Azvalor Iberia FI (Trades, Portfolio) recently submitted its report for the fourth quarter of 2024, shedding light on its strategic investment decisions during this period. Azvalor Iberia FI (Trades, Portfolio) is a mutual fund that focuses on undervalued equities within the Spanish and Portuguese stock markets, catering to investors with a long-term perspective. The fund invests over 75% of its assets in equities, with a portfolio primarily composed of Spanish and Portuguese companies listed on secondary markets. The fund adheres to the principles of value investing, seeking out companies with sustainable competitive advantages, high return on capital employed, and quality management teams. Managed by Fernando Bernad, the fund aims to achieve satisfactory and sustained returns over time, favoring investors with a long-term horizon.
Azvalor Iberia FI (Trades, Portfolio) added a total of four stocks to its portfolio, with the most significant addition being Repsol SA (XMAD:REP, Financial). The fund acquired 311,206 shares, which now account for 9.51% of the portfolio, with a total value of €3.638 million. The second largest addition was Allfunds Group PLC (XAMS:ALLFG, Financial), consisting of 522,619 shares, representing approximately 6.89% of the portfolio, with a total value of €2.634 million. The third largest addition was Melia Hotels International SA (XMAD:MEL, Financial), with 315,547 shares, accounting for 6.08% of the portfolio and a total value of €2.324 million.
Azvalor Iberia FI (Trades, Portfolio) also increased its stake in one stock, Elecnor SA (XMAD:ENO, Financial). The fund added 8,456 shares, bringing the total to 155,230 shares. This adjustment represents a significant 5.76% increase in share count, a 0.36% impact on the current portfolio, with a total value of €2.493 million.
Azvalor Iberia FI (Trades, Portfolio) completely exited three holdings in the fourth quarter of 2024. The fund sold all 157,506 shares of Grifols SA (XMAD:GRF, Financial), resulting in a -3.31% impact on the portfolio. Additionally, it liquidated all 112,852 shares of Grifols SA (GRFS, Financial), causing a -1.74% impact on the portfolio.
Azvalor Iberia FI (Trades, Portfolio) also reduced its position in nine stocks. The most significant changes include a reduction in Mapfre SA (XMAD:MAP, Financial) by 997,218 shares, resulting in a -73.31% decrease in shares and a -5.75% impact on the portfolio. The stock traded at an average price of €2.51 during the quarter and has returned 3.86% over the past three months and 8.50% year-to-date. Additionally, the fund reduced its position in Grifols SA (XMAD:GRF.P, Financial) by 275,119 shares, resulting in a -56.94% reduction in shares and a -4.2% impact on the portfolio. The stock traded at an average price of €7.76 during the quarter and has returned -20.27% over the past three months and -8.14% year-to-date.
At the end of the fourth quarter of 2024, Azvalor Iberia FI (Trades, Portfolio)'s portfolio included 14 stocks. The top holdings were 16.22% in Tubacex SA (XMAD:TUB, Financial), 13.65% in Tecnicas Reunidas SA (XMAD:TRE, Financial), 11.68% in Prosegur Cash SA (XMAD:CASH, Financial), 9.51% in Repsol SA (XMAD:REP, Financial), and 7.59% in Miquel y Costas & Miquel SA (XMAD:MCM, Financial).
The holdings are mainly concentrated in seven of the eleven industries: Industrials, Basic Materials, Financial Services, Energy, Communication Services, Consumer Cyclical, and Healthcare.
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