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      <iic-com:AnexoOperacionesVinculadas contextRef="SIC_S12024_A82589573_da">Existen dos accionistas con participación superior al 5% en la SICAV:  11,14% (2192357,65) y 10,18% (2003413,50)

Los Repos del periodo han sido contratados con el depositario. El importe del total compras y ventas del periodo del informe, así como su porcentaje sobre el patrimonio medio del fondo es el siguiente:
Total Compras: 380250000 euros (10,66%)
Total Venta: 380306424,1 euros (10,66%)
</iic-com:AnexoOperacionesVinculadas>
      <iic-com:ExplicacionInformePeriodico contextRef="SIC_S12024_A82589573_da">1. SITUACION DE LOS MERCADOS Y EVOLUCIÓN DEL FONDO.

a) Visión de la gestora/sociedad sobre la situación de los mercados.

El 2024 vuelve a arrancar en positivo para los activos de riesgo con buenos resultados en las principales bolsas mundiales durante el primer semestre. El crecimiento económico y los datos de inflación, que han sido más altos de lo esperado, han provocado un reseteo de las expectativas de bajadas de tipos y los mercados de renta fija han tenido un inicio de año algo más volátil. Aun así, hemos visto en junio la primera bajada de tipos por parte del Banco Central Europeo y quedamos a la espera de que la Reserva Federal pueda bajar los tipos en algún momento después del verano. Por otro lado, el año está marcado por los eventos políticos, donde cerca de la mitad de la población mundial va a acudir a las urnas. A cierre de semestre, el presidente Mody ha salido reelegido en India, en Taiwan hemos visto un cambio de tendencia y más hacia finales del semestre hemos tenido elecciones europeas. El auge del partido de extrema derecha de Le Pen motivaba a Macron a un adelanto de elecciones legislativas en Francia, provocando algo de incertidumbre en los mercados europeos.  A partir de ahora el foco empezará a estar centrado en las elecciones americanas, que se celebrarán en la primera semana de noviembre.

En renta variable, el índice mundial sube en el primer semestre un 12,48% en moneda local, un 14,21% medido en euros. El S&amp;P 500 ha subido un 18,20% en el semestre en euros, impulsado principalmente por el rendimiento de Microsoft y Nvidia que, junto con Apple, representan casi el 21% del índice. Esta concentración de pocas compañías, particularmente las relacionadas con la inteligencia artificial, ha llevado al índice a niveles históricos de concentración, con las 10 mayores compañías alcanzando un peso conjunto del 34%. El Nasdaq lidera las rentabilidades y cierra con una subida del 21,96% medida en euros y el Dow Jones se queda más atrás con una subida del 7,16% en euros. En Europa, las rentabilidades han sido algo menores, el MSCI Europe sube un 6,90% en el semestre. El Eurostoxx 50 cierra este semestre con un avance del 8,24%. Japón gana un 20,12% en moneda local, aunque en euros se reduce a un 8,50% por la depreciación del yen. Los países emergentes avanzan en línea con el resto de las regiones, subiendo un 9,36% en euros.

Desde el punto de vista de estilos, el growth queda como claro ganador al avanzar un 20,55%, mientras que el value sube un 8,22%, ambos en euros. A nivel sectorial, todos los sectores cierran el semestre en positivo, aunque hay dos sectores que destacan por su crecimiento: tecnología subiendo un 28,8% y comunicaciones ganando un 25,63% en euros gracias a empresas como Meta y Alphabet. Por otro lado, tenemos muy buenos rendimiento de los bancos, la salud, la energía e industriales con subidas del 11,99%, 10,65%, 10,05% y 9,82% respectivamente. El consumo discrecional ha subido un 7,02% liderado por las subidas de Amazon. Las utilities y el consumo básico, se quedan algo rezagados y suben un 6,22% y 5,54% respectivamente. Por último, el sector que se queda atrás es son los materiales con subidas del 1,73%.

En renta fija, ha sido un semestre difícil para la duración. Empezábamos el año con unas fuertes expectativas de bajadas de tipos tanto en Estados Unidos como en Europa, pero los buenos datos macroeconómicos y una inflación algo más alta de lo que se esperaba ha provocado que en Estados Unidos se espere entre uno y dos recortes en 2024 y en Europa uno o dos más, después de haber bajado en junio. Tanto el bono de gobierno americano como el europeo han experimentado subidas de la TIR, pasando del 3,87% al 4,39% y del 2,02% al 2,50%, respectivamente. Así, en el semestre el bono de gobierno americano ha tenido una rentabilidad negativa del 1,58% y el alemán del 2,38%, ambos en moneda local.

En deuda corporativa, el comportamiento ha sido casi plano en el crédito de mayor calidad gracias a su menor duración y a tener un mayor carry. Estados Unidos se ha quedado atrás bajando 0,49% mientras que en Europa ha subido un 0,30%. En la deuda de alto rendimiento, la menor sensibilidad a tipos y el estrechamiento de los diferenciales de crédito ha hecho que tenga un buen comportamiento en el semestre. En Estados Unidos el high yield acabo subiendo un 2,58% y Europa un 3,23%. Por último, la deuda emergente acaba con subidas en moneda fuerte pero en negativo en moneda local.
            
En cuanto a datos macro, la inflación en la zona euro baja en junio hasta el 2,5% desde el 2,9% en la que empezaba el año. Además, la tasa subyacente cae cinco décimas del 3,4% al 2,9%. En Estados Unidos, el dato de inflación de mayo se sitúa en el 3,3%, mientras que la subyacente se modera hasta el 3,4%. 

En cuanto a las materias primas, el oro cierra el semestre, de nuevo, en máximos históricos, subiendo 12,93% y se sitúa en 2339 dólares/onza. El petróleo (Brent) se recupera este semestre con una subida del 12,16%, situándose en los 86,41 dólares/barril. En divisas, en el acumulado del año, el euro se deprecia un 2,95% frente al dólar, mientras que se aprecia un 9,83% frente al JPY.

b) Decisiones generales de inversión adoptadas.

El nivel exposición a renta variable ha subido ligeramente al 27% desde un 24,5% a cierre de semestre. Que llega hasta un 32% si contabilizamos los futuros abiertos sobre el S&amp;P 500 y el Eurostoxx. En renta fija, se ha mantenido la duración media de la cartera de bonos en los entornos de 2,3. En divisas, se ha aumentado la exposición a USD en la cartera hasta un 6,13% del patrimonio.

c) Índice de referencia.

El índice de referencia indicado en el folleto se utiliza en términos meramente informativos o comparativos, esto es, sin condicionar la actuación del gestor.

d) Evolución del Patrimonio, participes, rentabilidad y gastos de la IIC.

El número de accionistas a cierre de semestre es de 109, lo que supone una ligera reducción desde los 113 a cierre del periodo anterior. El patrimonio al final del primer semestre de 2024 se encuentra en 19.684 miles de euros.

Los movimientos al alza en los mercados de renta variable y renta fija situa la rentabilidad acumulada en el segundo semestre de un 2,40%.

Los gastos totales soportados por la SICAV acumulados a cierre de diciembre han sido de un 0,71% sobre el patrimonio.

e) Rendimiento del fondo en comparación con el resto de fondos de la gestora.

El comportamiento de la Sociedad ha sido razonable, parecido en términos de rentabilidad al de productos similares dentro de la gestora.

2. INFORMACION SOBRE LAS INVERSIONES.

a) Inversiones concretas realizadas durante el periodo.

Las principales operaciones durante el semestre han sido la de aprovechar las oportunidades que este entorno ha permitido comprar bonos corporativos con rentabilidades más atractivas para el tenedor a través de emsisiones de Intel 3,75% 2029, Sabadell Perp, Anlgo American 4,75% 2032 entre otros, además de pagarés con vencimiento en la segunda parte del año 2024 y letras del estado español. Además, en cuanto al movimiento en IICs de renta fija se ha abierto una posicion en el fondo Arcano Low Volatility European Income.  En la parte de renta variable, se ha aumentado posición en el ETF Ishares MSCI World Eur Hedged. El nivel de liquidez permanece cercano al 20%. Se han comprado calls para tener una exposicion al mercado si este siguiera subiendo.

Las principales posiciones en IICs de renta variable son ETF Eurostoxx 50, S&amp;P 500 ESG, Seilern World Growth y S&amp;P 500 Equal Weight. Por el lado de las acciones en directo las principales posiciones son Deutsche Bank, Cellnex, E.ON y Allianz.

b) Operativa de préstamo de valores.

N/A

c) Operativa en derivados y adquisición temporal de activos.

El apalancamiento medio de la Sociedad es de 20,43%. Durante el semestre se han realizado operaciones con derivados con la finalidad de cobertura y/o inversión. El objetivo de dichas operaciones es mantener la volatilidad controlada con el fin de maximizar la rentabilidad y hacer un uso más controlado de la liquidez. En el segundo semestre las operaciones de mayor relevancia se han realizado sobre los índices Eurostoxx 50 y S&amp;P 500. De manera estructural se hace uso de futuros para cubrir el riesgo divisa EURUSD.

d) Otra información sobre inversiones.

A fecha del informe la IIC mantiene las siguientes inversiones dudosas, morosas o en litigio: un 0,001% del patrimonio en el activo XS1978209002 - ABENGOA ABENEWCO TWO 1,5% 26/04/2024, y un 0,001% del patrimonio en el activo XS1978210273 - ABENGOA ABENEWCO TWO 1,5% 26/04/2024, que por sus características podrían presentar problemas de liquidez.

3. EVOLUCION DEL OBJETIVO CONCRETO DE RENTABILIDAD.

N/A

4. RIESGO ASUMIDO POR EL FONDO.

N/A

5. EJERCICIO DERECHOS POLITICOS.

Como regla general, ABANTE ASESORES GESTIÓN SGIIC, S.A. delegará su derecho de asistencia y voto a las Juntas Generales de las sociedades, en el Presidente del Consejo de Administración o de otro miembro de dicho órgano, sin indicación del sentido del voto. No obstante, cuando Abante Asesores Gestión SGIIC lo considere oportuno para la mejor defensa de los derechos de los partícipes, asistirá a las Juntas Generales y ejercitará el voto en beneficio exclusivo de dichos partícipes. En todo caso, Abante Asesores Gestión SGIIC ejercerá los derechos políticos siempre y cuando el emisor sea una sociedad española, la participación tuviera una antigüedad superior a 12 meses y que la participación 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.

N/A

9. COMPARTIMENTOS DE PROPOSITO ESPECIAL (SIDE POCKETS).

N/A

10. PERSPECTIVAS DE MERCADO Y ACTUACION PREVISIBLE DEL FONDO.

Es previsible que la presión en precios se suavice en los próximos meses y la atención se centre en el crecimiento económico. Ante esta perspectiva, y teniendo en cuenta las actuales rentabildades ofrecidas por los bonos el objetivo es reducir la liquidez desde un nivel cercano al 20% a un nivel de un  10% con inversión en bonos y pagarés con TIR&gt;4%

Los costes de transacción del año 2024 ascendieron a un 0,09% del patrimonio medio de la IIC.
</iic-com:ExplicacionInformePeriodico>
      <iic-com:AdvertenciasCNMV contextRef="SIC_S12024_A82589573_da">N/A</iic-com:AdvertenciasCNMV>
      <iic-com:InformacionPoliticaRemuneracion contextRef="SIC_S12024_A82589573_da">N/A</iic-com:InformacionPoliticaRemuneracion>
      <iic-com:InformacionReglamentoUE_2015_2365 contextRef="SIC_S12024_A82589573_da">N/A</iic-com:InformacionReglamentoUE_2015_2365>
    </iic-sic:DatosFondoCompartimentoSICAV>
  </iic-sic:InformeSICAV>
</xbrli:xbrl>