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<iic-com-fon:RentabilidadMaximaValor contextRef="FIM_S12015_V-65764581_dpy" decimals="2" unitRef="pure">1.95</iic-com-fon:RentabilidadMaximaValor>
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<iic-com-fon:RentabilidadMaximaFecha contextRef="FIM_S12015_V-65764581_dpy">2015-01-08</iic-com-fon:RentabilidadMaximaFecha>
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<iic-com:ExplicacionHechosRelevantes contextRef="FIM_S12015_V-65764581_da">ap.j.  02/01/2015 - Oferta promocional por suscripción y/o traspasos.&#13;
ap.j.  02/03/2015 - Oferta promocional por suscripción y/o traspasos.&#13;
ap.j.  03/02/2015 - Campaña Promocional IIC.&#13;
ap.j.  04/05/2015 - Oferta promocional por suscripción y/o traspasos.&#13;
ap.j.  08/05/2015 - Campaña promocional IIC.&#13;
ap.j.  15/04/2015 - Campaña promocional IIC.&#13;
ap.g.  28/04/2015 - Cambio de control, pasando a formar parte del Grupo BBVA con la adquisición por parte de BBVA, S.A. de una participación indirecta de control del 100% en CatalunyaCaixa Inversió, S.G.I.I.C., S.A.U.&#13;
ap.g.  28/04/2015 - Cambio de control, pasando a formar parte del Grupo BBVA con la adquisición por parte de BBVA, S.A. de una participación indirecta de control del 100% en CatalunyaCaixa Inversió, S.G.I.I.C., S.A.U.&#13;
ap.g.  29/04/2015 - Cambio de control, pasando a formar parte del Grupo BBVA con la adquisición por parte de BBVA, S.A. de una participación indirecta de control del 100% en CatalunyaCaixa Inversió, S.G.I.I.C., S.A.U.</iic-com:ExplicacionHechosRelevantes>
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<iic-com:AnexoOperacionesVinculadas contextRef="FIM_S12015_V-65764581_da">g. Catalunya Banc SA ha percibido una comisión del 0,07% sobre el patrimonio, por sus funciones como entidad depositaria del fondo.&#13;
h. Durante el periodo el Fondo ha realizado operaciones vinculadas repetitivas o de escasa relevancia, las cuales están sometidas a un procedimiento de autorización simplificado.</iic-com:AnexoOperacionesVinculadas>
<iic-com:ExplicacionInformePeriodico contextRef="FIM_S12015_V-65764581_da">A lo largo del semestre han destacado acontecimientos como la actuación de las diferentes autoridades monetarias, las elecciones en Grecia y las negociaciones posteriores sobre la deuda, la incertidumbre sobre el inicio de la subida de tipos de interés en Estados Unidos o la depreciación del euro, entre otros factores.&#13;
En Estados Unidos la Presidenta de la Reserva Federal estadounidense, Janet Yellen, en su última reunión de Junio cambió ligeramente el tono a la hora de hablar de los tipos de interés respecto a anteriores reuniones, usando la expresión no tener prisa en subir tipos en lugar de paciencia como había hecho hasta la fecha. Pero mucho más determinante fue el mensaje de que el mercado laboral todavía tiene que mejorar, ya que volvió a señalar que una subida de tipos de interés está supeditada a la evolución de la economía. En este sentido, teniendo en cuenta las perspectivas para el segundo tramo del año, pese a la ralentización de la economía de inicios de año, el consumo y una mejora de los datos de ocupación, pueden promover un escenario más favorable para que la Reserva Federal esté dispuesta a iniciar la subida de tipos de forma gradual. &#13;
Respecto a la Eurozona, se confirma la recuperación de la zona, de la mano de la demanda privada y la política monetaria expansiva y va alejando los temores de deflación, siendo Grecia el principal foco de interés, ante las diferentes negociaciones entre el país y los diferentes acreedores internacionales y la falta de acuerdo, que han suscitado frecuentes rumores sobre una posible salida del euro por parte de Grecia.&#13;
Dentro de los mercados emergentes, las autoridades Chinas han tomado medidas como estímulos fiscales, monetarios o rebajas de coeficientes de reservas bancarias con el objetivo de una estabilización de la actividad económica. Latam se posiciona como la zona más rezagada, donde Brasil ha destacado negativamente con un deterioro considerable de su saldo fiscal y un IPC previsto fuera de poder estar controlado por su Banco Central. En relación a la zona EMEA, Turquía se posiciona como el país más vulnerable y Rusia sigue con desequilibrios preocupantes por su alta inflación y su indicador de riesgo-país.&#13;
Este escenario macroeconómico se ha reflejado en el rendimiento del fondo de inversión, si bien mantiene un diferencial respecto a su índice de referencia, indicado en el folleto del fondo, ya que no está indexado al mismo, correspondiendo la diferencia a la selección de valores, la estrategia sectorial, geográfica o de divisa llevada a cabo por el equipo gestor. &#13;
Durante el intervalo descrito el patrimonio de la IIC varió en un 33.375 miles de euros, mientras el número de partícipes lo hizo en 1.986. La rentabilidad de la IIC durante el período fue del 7,6%, una vez deducidos unos gastos totales soportados del 0,95% sobre el patrimonio.&#13;
Respecto al riesgo de mercado, éste se mide mediante la metodología Value at Risk (VaR) con un nivel de confianza del 99%, que nos permite valorar la magnitud de las oscilaciones del valor liquidativo de la IIC a lo largo del período analizado. &#13;
En el apartado 2.2.A se detalla el valor del VAR al final del intervalo analizado, que se ajusta al nivel de riesgo aceptado y coherente con los fondos de su categoría. El fondo ha registrado una volatilidad menor respecto el período anterior.&#13;
Las comisiones de intermediación aplicadas a la operativa de la IIC no incorporan prestación de servicio de análisis sobre sus inversiones.&#13;
Tal y como se establece en el apartado 1. del informe, la IIC utiliza la metodología del compromiso para calcular la exposición total al riesgo de mercado, sin que se observen riesgos por la operativa con instrumentos derivados que indique que la exposición total a dicho riesgo pueda superar el patrimonio neto de la IIC.&#13;
La liquidez de la IIC se remunera a un tipo variable que se corresponde con el índice Euribor trimestral menos 0,15%.&#13;
El nivel de apalancamiento existente al final del período es del 0,4%&#13;
En cuanto al comportamiento de la IIC respecto al resto de fondos gestionados por CatalunyaCaixa Inversió, SGIIC, SA durante el período de referencia, el rendimiento de cada categoría de fondos se detalla en el apartado 2.2.B.&#13;
El diferencial de rentabilidad dentro de esta clasificación viene determinado por su mayor o menor peso en renta variable para los fondos mixtos y de renta variable, mientras que para los fondos de renta fija y de gestión pasiva el diferencial de rentabilidades viene dado por el plazo de vencimiento, los tipos de interés y los spreads de crédito de su cartera.&#13;
Al final del período, la rentabilidad de la Letra del Tesoro Español a 6 meses fue del 0,0082%. El diferencial de rentabilidad del fondo respecto a la rentabilidad de la Letra del Tesoro Español viene dada por el comportamiento relativo de la clase de activos en los que invierte. Concretamente en este caso, viene dado por el diferencial entre el comportamiento de la renta variable respecto a una inversión a corto plazo libre de riesgo.&#13;
El fondo cierra el semestre en positivo, aunque la tendencia ha sido de más a menos. La exposición a compañías americanas sigue suponiendo el mayor peso en cartera, sin embargo ante la evolución positiva de las cotizaciones de algunas de éstas a lo largo del 1er trimestre, se aprovechó para vender al considerar que ya habían aportado la rentabilidad esperada al fondo. A su vez se incrementó el porcentaje de empresas europeas con un carácter más cíclico o de sectores más favorecidos por la caída del precio del crudo. Esta sobreponderación se ha mantenido durante todo el período. Ante las correcciones a finales del semestre la posición del fondo ha sido defensiva tanto por su exposición global, alrededor del 80%, como por diversificación, más de 80 compañías en cartera. Se ha aprovechado este entorno para incorporar algunas compañías europeas con buen dividendo y elevada solidez en su actividad. Al cierre del semestre la cartera presenta un dividend yield del 3,5% y el previsto en los próximos 12 meses es del 3,8%.&#13;
A lo largo del semestre el fondo ha mantenido cubierta su exposición a divisas no euro, especialmente el dólar. Aunque puntualmente ha tomado alguna posición con la divisa americana alrededor del 20% de la cartera. Al cierre del semestre la estrategia con el dólar se mantenía abierta cercano al 20% como medida de protección ante las dificultades en solucionar los problemas políticos en la Eurozona que puedan debilitar al euro en mayor medida.&#13;
El inicio del segundo semestre viene marcado por las tensiones políticas en la Eurozona y la fuerte volatilidad del mercado de renta variable doméstica en China. En el primer caso, a medida que se vaya perfilando una solución, aunque probablemente temporal, la atención de los inversores volverá a los fundamentales macro y microeconómicos que son positivos en la Eurozona. Por ello, esperamos una mejora paulatina de la situación en esta área geográfica. En el ámbito de China, por el momento no esperamos contagio a otras zonas, pero la evolución de sus mercados de capitales puede constituir un problema a medio plazo ante el elevado nivel de endeudamiento inversor en la zona. No obstante, debido al elevado ahorro del país, el impacto previsto en la economía real es muy limitado. En EEUU esperamos una mejora del crecimiento en este segundo semestre, aunque las empresas tendrán dificultades para mejorar sus ingresos y resultados debido a que los márgenes son ya muy elevados y, a diferencia de la Eurozona, con poco recorrido al alza. Pese a ello, como disponen de una elevada liquidez y un endeudamiento cada vez más bajo, podrán mantener e incluso mejorar ligeramente las políticas de retribución al accionista, sea con distribución de dividendos o mediante la ampliación de sus programas de recompra de acciones que acaban repercutiendo en mejores beneficios. Finalmente, un último factor a considerar es el previsible inicio de subida de tipos en EEUU. Aunque no está todavía clara la fecha de inicio, sí que parece altamente probable que la subida sea suave, lenta y gradual, de modo que afecte relativamente poco a las empresas y consumidores. Las implicaciones a nivel de sectores son algo distintas según su vinculación al ciclo de crecimiento económico, de modo que los sectores más beneficiados serían los más cíclicos en detrimento de los más defensivos. Por esta razón, el fondo ya ha ido ajustando sus posiciones en cartera de forma que actualmente a nivel sectorial están más equilibradas entre cíclicos y defensivos.&#13;
La Gestora, en representación de las IIC y en interés exclusivo de socios y partícipes, ejerce los derechos de asistencia y voto en las Juntas Generales de Accionistas, siempre y cuando la entidad emisora convocante sea una sociedad española y la participación conjunta en su capital, de los fondos gestionados, sea superior al 1%. Asimismo, se ejercen los derechos de asistencia y voto en aquellos supuestos en que la participación de los fondos en la entidad emisora convocante represente más del 5% del patrimonio de la IIC, o bien esté previsto el pago de una prima. Durante el período, el sentido del voto ha sido favorable a las propuestas planteadas por el consejo de administración de la sociedad convocante.</iic-com:ExplicacionInformePeriodico>
<iic-com:AdvertenciasCNMV contextRef="FIM_S12015_V-65764581_da">Sin advertencias.</iic-com:AdvertenciasCNMV>
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