con la evolución media de las SICAVs y fondos de la casa que ha sido de 8,01%, quedando la rentabilidad de C2 Estrategia Equilibrada por debajo de esta media a cierre de año. Con el incremento en el nivel de exposición a la renta variable las expectativas para el 2014 son positivas en un entorno propicio para la buena evolución de este activo. Esta cartera no está referenciada a ningún benchmark. La rentabilidad de la letra a 1 año fue de 0,60% con una volatilidad del 1,62%.&#13;
&#13;
Por lo que respecta a la operativa en derivados, el fondo no ha llevado a cabo ninguna operativa en el semestre, ni de inversión ni de cobertura.&#13;
 &#13;
En cuanto a fondos estructurados, activos en litigio o activos que incluyan en el artículo 48.1.j del RD 1082/2012, no posee ninguno.&#13;
 &#13;
El impacto total de los gastos soportados, tanto directos como indirectos no supera lo estipulado en el folleto informativo.&#13;
 &#13;
Respecto a la política general establecida por Inversis Gestion, SA SGIIC, en relación al ejercicio de los derechos políticos inherentes a los valores emitidos por sociedades españolas que integran las carteras, es la de no ejercer el derecho a asistir a las juntas y por tanto tampoco ejercer el derecho de voto, puesto que (i) las inversiones de renta variable son de carácter coyuntural y (ii) por no disponer de un peso lo suficientemente significativo para influir en las votaciones.&#13;
&#13;
Para el cumplimiento del límite de exposición total de riesgo de mercado asociada a instrumentos financieros derivados, en la IIC de referencia se aplica la metodología del compromiso, desarrollada en la sección 1ª del capítulo II de la Circular 6/2010 de la CNMV.&#13;
&#13;
A lo largo de todo el período analizado, la IIC ha venido cumpliendo el límite máximo de exposición al riesgo de mercado asociada a instrumentos financieros derivados, no registrándose excesos sobre el límite del patrimonio neto de la IIC que establece dicha Circular.&#13;
En el periodo no han existido costes derivados del servicio de análisis.&#13;
Desde su constitución a finales del periodo anterior el compartimento acumula un patrimonio de 6.928.843,01 euros y 31 partícipes.</iic-com:ExplicacionInformePeriodico>
<iic-com:AdvertenciasCNMV contextRef="FIM_S22013_V-86772951_da">No aplicable.</iic-com:AdvertenciasCNMV>
</iic-fim:DatosFondoCompartimentoFIM>
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<iic-com:PoliticaInversion contextRef="FIM_S22013_V-86772951_ia">El compartimento invertirá habitualmente entre 70% y 90% en otras IIC financieras, que sean activo apto, armonizadas o no, pertenecientes o no al grupo de la gestora, invirtiendo como máximo un 30% en IIC no armonizadas. Por condiciones de mercado dicho rango podrá situarse entre 50% y 100% del patrimonio</iic-com:PoliticaInversion>
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<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">FR0010149120</iic-com:CodigoISIN>
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<iic-com:ExplicacionHechosRelevantes contextRef="FIM_S22013_V-86772951_da">d.El día 30 de julio de 2013, GESTIÓN BOUTIQUE C2 ESTRATEGIA DINÁMICA FI registraba un descubierto que representaba un 6,77% de su patrimonio a esa fecha y, por tanto, superaba el 5% del patrimonio de la IIC. Dicho exceso, originado por un error operativo, quedó regularizado con fecha 05/08/13.                                                                                                                                                                                                                       j. Durante el semestre se ha producido la venta del grupo en el que se incluye Inversis Gestión SGIIC, pasando el control a Banca March S.A.</iic-com:ExplicacionHechosRelevantes>
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<iic-com:AnexoOperacionesVinculadas contextRef="FIM_S22013_V-86772951_da">El compartimento tiene un partícipe mayoritario que supone el 21,19% del patrimonio.                                                                                              	 Tanto la Gestora "INVERSIS GESTION, S.A., S.G.I.I.C.", como el Depositario "BANCO INVERSIS  S.A.", pertenecen al grupo INVERSIS, y están plenamente integrados en el mismo,aunque observan rigurosamente las disposiciones legales vigentes sobre incompatibilidades.		&#13;
		&#13;
	De acuerdo con el art. 55.2 del R.D. 1393/1990, de 2 de Noviembre, la Sociedad Gestora y el Depositario han adoptado las siguientes normas de separación, a fin de garantizar su funcionamiento autónomo y prevenir posibles conflictos de intereses:		&#13;
		&#13;
	   a) Inexistencia de Consejeros comunes.	&#13;
	   b) Dirección efectiva de la Sociedad Gestora, por personas independientes del Depositario.	&#13;
	   c) Que en la cartera de la Institución, no haya valores emitidos por el Depositario, que superen el 1% del activo de la Sociedad.	&#13;
	   d) Que la Sociedad Gestora y el Depositario tengan domicilios diferentes y separación física de sus centros de actividad.	&#13;
		                                                                                                                                                                                                                                         g) Se ha percibido 3055,92 euros en concepto de retrocesiones</iic-com:AnexoOperacionesVinculadas>
<iic-com:ExplicacionInformePeriodico contextRef="FIM_S22013_V-86772951_da">Comentario de mercado&#13;
Semestre marcado nuevamente por la Reserva Federal, sorprendiendo en varias ocasiones con su estrategia de salida de las medidas cuantitativas. Finalmente en diciembre, con el apoyo de los datos (empleo, encuestas,) y también de los avances políticos sobre cuestiones fiscales, decidió iniciar el tapering. Lo hará a un ritmo inicialmente moderado, sin un calendario sobre próximas actuaciones y, más importante aún,  lanzando al mismo tiempo un mensaje clave sobre tipos bajos más tiempo, lo que suaviza el posible impacto negativo en unos mercados que ya empezaban a especular con el siguiente movimiento desde la FED: la subida de tipos. &#13;
&#13;
Mientras en Europa, mayor tranquilidad política, tras la celebración de elecciones en Alemania y con Italia salvando un voto de confianza, además de nuevos pasos sobre la Unión Bancaria. En el semestre hemos visto a un BCE bajar los tipos y ampliar las medidas de liquidez ante un entorno de precios bajos y crecimiento débil. ¿Qué esperamos de los bancos centrales en los próximos meses? Desde la FED que prosiga el tapering, con una reducción de compras que lejos de ser lineal dependerá de los datos, y que como mínimo sería del mismo importe que lo visto en diciembre (-10.000 mill. de USD/mes). En Europa, no esperamos un nuevo recorte de tipos aunque no descartaríamos en el año medidas adicionales de liquidez y/o apoyo al crédito.&#13;
&#13;
Repasando los fundamentales de las economías, la situación ha seguido mejorando en el semestre, particularmente entre los desarrollados. EE UU apunta ya a crecimientos en 2014 próximos al 3%. En Europa, la confianza ha crecido situándose ya en niveles claramente compatibles con la salida de la recesión y un PIB de al menos un 1% al alza. Desde Japón, junto a la mejora de las cifras de inflación vemos también datos en apoyo del crecimiento. En emergentes es donde la situación es menos cierta.&#13;
&#13;
Han sido así meses positivos para la renta variable, con revalorizaciones por encima del 10% y destacando el mercado español. De cara a los próximos meses, esperamos una mejora de las estimaciones de beneficios centrada en Europa lo que debería de ser impulso para su bolsa, que se comportaría así mejor que la americana. Favorecemos además el mercado japonés, aunque con divisa cubierta. Dentro de la renta fija, esperamos pérdidas centradas en los plazos más largos americanos y alemanes y ganancias entre los periféricos. En nuestra opinión, aún hay potencial en los largos plazos españoles hasta niveles de TIR próximos al 3,7-3,9%, mientras que evitaríamos duración en las curvas de referencia (EE UU, Alemania). Dentro de los bonos corporativos, seguimos prefiriendo posiciones en los periféricos. En cuanto a la renta fija emergente, seguimos sin ver claros catalizadores desde los flujos para una recomendación positiva.&#13;
&#13;
En el semestre la revalorización de la letra española ha sido del 0,6%.&#13;
&#13;
Comentario de gestión&#13;
Ante un escenario de subidas de tipos en Estados Unidos y de mejora de las expectativas en Europa, la estrategia en renta fija ha sido la de reducción de la duración de la cartera, reduciendo el peso en fondos con duraciones largas y la apuesta por fondos con menos exposición a duración y de gestión alternativa de renta fija tales como el Ignis Absolute Return Gov Bond (3,36% del patrimonio), así como fondos que invierten en países periféricos, como España e Italia, tal como el Carmignac Securite (2,49%). También destaca entre el fondo de retorno absoluto centrado en la renta fija M&amp;G Optimal Income con un 4,98%. La principal posición se reserva para un fondo de renta fija defensivo tal como es el Aviva Corto Plazo con un 8,94%.&#13;
&#13;
Se ha cambiado el sesgo de la parte de gestión alternativa de la cartera, eliminando fondos que invierten en volatilidad y apostando por fondos que tienen estrategias de gestión alternativa de renta variable como el BSF European Absolute Return con un 3,49% o el BNY Mellon Absolute Return Equity con un 4,98%.&#13;
&#13;
En cuanto a la renta variable, apostando por una mejora en los mercados europeos y en concreto el Español, sobreponderan estos mercados a través de fondos que invierten en España con el Fidelity Iberia (5,99%)  y Europa con el BGF Euro Markets (8,08%) y por el contrario reducen peso en fondos globales tales como el Mellon LT Global Equity y el CS Global Prestige. También es importante para tomar exposición de forma flexible a los activos de riesgo utilizando fondos como el BGF Global Allocation (8%) o el Carmignac Patrimoine (7,99%).&#13;
&#13;
La rentabilidad a final del semestre ha sido de 3,18% y con una volatilidad media del 3,74%, comparado con la evolución media de las SICAVs y fondos de la casa que ha sido de 8,01%, quedando la rentabilidad de C2 Estrategia Dinámica por debajo de esta media a cierre de año. Con el incremento en el nivel de exposición a la renta variable las expectativas para el 2014 son positivas en un entorno propicio para la buena evolución de este activo. Esta cartera no está referenciada a ningún benchmark. La rentabilidad de la letra a 1 año fue de 0,60% con una volatilidad del 1,62%.&#13;
Por lo que respecta a la operativa en derivados, el fondo no ha llevado a cabo ninguna operativa en el semestre, ni de inversión ni de cobertura.&#13;
 &#13;
En cuanto a fondos estructurados, activos en litigio o activos que incluyan en el artículo 48.1.j, la cartera no posee ninguno.&#13;
 &#13;
El impacto total de los gastos soportados, tanto directos como indirectos no supera lo estipulado en el folleto informativo.&#13;
 &#13;
Respecto a la política general establecida por Inversis Gestion, SA SGIIC, en relación al ejercicio de los derechos políticos inherentes a los valores emitidos por sociedades españolas que integran las carteras, es la de no ejercer el derecho a asistir a las juntas y por tanto tampoco ejercer el derecho de voto, puesto que (i) las inversiones de renta variable son de carácter coyuntural y (ii) por no disponer de un peso lo suficientemente significativo para influir en las votaciones.	&#13;
Para el cumplimiento del límite de exposición total de riesgo de mercado asociada a instrumentos financieros derivados, en la IIC de referencia se aplica la metodología del compromiso, desarrollada en la sección 1ª del capítulo II de la Circular 6/2010 de la CNMV.&#13;
&#13;
A lo largo de todo el período analizado, la IIC ha venido cumpliendo el límite máximo de exposición al riesgo de mercado asociada a instrumentos financieros derivados, no registrándose excesos sobre el límite del patrimonio neto de la IIC que establece dicha Circular.&#13;
En el periodo no han existido costes derivados del servicio de análisis.&#13;
Desde su constitución a finales del periodo anterior el compartimento acumula un patrimonio de 4.604.897,73 euros y 27 partícipes.</iic-com:ExplicacionInformePeriodico>
<iic-com:AdvertenciasCNMV contextRef="FIM_S22013_V-86772951_da">No aplicable.</iic-com:AdvertenciasCNMV>
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<iic-com:DenominacionCompartimento contextRef="FIM_S22013_V-86772951_ia">GESTION BOUTIQUE ALTER ADVISORY RETORNO ABSOLUTO</iic-com:DenominacionCompartimento>
<iic-com:FechaRegistroCompartimiento contextRef="FIM_S22013_V-86772951_ia">2013-06-28</iic-com:FechaRegistroCompartimiento>
<iic-com:NumeroRegistroCompartimento contextRef="FIM_S22013_V-86772951_ia" decimals="0" unitRef="pure">005</iic-com:NumeroRegistroCompartimento>
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<iic-fim:XCode_TipoFIM_08 contextRef="FIM_S22013_V-86772951_ia">08</iic-fim:XCode_TipoFIM_08>
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</iic-com:DistribucionInversionesFinancieras>
<iic-com:OperativaDerivadosPosiciones>
<iic-com:OperativaDerivadosObligacionesRV>
<iic-com:OperativaDerivadosSubyacente contextRef="FIM_S22013_V-86772951_ia">Nasdaq 100</iic-com:OperativaDerivadosSubyacente>
<iic-com:OperativaDerivadosInstrumento contextRef="FIM_S22013_V-86772951_ia">C/ Futuro s/Nasdaq Emini 100 vto. 21/03/14</iic-com:OperativaDerivadosInstrumento>
<iic-com:OperativaDerivadosObligacionesRVImporte contextRef="FIM_S22013_V-86772951_ia" decimals="0" unitRef="euro">2580</iic-com:OperativaDerivadosObligacionesRVImporte>
<iic-com:XCode_OperativaDerivadosObjetivo_02 contextRef="FIM_S22013_V-86772951_ia">02</iic-com:XCode_OperativaDerivadosObjetivo_02>
</iic-com:OperativaDerivadosObligacionesRV>
<iic-com:OperativaDerivadosObligacionesRV>
<iic-com:OperativaDerivadosSubyacente contextRef="FIM_S22013_V-86772951_ia">Ibex 35</iic-com:OperativaDerivadosSubyacente>
<iic-com:OperativaDerivadosInstrumento contextRef="FIM_S22013_V-86772951_ia">C/ Futuro s/Ibex Mini vto. 17/01/2014</iic-com:OperativaDerivadosInstrumento>
<iic-com:OperativaDerivadosObligacionesRVImporte contextRef="FIM_S22013_V-86772951_ia" decimals="0" unitRef="euro">48118</iic-com:OperativaDerivadosObligacionesRVImporte>
<iic-com:XCode_OperativaDerivadosObjetivo_02 contextRef="FIM_S22013_V-86772951_ia">02</iic-com:XCode_OperativaDerivadosObjetivo_02>
</iic-com:OperativaDerivadosObligacionesRV>
<iic-com:OperativaDerivadosObligacionesRV>
<iic-com:OperativaDerivadosSubyacente contextRef="FIM_S22013_V-86772951_ia">DJ Euro Stoxx 50</iic-com:OperativaDerivadosSubyacente>
<iic-com:OperativaDerivadosInstrumento contextRef="FIM_S22013_V-86772951_ia">C/ Futuro s/DJ Euro Stoxx 50 vto 210314</iic-com:OperativaDerivadosInstrumento>
<iic-com:OperativaDerivadosObligacionesRVImporte contextRef="FIM_S22013_V-86772951_ia" decimals="0" unitRef="euro">9121</iic-com:OperativaDerivadosObligacionesRVImporte>
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<iic-com:OperativaDerivadosObligacionesRV>
<iic-com:OperativaDerivadosSubyacente contextRef="FIM_S22013_V-86772951_ia">Nikkei 225</iic-com:OperativaDerivadosSubyacente>
<iic-com:OperativaDerivadosInstrumento contextRef="FIM_S22013_V-86772951_ia">C/ Futuro s/Nikkei 225 CME USD vto 13/03/14</iic-com:OperativaDerivadosInstrumento>
<iic-com:OperativaDerivadosObligacionesRVImporte contextRef="FIM_S22013_V-86772951_ia" decimals="0" unitRef="euro">11832</iic-com:OperativaDerivadosObligacionesRVImporte>
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<iic-com:OperativaDerivadosObligacionesRV>
<iic-com:OperativaDerivadosSubyacente contextRef="FIM_S22013_V-86772951_ia">Standard &amp; Poors 500</iic-com:OperativaDerivadosSubyacente>
<iic-com:OperativaDerivadosInstrumento contextRef="FIM_S22013_V-86772951_ia">C/ Futuro s/S&amp;P Emini 500 vto. 21/03/14</iic-com:OperativaDerivadosInstrumento>
<iic-com:OperativaDerivadosObligacionesRVImporte contextRef="FIM_S22013_V-86772951_ia" decimals="0" unitRef="euro">1322</iic-com:OperativaDerivadosObligacionesRVImporte>
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<iic-com:OperativaDerivadosObligacionesRVImporteTotal contextRef="FIM_S22013_V-86772951_ia" decimals="0" unitRef="euro">72973</iic-com:OperativaDerivadosObligacionesRVImporteTotal>
<iic-com:OperativaDerivadosObligacionesImporteTotal contextRef="FIM_S22013_V-86772951_ia" decimals="0" unitRef="euro">72973</iic-com:OperativaDerivadosObligacionesImporteTotal>
</iic-com:OperativaDerivadosPosiciones>
</iic-fim:InversionesFinancierasFIM>
<iic-fim:HechosRelevantesFIM>
<iic-com-fon:HechoRelevanteSuspensionSuscripciones contextRef="FIM_S22013_V-86772951_da">false</iic-com-fon:HechoRelevanteSuspensionSuscripciones>
<iic-com-fon:HechoRelevanteReanudacionSuscripciones contextRef="FIM_S22013_V-86772951_da">false</iic-com-fon:HechoRelevanteReanudacionSuscripciones>
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<iic-com:HechoRelevanteEndeudamiento contextRef="FIM_S22013_V-86772951_da">false</iic-com:HechoRelevanteEndeudamiento>
<iic-com-fon:HechoRelevanteCambioGestora contextRef="FIM_S22013_V-86772951_da">false</iic-com-fon:HechoRelevanteCambioGestora>
<iic-com-fon:HechoRelevanteCambioDepositaria contextRef="FIM_S22013_V-86772951_da">false</iic-com-fon:HechoRelevanteCambioDepositaria>
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<iic-com:HechoRelevanteCambioEsencial contextRef="FIM_S22013_V-86772951_da">false</iic-com:HechoRelevanteCambioEsencial>
<iic-com-fon:HechoRelevanteAutorizacionFusion contextRef="FIM_S22013_V-86772951_da">false</iic-com-fon:HechoRelevanteAutorizacionFusion>
<iic-com:HechoRelevanteOtros contextRef="FIM_S22013_V-86772951_da">true</iic-com:HechoRelevanteOtros>
</iic-fim:HechosRelevantesFIM>
<iic-com:ExplicacionHechosRelevantes contextRef="FIM_S22013_V-86772951_da">j. Durante el semestre se ha producido la venta del grupo en el que se incluye Inversis Gestión SGIIC, pasando el control a Banca March S.A.             El 31 de octubre de 2013 CNMV verifica y registra la actualización del folleto explicativo de GESTION BOUTIQUE, FI (inscrito en el correspondiente registro de cnmv con el nº 4622) y del documento con los datos fundamentales para el inversor del compartimento GESTION BOUTIQUE/GLOBAL INVESTMENT ALLOCATION al objeto de modificar, respecto del citado compartimento su vocación inversora y su política de inversión, que deja de caracterizarse por la inversión mayoritaria en otras IIC de carácter financiero, elevar la comisión de gestión que pasa a ser mixta sobre patrimonio y resultados, y recoger la revocación del actual contrato de asesoramiento así como la contratación de un nuevo asesor de inversiones.</iic-com:ExplicacionHechosRelevantes>
<iic-fim:OperacionesVinculadasFIM>
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<iic-com:OperacionesVinculadasMismoGrupoDepoGest contextRef="FIM_S22013_V-86772951_da">true</iic-com:OperacionesVinculadasMismoGrupoDepoGest>
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<iic-com:OperacionesVinculadasContrapartidaEnGrupo contextRef="FIM_S22013_V-86772951_da">true</iic-com:OperacionesVinculadasContrapartidaEnGrupo>
<iic-com:OperacionesVinculadasIngresosEnElGrupo contextRef="FIM_S22013_V-86772951_da">false</iic-com:OperacionesVinculadasIngresosEnElGrupo>
<iic-com:OperacionesVinculadasOtros contextRef="FIM_S22013_V-86772951_da">false</iic-com:OperacionesVinculadasOtros>
</iic-fim:OperacionesVinculadasFIM>
<iic-com:AnexoOperacionesVinculadas contextRef="FIM_S22013_V-86772951_da">El compartimento tiene dos partícipes mayoritarios con un 25,28 y un 25,39% del  patrimonio.                                                                                              	 Tanto la Gestora "INVERSIS GESTION, S.A., S.G.I.I.C.", como el Depositario "BANCO INVERSIS  S.A.", pertenecen al grupo INVERSIS, y están plenamente integrados en el mismo,aunque observan rigurosamente las disposiciones legales vigentes sobre incompatibilidades.		&#13;
		&#13;
	De acuerdo con el art. 55.2 del R.D. 1393/1990, de 2 de Noviembre, la Sociedad Gestora y el Depositario han adoptado las siguientes normas de separación, a fin de garantizar su funcionamiento autónomo y prevenir posibles conflictos de intereses:		&#13;
		&#13;
	   a) Inexistencia de Consejeros comunes.	&#13;
	   b) Dirección efectiva de la Sociedad Gestora, por personas independientes del Depositario.	&#13;
	   c) Que en la cartera de la Institución, no haya valores emitidos por el Depositario, que superen el 1% del activo de la Sociedad.	&#13;
	   d) Que la Sociedad Gestora y el Depositario tengan domicilios diferentes y separación física de sus centros de actividad.</iic-com:AnexoOperacionesVinculadas>
<iic-com:ExplicacionInformePeriodico contextRef="FIM_S22013_V-86772951_da">Comentario de mercado&#13;
&#13;
La FED vuelve a ser la principal protagonista de los mercados en la segunda mitad del año. Tras sorprender en septiembre al posponer el comienzo de la retirada de las políticas de estímulo, volvió a hacerlo en diciembre al lanzarse con el inicio del tapering. Justifica la salida desde la mejora macroeconómica y laboral junto a una cuestión fiscal en la que hemos vivido avances políticos hacia finales de año y que deja de ser un freno para el crecimiento. Y más allá del tapering, aleja el objetivo de desempleo del 6,5% como disparador de la subida de tipos, tratando de evitar así que el mercado comenzara a especular con el final de la era de tipos oficiales bajos. &#13;
&#13;
En este tiempo, en Europa, el BCE se ha enfrentado a una economía que, pese a las mejoras esperables de las encuestas, vive un corto plazo de precios bajos y una salida de la recesión poco homogénea. Mientras Alemania despunta con fuerza, y se ve acompañada por los periféricos con menor intensidad, Francia sigue deslizándose en cifras, evidenciando problemas de competitividad. En el semestre vimos una nueva bajada de tipos del BCE y la extensión de las facilidades de liquidez. Por otro lado, Japón sigue avanzando en las mejoras de precios y en algunos indicadores de crecimiento y empleo, estando pendiente de las reformas estructurales y el impacto de la subida en abril del impuesto sobre el consumo. Entre los emergentes, China ha dado señales de estabilización económica, pero tensiones financieras puntuales. El mercado valoró positivamente las próximas reformas del país, pero se antojan lentas. Mientras, Brasil parece controlar ligeramente los precios, aunque persisten las dudas sobre el coste de los tipos altos en materia de crecimiento.&#13;
&#13;
Han sido así meses positivos para la renta variable, con revalorizaciones por encima del 10% y destacando el mercado español, un 25% al alza. De cara a los próximos meses, esperamos una mejora de las estimaciones de beneficios centrada en Europa lo que debería de ser impulso para su bolsa, que se comportaría así mejor que la americana. Favorecemos además el mercado japonés, aunque con divisa cubierta.&#13;
&#13;
En relación con otros activos de riesgo como las divisas, nos fijamos en la debilidad del dólar contra el euro en particular (-6%). De cara a 2014, esperamos que el dólar se aprecie, recogiendo la mejora macro más marcada en EE UU así como un diferencial de tipos de interés favorable a EE UU frente a Europa. &#13;
&#13;
En el semestre la revalorización de la letra española ha sido del 0,6%.&#13;
&#13;
Comentario de gestión&#13;
El compartimento ha comenzado a construir la cartera en la segunda mitad del semestre, tras lo cual su exposición a la renta variable se ha situado en el 40,53% a cierre de año, íntegramente a través de futuros sobre varios índices bursátiles. Sin embargo las posiciones más destacadas en el fondo son las tres IPF que ha contratado con el BBVA, Catalunya Caixa y Banco Espirito Santo que suman un total del 68,19% del capital del fondo, quedando un 31,8% en liquidez.&#13;
&#13;
Por lo que respecta a la operativa en derivados, el fondo ha sido relativamente activo ya que que es su principal fuente de generación de retornos. El 10 de Diciembre se inició la compra de futuros sobre el Euro Stoxx 50 seguido por la compra de 2 futuros del mini Ibex. El 19 de ese mes se doblaron las posiciones en estos futuros y el 23 se incrementó por segunda vez a parte de comprar 1 futuro en cada uno de los índices de renta variable del S&amp;P 500, Nasdaq 100 y Nikkei 225. Todas estas posiciones se han tomado con el objetivo de inversión para obtener exposición a los distintos mercados de renta variable.&#13;
 &#13;
En cuanto a fondos estructurados, activos en litigio o activos que incluyan en el artículo 48.1.j del RD 1082/2012, la cartera no posee ninguno.&#13;
&#13;
La rentabilidad a final del semestre ha sido de -4,22% y con una volatilidad media del 1,39%, comparado con la evolución media de las SICAVs y fondos de la casa que ha sido de 8,01%, quedando la rentabilidad de Alter Advisory por debajo de esta media a cierre de año. Con la exposición que se ha tomado a los distintos índices de renta variable las expectativas del fondo para el 2014 son positivas en un entorno propicio para la buena evolución de este tipo de activo. Esta cartera no está referenciada a ningún benchmark, aunque tiene un objetivo de rentabilidad (no garantizada) de Euribor 12 meses + 700PB. La rentabilidad de la letra a un año fue de 0,60% con una volatilidad del 1,62%.&#13;
 &#13;
El impacto total de los gastos soportados, tanto directos como indirectos no supera lo estipulado en el folleto informativo.&#13;
 &#13;
Respecto a la política general establecida por Inversis Gestion, SA SGIIC, en relación al ejercicio de los derechos políticos inherentes a los valores emitidos por sociedades españolas que integran las carteras, es la de no ejercer el derecho a asistir a las juntas y por tanto tampoco ejercer el derecho de voto, puesto que (i) las inversiones de renta variable son de carácter coyuntural y (ii) por no disponer de un peso lo suficientemente significativo para influir en las votaciones.&#13;
Para el cumplimiento del límite de exposición total de riesgo de mercado asociada a instrumentos financieros derivados, en la IIC de referencia se aplica la metodología del compromiso, desarrollada en la sección 1ª del capítulo II de la Circular 6/2010 de la CNMV.&#13;
&#13;
A lo largo de todo el período analizado, la IIC ha venido cumpliendo el límite máximo de exposición al riesgo de mercado asociada a instrumentos financieros derivados, no registrándose excesos sobre el límite del patrimonio neto de la IIC que establece dicha Circular.&#13;
En el periodo no han existido costes derivados del servicio de análisis.&#13;
Desde su constitución a finales del periodo anterior el compartimento acumula un patrimonio de 794.625,20 euros y 17 partícipes.</iic-com:ExplicacionInformePeriodico>
<iic-com:AdvertenciasCNMV contextRef="FIM_S22013_V-86772951_da">No aplicable.</iic-com:AdvertenciasCNMV>
</iic-fim:DatosFondoCompartimentoFIM>
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<iic-com:DatosGeneralesCompartimento>
<iic-com:DenominacionCompartimento contextRef="FIM_S22013_V-86772951_ia">GESTION BOUTIQUE GINVEST SMART</iic-com:DenominacionCompartimento>
<iic-com:FechaRegistroCompartimiento contextRef="FIM_S22013_V-86772951_ia">2013-06-28</iic-com:FechaRegistroCompartimiento>
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<iic-fim:PoliticaDivisaFIM>
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<iic-fim:XCode_TipoFIM_07 contextRef="FIM_S22013_V-86772951_ia">07</iic-fim:XCode_TipoFIM_07>
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<iic-com:PerfilRiesgo contextRef="FIM_S22013_V-86772951_ia">6 en una escala de 1 a 7</iic-com:PerfilRiesgo>
</iic-fim:CategoriaFIM>
<iic-com:PoliticaInversion contextRef="FIM_S22013_V-86772951_ia">El compartimento invertirá habitualmente entre 60% y 90% en otras IIC financieras, que sean activo apto, armonizadas o no, pertenecientes o no al grupo de la gestora, invirtiendo como máximo un 30% en IIC no armonizadas. Por condiciones de mercado dicho rango podrá situarse entre 50% y 100% del patrimonio</iic-com:PoliticaInversion>
<iic-com:OperativaDerivados contextRef="FIM_S22013_V-86772951_ia">Se podrá operar con instumentos derivados negociados en mercados organizados de derivados con la finalidad de cobertura y de inversión y no negociados en mercados organizados de derivados con la finalidad de cobertura y de inversión.</iic-com:OperativaDerivados>
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</iic-com-fon:DatosGeneralesClase>
<iic-fim:RentabilidadClaseFIM>
<iic-com:RentabilidadIIC contextRef="FIM_S22013_V-86772951_daq" decimals="2" unitRef="pure">1.51</iic-com:RentabilidadIIC>
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<iic-com:InversionesFinancierasPorcentaje contextRef="FIM_S22013_V-86772951_ia" decimals="2" unitRef="pure">1.73</iic-com:InversionesFinancierasPorcentaje>
</iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
<iic-com:InversionesFinancierasPorcentaje contextRef="FIM_S22013_V-86772951_ipp" decimals="2" unitRef="pure">0.00</iic-com:InversionesFinancierasPorcentaje>
</iic-com:InversionesFinancierasImporte>
</iic-com:InversionesFinancierasIIC>
<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">LU0557861274</iic-com:CodigoISIN>
<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S22013_V-86772951_ia">PARTICIPACIONES|Amundi Fds-Bd E HY</iic-com:InversionesFinancierasDescripcion>
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<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ia" decimals="0" unitRef="euro">100324</iic-com:InversionesFinancierasValor>
<iic-com:InversionesFinancierasPorcentaje contextRef="FIM_S22013_V-86772951_ia" decimals="2" unitRef="pure">4.83</iic-com:InversionesFinancierasPorcentaje>
</iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
<iic-com:InversionesFinancierasPorcentaje contextRef="FIM_S22013_V-86772951_ipp" decimals="2" unitRef="pure">0.00</iic-com:InversionesFinancierasPorcentaje>
</iic-com:InversionesFinancierasImporte>
</iic-com:InversionesFinancierasIIC>
<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">LU0270904781</iic-com:CodigoISIN>
<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S22013_V-86772951_ia">PARTICIPACIONES|Pictet Funds Water</iic-com:InversionesFinancierasDescripcion>
<dgi-lc-int:Xcode_ISO4217.EUR contextRef="FIM_S22013_V-86772951_da">EUR</dgi-lc-int:Xcode_ISO4217.EUR>
<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ia" decimals="0" unitRef="euro">33706</iic-com:InversionesFinancierasValor>
<iic-com:InversionesFinancierasPorcentaje contextRef="FIM_S22013_V-86772951_ia" decimals="2" unitRef="pure">1.62</iic-com:InversionesFinancierasPorcentaje>
</iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
<iic-com:InversionesFinancierasPorcentaje contextRef="FIM_S22013_V-86772951_ipp" decimals="2" unitRef="pure">0.00</iic-com:InversionesFinancierasPorcentaje>
</iic-com:InversionesFinancierasImporte>
</iic-com:InversionesFinancierasIIC>
<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">IE00B0PVDG43</iic-com:CodigoISIN>
<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S22013_V-86772951_ia">PARTICIPACIONES|Brown Advisory US Eq</iic-com:InversionesFinancierasDescripcion>
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<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ia" decimals="0" unitRef="euro">51483</iic-com:InversionesFinancierasValor>
<iic-com:InversionesFinancierasPorcentaje contextRef="FIM_S22013_V-86772951_ia" decimals="2" unitRef="pure">2.48</iic-com:InversionesFinancierasPorcentaje>
</iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
<iic-com:InversionesFinancierasPorcentaje contextRef="FIM_S22013_V-86772951_ipp" decimals="2" unitRef="pure">0.00</iic-com:InversionesFinancierasPorcentaje>
</iic-com:InversionesFinancierasImporte>
</iic-com:InversionesFinancierasIIC>
<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">GB0030939226</iic-com:CodigoISIN>
<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S22013_V-86772951_ia">PARTICIPACIONES|Parts. M&amp;G South Eas</iic-com:InversionesFinancierasDescripcion>
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<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ia" decimals="0" unitRef="euro">33495</iic-com:InversionesFinancierasValor>
<iic-com:InversionesFinancierasPorcentaje contextRef="FIM_S22013_V-86772951_ia" decimals="2" unitRef="pure">1.61</iic-com:InversionesFinancierasPorcentaje>
</iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
<iic-com:InversionesFinancierasPorcentaje contextRef="FIM_S22013_V-86772951_ipp" decimals="2" unitRef="pure">0.00</iic-com:InversionesFinancierasPorcentaje>
</iic-com:InversionesFinancierasImporte>
</iic-com:InversionesFinancierasIIC>
<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">LU0303816705</iic-com:CodigoISIN>
<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S22013_V-86772951_ia">PARTICIPACIONES|Fidelity FDS-Emea-A</iic-com:InversionesFinancierasDescripcion>
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<iic-com:InversionesFinancierasImporte>
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<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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</iic-com:InversionesFinancierasImporte>
</iic-com:InversionesFinancierasIIC>
<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">LU0316465888</iic-com:CodigoISIN>
<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S22013_V-86772951_ia">PARTICIPACIONES|Schroder Intl</iic-com:InversionesFinancierasDescripcion>
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<iic-com:InversionesFinancierasImporte>
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</iic-com:InversionesFinancierasImporte>
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<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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</iic-com:InversionesFinancierasImporte>
</iic-com:InversionesFinancierasIIC>
<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">GB0030810138</iic-com:CodigoISIN>
<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S22013_V-86772951_ia">PARTICIPACIONES|Threadneedle EU</iic-com:InversionesFinancierasDescripcion>
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<iic-com:InversionesFinancierasImporte>
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<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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</iic-com:InversionesFinancierasImporte>
</iic-com:InversionesFinancierasIIC>
<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">GB00B78PHS29</iic-com:CodigoISIN>
<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S22013_V-86772951_ia">PARTICIPACIONES|M&amp;G Global Macro Bon</iic-com:InversionesFinancierasDescripcion>
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<iic-com:InversionesFinancierasImporte>
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<iic-com:InversionesFinancierasPorcentaje contextRef="FIM_S22013_V-86772951_ia" decimals="2" unitRef="pure">2.61</iic-com:InversionesFinancierasPorcentaje>
</iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
<iic-com:InversionesFinancierasPorcentaje contextRef="FIM_S22013_V-86772951_ipp" decimals="2" unitRef="pure">0.00</iic-com:InversionesFinancierasPorcentaje>
</iic-com:InversionesFinancierasImporte>
</iic-com:InversionesFinancierasIIC>
<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">LU0612891514</iic-com:CodigoISIN>
<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S22013_V-86772951_ia">PARTICIPACIONES|Ignis Absolute Retur</iic-com:InversionesFinancierasDescripcion>
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<iic-com:InversionesFinancierasImporte>
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</iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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</iic-com:InversionesFinancierasImporte>
</iic-com:InversionesFinancierasIIC>
<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">LU0235308482</iic-com:CodigoISIN>
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<iic-com:InversionesFinancierasImporte>
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</iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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</iic-com:InversionesFinancierasImporte>
</iic-com:InversionesFinancierasIIC>
<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">LU0231459107</iic-com:CodigoISIN>
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<iic-com:InversionesFinancierasImporte>
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<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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</iic-com:InversionesFinancierasIIC>
<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">GB00B0MY6Z69</iic-com:CodigoISIN>
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</iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
<iic-com:InversionesFinancierasPorcentaje contextRef="FIM_S22013_V-86772951_ipp" decimals="2" unitRef="pure">0.00</iic-com:InversionesFinancierasPorcentaje>
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</iic-com:InversionesFinancierasIIC>
<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">LU0236737465</iic-com:CodigoISIN>
<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S22013_V-86772951_ia">PARTICIPACIONES|Schroder Japanese A</iic-com:InversionesFinancierasDescripcion>
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<iic-com:InversionesFinancierasImporte>
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<iic-com:InversionesFinancierasPorcentaje contextRef="FIM_S22013_V-86772951_ia" decimals="2" unitRef="pure">2.20</iic-com:InversionesFinancierasPorcentaje>
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<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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<iic-com:InversionesFinancierasIIC>
<iic-com:CodigoISIN contextRef="FIM_S22013_V-86772951_ia">FR0010107953</iic-com:CodigoISIN>
<iic-com:InversionesFinancierasDescripcion contextRef="FIM_S22013_V-86772951_ia">PARTICIPACIONES|LFP Europe Impact Em</iic-com:InversionesFinancierasDescripcion>
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<iic-com:InversionesFinancierasPorcentaje contextRef="FIM_S22013_V-86772951_ia" decimals="2" unitRef="pure">4.38</iic-com:InversionesFinancierasPorcentaje>
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<iic-com:InversionesFinancierasImporte>
<iic-com:InversionesFinancierasValor contextRef="FIM_S22013_V-86772951_ipp" decimals="0" unitRef="euro">0</iic-com:InversionesFinancierasValor>
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</iic-com:InversionesFinancierasImporte>
</iic-com:InversionesFinancierasIIC>
<iic-com:InversionesFinancierasIIC>
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<iic-com:ExplicacionHechosRelevantes contextRef="FIM_S22013_V-86772951_da">j. Durante el semestre se ha producido la venta del grupo en el que se incluye Inversis Gestión SGIIC, pasando el control a Banca March S.A.</iic-com:ExplicacionHechosRelevantes>
<iic-fim:OperacionesVinculadasFIM>
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<iic-com:AnexoOperacionesVinculadas contextRef="FIM_S22013_V-86772951_da">El compartimento tiene un partícipe mayoritario que supone el 30,60% del patrimonio.                                                                                              	 Tanto la Gestora "INVERSIS GESTION, S.A., S.G.I.I.C.", como el Depositario "BANCO INVERSIS  S.A.", pertenecen al grupo INVERSIS, y están plenamente integrados en el mismo,aunque observan rigurosamente las disposiciones legales vigentes sobre incompatibilidades.		&#13;
		&#13;
	De acuerdo con el art. 55.2 del R.D. 1393/1990, de 2 de Noviembre, la Sociedad Gestora y el Depositario han adoptado las siguientes normas de separación, a fin de garantizar su funcionamiento autónomo y prevenir posibles conflictos de intereses:		&#13;
		&#13;
	   a) Inexistencia de Consejeros comunes.	&#13;
	   b) Dirección efectiva de la Sociedad Gestora, por personas independientes del Depositario.	&#13;
	   c) Que en la cartera de la Institución, no haya valores emitidos por el Depositario, que superen el 1% del activo de la Sociedad.	&#13;
	   d) Que la Sociedad Gestora y el Depositario tengan domicilios diferentes y separación física de sus centros de actividad.	&#13;
		                                                                                                                                                                                                                                         g) Se ha percibido 1908,31 euros en concepto de retrocesiones</iic-com:AnexoOperacionesVinculadas>
<iic-com:ExplicacionInformePeriodico contextRef="FIM_S22013_V-86772951_da">Comentario de mercado&#13;
&#13;
La FED vuelve a ser la principal protagonista de los mercados en la segunda mitad del año. Tras sorprender en septiembre al posponer el comienzo de la retirada de las políticas de estímulo, volvió a hacerlo en diciembre al lanzarse con el inicio del tapering. Justifica la salida desde la mejora macroeconómica y laboral junto a una cuestión fiscal en la que hemos vivido avances políticos hacia finales de año y que deja de ser un freno para el crecimiento. Y más allá del tapering, aleja el objetivo de desempleo del 6,5% como disparador de la subida de tipos, tratando de evitar así que el mercado comenzara a especular con el final de la era de tipos oficiales bajos. &#13;
&#13;
En este tiempo, en Europa, el BCE se ha enfrentado a una economía que, pese a las mejoras esperables de las encuestas, vive un corto plazo de precios bajos y una salida de la recesión poco homogénea. Mientras Alemania despunta con fuerza, y se ve acompañada por los periféricos con menor intensidad, Francia sigue deslizándose en cifras, evidenciando problemas de competitividad. En el semestre vimos una nueva bajada de tipos del BCE y la extensión de las facilidades de liquidez. Por otro lado, Japón sigue avanzando en las mejoras de precios y en algunos indicadores de crecimiento y empleo, estando pendiente de las reformas estructurales y el impacto de la subida en abril del impuesto sobre el consumo. Entre los emergentes, China ha dado señales de estabilización económica, pero tensiones financieras puntuales. El mercado valoró positivamente las próximas reformas del país, pero se antojan lentas. Mientras, Brasil parece controlar ligeramente los precios, aunque persisten las dudas sobre el coste de los tipos altos en materia de crecimiento.&#13;
&#13;
Han sido así meses positivos para la renta variable, con revalorizaciones por encima del 10% y destacando el mercado español, un 25% al alza. De cara a los próximos meses, esperamos una mejora de las estimaciones de beneficios centrada en Europa lo que debería de ser impulso para su bolsa, que se comportaría así mejor que la americana. Favorecemos además el mercado japonés, aunque con divisa cubierta.&#13;
&#13;
En relación con otros activos de riesgo como las divisas, nos fijamos en la debilidad del dólar contra el euro en particular (-6%). De cara a 2014, esperamos que el dólar se aprecie, recogiendo la mejora macro más marcada en EE UU así como un diferencial de tipos de interés favorable a EE UU frente a Europa. &#13;
&#13;
En el semestre la revalorización de la letra española ha sido del 0,6%.&#13;
&#13;
Comentario de gestión&#13;
A lo largo de este tercer trimestre del año se ha iniciado la implementación de la cartera. &#13;
 Si bien la intención inicial de los gestores es mantener un equilibrio entre activos de renta fija y de renta variable, se ha preferido mantener infraponderada la exposición a renta fija a favor de liquidez e ir incrementando los activos referenciados a la renta variable para acabar el año por en encima del 55%.&#13;
&#13;
A nivel de diversificación, en la parte de renta variable se ha optado por sobreponderar Europa (25%) frente a Estados Unidos (17%) e incrementar progresivamente la exposición al mercado Japones hasta un 11%. Sin embargo lo que destaca más es su fuerte exposición a los mercados emergentes en general con un 48% sobre el total de la renta variable, con fondos como el HSBC Korean Equity. En los mercados desarrollados destacan fondos como el Alken European Opp y el T Rowe Price US Large Cap. Se completan con fondos globales como el Bestinver Internacional o de retorno absoluto como el BNY Absolute Return Equity.&#13;
&#13;
Por último, sectorialmente se ha incorporado el Pictet Security en el sector de la seguridad y un ETF de mineras del oro como es el Market Vectors Gold Miners tras las fuertes caídas en este tipo de empresas.&#13;
&#13;
A pesar de todo, las posiciones más destacadas del fondo corresponden a fondos de renta fija donde se ha optado por seleccionar productos globales, que incorporen en su actividad la gestión activa de la divisa, con fondos como el Amundi Global Aggregate con un 4,83% M&amp;G Global Macro Bond (2,61%) o el Templeton Global Bond (2,78%). En la parte más defensiva se ha incorporado el Gesconsult Corto plazo como el activo con mayor peso en el fondo (5,47%), y como elemento descorrelacionador el LFP Protectaux (4,38%).&#13;
&#13;
La rentabilidad a final del semestre ha sido de 1,49% y con una volatilidad media del 4,17%, comparado con la evolución media de las SICAVs y fondos de la casa que ha sido de 8,01%, quedando la rentabilidad de Ginvest Smart por debajo de esta media a cierre de año. Con el incremento en el nivel de exposición a la renta variable las expectativas para el 2014 son positivas en un entorno propicio para la buena evolución de este activo. Esta cartera no está referenciada a ningún benchmark. La rentabilidad de la letra a 1 año fue de 0,60% con una volatilidad del 1,62%.&#13;
&#13;
Por lo que respecta a la operativa en derivados, el fondo no ha llevado a cabo ninguna operativa en el semestre, ni de inversión ni de cobertura.&#13;
 &#13;
En cuanto a fondos estructurados, activos en litigio o activos que incluyan en el artículo 48.1.j del RD 1082/2012, la cartera no posee ninguno.&#13;
 &#13;
El impacto total de los gastos soportados, tanto directos como indirectos no supera lo estipulado en el folleto informativo.&#13;
 &#13;
Respecto a la política general establecida por Inversis Gestion, SA SGIIC, en relación al ejercicio de los derechos políticos inherentes a los valores emitidos por sociedades españolas que integran las carteras, es la de no ejercer el derecho a asistir a las juntas y por tanto tampoco ejercer el derecho de voto, puesto que (i) las inversiones de renta variable son de carácter coyuntural y (ii) por no disponer de un peso lo suficientemente significativo para influir en las votaciones&#13;
Para el cumplimiento del límite de exposición total de riesgo de mercado asociada a instrumentos financieros derivados, en la IIC de referencia se aplica la metodología del compromiso, desarrollada en la sección 1ª del capítulo II de la Circular 6/2010 de la CNMV.&#13;
&#13;
A lo largo de todo el período analizado, la IIC ha venido cumpliendo el límite máximo de exposición al riesgo de mercado asociada a instrumentos financieros derivados, no registrándose excesos sobre el límite del patrimonio neto de la IIC que establece dicha Circular.&#13;
En el periodo no han existido costes derivados del servicio de análisis.&#13;
Desde su constitución a finales del periodo anterior el compartimento acumula un patrimonio de 2.076.153,82 euros y 33 partícipes.</iic-com:ExplicacionInformePeriodico>
<iic-com:AdvertenciasCNMV contextRef="FIM_S22013_V-86772951_da">No aplicable.</iic-com:AdvertenciasCNMV>
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</iic-fim:InformeFIM>
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<iic-ges:ComparativaVocacionMixtoInternacionalRentabilidad contextRef="FIM_S22013_V-86772951_da" decimals="2" unitRef="pure">2.80</iic-ges:ComparativaVocacionMixtoInternacionalRentabilidad>
<iic-ges:ComparativaVocacionRentaVariableMixtaEuroPatrimonio contextRef="FIM_S22013_V-86772951_da" decimals="0" unitRef="euro">4827612</iic-ges:ComparativaVocacionRentaVariableMixtaEuroPatrimonio>
<iic-ges:ComparativaVocacionRentaVariableMixtaEuroParticipes contextRef="FIM_S22013_V-86772951_da" decimals="0" unitRef="pure">151</iic-ges:ComparativaVocacionRentaVariableMixtaEuroParticipes>
<iic-ges:ComparativaVocacionRentaVariableMixtaEuroRentabilidad contextRef="FIM_S22013_V-86772951_da" decimals="2" unitRef="pure">-0.04</iic-ges:ComparativaVocacionRentaVariableMixtaEuroRentabilidad>
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<iic-ges:ComparativaVocacionRentaVariableMixtaInternacionalRentabilidad contextRef="FIM_S22013_V-86772951_da" decimals="2" unitRef="pure">4.67</iic-ges:ComparativaVocacionRentaVariableMixtaInternacionalRentabilidad>
<iic-ges:ComparativaVocacionRentaVariableEuroPatrimonio contextRef="FIM_S22013_V-86772951_da" decimals="0" unitRef="euro">0</iic-ges:ComparativaVocacionRentaVariableEuroPatrimonio>
<iic-ges:ComparativaVocacionRentaVariableEuroParticipes contextRef="FIM_S22013_V-86772951_da" decimals="0" unitRef="pure">0</iic-ges:ComparativaVocacionRentaVariableEuroParticipes>
<iic-ges:ComparativaVocacionRentaVariableEuroRentabilidad contextRef="FIM_S22013_V-86772951_da" decimals="2" unitRef="pure">0.00</iic-ges:ComparativaVocacionRentaVariableEuroRentabilidad>
<iic-ges:ComparativaVocacionRentaVariableInternacionalPatrimonio contextRef="FIM_S22013_V-86772951_da" decimals="0" unitRef="euro">0</iic-ges:ComparativaVocacionRentaVariableInternacionalPatrimonio>
<iic-ges:ComparativaVocacionRentaVariableInternacionalParticipes contextRef="FIM_S22013_V-86772951_da" decimals="0" unitRef="pure">0</iic-ges:ComparativaVocacionRentaVariableInternacionalParticipes>
<iic-ges:ComparativaVocacionRentaVariableInternacionalRentabilidad contextRef="FIM_S22013_V-86772951_da" decimals="2" unitRef="pure">0.00</iic-ges:ComparativaVocacionRentaVariableInternacionalRentabilidad>
<iic-ges:ComparativaVocacionIICGestionReferenciadaPatrimonio contextRef="FIM_S22013_V-86772951_da" decimals="0" unitRef="euro">0</iic-ges:ComparativaVocacionIICGestionReferenciadaPatrimonio>
<iic-ges:ComparativaVocacionIICGestionReferenciadaParticipes contextRef="FIM_S22013_V-86772951_da" decimals="0" unitRef="pure">0</iic-ges:ComparativaVocacionIICGestionReferenciadaParticipes>
<iic-ges:ComparativaVocacionIICGestionReferenciadaRentabilidad contextRef="FIM_S22013_V-86772951_da" decimals="2" unitRef="pure">0.00</iic-ges:ComparativaVocacionIICGestionReferenciadaRentabilidad>
<iic-ges:ComparativaVocacionGarantizadoRendimientoFijoPatrimonio contextRef="FIM_S22013_V-86772951_da" decimals="0" unitRef="euro">0</iic-ges:ComparativaVocacionGarantizadoRendimientoFijoPatrimonio>
<iic-ges:ComparativaVocacionGarantizadoRendimientoFijoParticipes contextRef="FIM_S22013_V-86772951_da" decimals="0" unitRef="pure">0</iic-ges:ComparativaVocacionGarantizadoRendimientoFijoParticipes>
<iic-ges:ComparativaVocacionGarantizadoRendimientoFijoRentabilidad contextRef="FIM_S22013_V-86772951_da" decimals="2" unitRef="pure">0.00</iic-ges:ComparativaVocacionGarantizadoRendimientoFijoRentabilidad>
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<iic-ges:ComparativaVocacionGarantizadoRendimientoVariableParticipes contextRef="FIM_S22013_V-86772951_da" decimals="0" unitRef="pure">0</iic-ges:ComparativaVocacionGarantizadoRendimientoVariableParticipes>
<iic-ges:ComparativaVocacionGarantizadoRendimientoVariableRentabilidad contextRef="FIM_S22013_V-86772951_da" decimals="2" unitRef="pure">0.00</iic-ges:ComparativaVocacionGarantizadoRendimientoVariableRentabilidad>
<iic-ges:ComparativaVocacionGarantiaParcialPatrimonio contextRef="FIM_S22013_V-86772951_da" decimals="0" unitRef="euro">0</iic-ges:ComparativaVocacionGarantiaParcialPatrimonio>
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<iic-ges:ComparativaVocacionGarantiaParcialRentabilidad contextRef="FIM_S22013_V-86772951_da" decimals="2" unitRef="pure">0.00</iic-ges:ComparativaVocacionGarantiaParcialRentabilidad>
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<iic-ges:ComparativaVocacionGlobalParticipes contextRef="FIM_S22013_V-86772951_da" decimals="0" unitRef="pure">4271</iic-ges:ComparativaVocacionGlobalParticipes>
<iic-ges:ComparativaVocacionGlobalRentabilidad contextRef="FIM_S22013_V-86772951_da" decimals="2" unitRef="pure">5.27</iic-ges:ComparativaVocacionGlobalRentabilidad>
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<iic-ges:ComparativaVocacionTotalParticipes contextRef="FIM_S22013_V-86772951_da" decimals="0" unitRef="pure">5313</iic-ges:ComparativaVocacionTotalParticipes>
<iic-ges:ComparativaVocacionTotalRentabilidad contextRef="FIM_S22013_V-86772951_da" decimals="2" unitRef="pure">5.10</iic-ges:ComparativaVocacionTotalRentabilidad>
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