{"id":13905,"date":"2021-03-12T17:44:00","date_gmt":"2021-03-12T16:44:00","guid":{"rendered":"http:\/\/www.clgj9277.odns.fr\/la-estrategia-de-em-2024-diferenciacion-y-rendimiento\/"},"modified":"2023-12-14T11:52:26","modified_gmt":"2023-12-14T10:52:26","slug":"la-estrategia-de-em-2024-diferenciacion-y-rendimiento","status":"publish","type":"post","link":"https:\/\/anaxis-am.com\/es\/la-estrategia-de-em-2024-diferenciacion-y-rendimiento\/","title":{"rendered":"La estrategia de EM 2024: diferenciaci\u00f3n y rendimiento"},"content":{"rendered":"\n<h3 class=\"wp-block-heading\">An\u00e1lisis independiente de los bonos<\/h3>\n\n\n\n<p>Se trata de permitir a nuestros clientes beneficiarse de la rentabilidad adicional que ofrecen los bonos corporativos de los mercados emergentes, limitando al mismo tiempo el riesgo de volatilidad propio de esta clase de activos. Tambi\u00e9n pretendemos aportar diversificaci\u00f3n a las carteras de bonos de nuestros clientes, mediante una asignaci\u00f3n s\u00f3lida y diferenciadora en este segmento en comparaci\u00f3n con otros fondos de deuda emergente.<\/p>\n\n\n\n<p>Para ello, combinamos el an\u00e1lisis crediticio fundamental independiente, el ADN de Anaxis, con una estricta y ambiciosa pol\u00edtica ESG. El resultado es una cartera bien diversificada de m\u00e1s de 100 emisores en cualquier momento, con un enfoque principal en empresas activas en sectores resistentes y que tienen una capacidad intr\u00ednseca de generar un flujo de caja significativo. Por otro lado, el ambicioso compromiso de Anaxis con la transici\u00f3n energ\u00e9tica y los criterios de desarrollo sostenible ya forma parte de nuestra pol\u00edtica de inversi\u00f3n. Para nosotros, es un factor de diferenciaci\u00f3n, de control de riesgos y de rendimiento.<\/p>\n\n\n\n<h3 class=\"wp-block-heading\">Sobreponderar los sectores resistentes<\/h3>\n\n\n\n<p>El principal elemento que diferencia a nuestro fondo EM 2024 de otros fondos de la categor\u00eda puede destacarse observando su asignaci\u00f3n sectorial en comparaci\u00f3n con el universo de inversi\u00f3n de la deuda de mercados emergentes. La primera observaci\u00f3n es que los sectores que tradicionalmente son los m\u00e1s resistentes y los que tienen m\u00e1s probabilidades de tener un rendimiento estable en el tiempo est\u00e1n sobrerrepresentados en nuestro fondo EM 2024. Entre ellos se encuentran las telecomunicaciones, la sanidad, los servicios p\u00fablicos y los productos b\u00e1sicos de consumo.<\/p>\n\n\n\n<p>Por el contrario, casi el 50% del universo est\u00e1 muy infraponderado o completamente ausente de nuestra cartera. Podemos citar a los productores de combustibles f\u00f3siles y a las empresas del sector qu\u00edmico contaminante, que est\u00e1n completamente excluidas de nuestra cartera por razones ESG. Al mismo tiempo, tambi\u00e9n se excluyen los sectores financiero e inmobiliario por razones de apalancamiento excesivo y de car\u00e1cter c\u00edclico de los resultados. Este posicionamiento sectorial que ofrecemos a nuestros clientes permite crear un producto s\u00f3lido y con un rendimiento atractivo.<\/p>\n\n\n\n<p>A finales de febrero, nuestra cartera EM 2024 ofrec\u00eda a los inversores una rentabilidad media en d\u00f3lares del 5,24%. La duraci\u00f3n es contenida, de 2,75 a\u00f1os, y la cartera est\u00e1 bien diversificada, con unos 130 emisores diferentes. La posici\u00f3n media es del 0,66%.<\/p>\n\n\n\n<div style=\"height:30px\" aria-hidden=\"true\" class=\"wp-block-spacer\"><\/div>\n\n\n<div class=\"wp-block-image is-style-rounded\">\n<figure class=\"aligncenter size-large\"><img fetchpriority=\"high\" decoding=\"async\" width=\"1024\" height=\"427\" src=\"https:\/\/www.anaxis-am.com\/wp-content\/uploads\/2023\/10\/Sprint-Performance-3-Finale-1024x427.jpg\" alt=\"\" class=\"wp-image-10848\" srcset=\"https:\/\/anaxis-am.com\/wp-content\/uploads\/2023\/10\/Sprint-Performance-3-Finale-1024x427.jpg 1024w, https:\/\/anaxis-am.com\/wp-content\/uploads\/2023\/10\/Sprint-Performance-3-Finale-300x125.jpg 300w, https:\/\/anaxis-am.com\/wp-content\/uploads\/2023\/10\/Sprint-Performance-3-Finale-768x320.jpg 768w, https:\/\/anaxis-am.com\/wp-content\/uploads\/2023\/10\/Sprint-Performance-3-Finale.jpg 1200w\" sizes=\"(max-width: 1024px) 100vw, 1024px\" \/><\/figure>\n<\/div>","protected":false},"excerpt":{"rendered":"<p>El objetivo de nuestro fondo EM Bond Opp. 2024 es sencillo y claro, en l\u00ednea con la filosof\u00eda de inversi\u00f3n de Anaxis. Se trata de permitir a nuestros clientes beneficiarse de la rentabilidad adicional que ofrecen los bonos corporativos de los mercados emergentes, <\/p>\n","protected":false},"author":1,"featured_media":0,"comment_status":"closed","ping_status":"closed","sticky":false,"template":"elementor_theme","format":"standard","meta":{"footnotes":""},"categories":[84],"tags":[],"class_list":["post-13905","post","type-post","status-publish","format-standard","hentry","category-fondos"],"acf":[],"yoast_head":"<!-- This site is optimized with the Yoast SEO plugin v25.1 - https:\/\/yoast.com\/wordpress\/plugins\/seo\/ -->\n<title>La estrategia de EM 2024: diferenciaci\u00f3n y rendimiento - Anaxis AM<\/title>\n<meta name=\"robots\" content=\"index, follow, max-snippet:-1, max-image-preview:large, max-video-preview:-1\" \/>\n<link rel=\"canonical\" href=\"https:\/\/anaxis-am.com\/es\/la-estrategia-de-em-2024-diferenciacion-y-rendimiento\/\" \/>\n<meta property=\"og:locale\" content=\"es_ES\" \/>\n<meta property=\"og:type\" content=\"article\" \/>\n<meta property=\"og:title\" content=\"La estrategia de EM 2024: diferenciaci\u00f3n y rendimiento - Anaxis AM\" \/>\n<meta property=\"og:description\" content=\"El objetivo de nuestro fondo EM Bond Opp. 2024 es sencillo y claro, en l\u00ednea con la filosof\u00eda de inversi\u00f3n de Anaxis. 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