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			"fund": "CIMBALARIA, S.A., SICAV",
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		{
			"fund": "ATMOS GLOBAL, FI",
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		{
			"fund": "AMOLAP INVERSIONES, SICAV, S.A.",
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		{
			"fund": "EXCEL EQUITIES SICAV, S.A.",
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		{
			"fund": "UNIFOND RENTA VARIABLE EUROPA SELECCIÓN, FI",
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			"weight_in_fund": 1.6805,
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		{
			"fund": "MULTIESTRATEGIA,FI MULTIESTRATEGIA / AFI GLOBAL",
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			"manager": "AFI INVERSIONES GLOBALES, SGIIC, S.A.",
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		{
			"fund": "SELECTOR GLOBAL, FI SELECTOR GLOBAL/ACCIONES",
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			"manager": "DUX INVERSORES, SGIIC, S.A.",
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		{
			"fund": "SELECTOR GLOBAL, FI SELECTOR GLOBAL/FLEXIBLE",
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			"manager": "DUX INVERSORES, SGIIC, S.A.",
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		{
			"fund": "BARCAPITAL SICAV S.A.",
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		{
			"fund": "LIERDE EQUITIES, F.I.",
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			"manager": "AUGUSTUS CAPITAL ASSET MANAGEMENT, SGIIC, S.A.",
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			"weight_in_fund": 1.9027,
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		},
		{
			"fund": "MULTIESTRATEGIA,FI MULTIESTRATEGIA / AFI RENTA VARIABLE",
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			"manager": "AFI INVERSIONES GLOBALES, SGIIC, S.A.",
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			"shares": null,
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			"weight_in_fund": 3.7914,
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		{
			"fund": "INVERAL INVERSIONES, SICAV, S.A.",
			"fund_url": "https://titelia.com/en/funds/ESSICAV2690-0",
			"manager": "SANTANDER ASSET MANAGEMENT, S.A., SGIIC",
			"filing": "cnmv",
			"shares": null,
			"value": 61266,
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			"weight_in_fund": 0.2256,
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		},
		{
			"fund": "EKO INVESTMENT CAPITAL SICAV SA",
			"fund_url": "https://titelia.com/en/funds/ESSICAV3827-0",
			"manager": "SINGULAR ASSET MANAGEMENT, SGIIC, S.A.",
			"filing": "cnmv",
			"shares": null,
			"value": 56991,
			"currency": "EUR",
			"weight_in_fund": 0.1982,
			"as_of": "2025-12-31"
		},
		{
			"fund": "MERIDIONAL DE TITULOS, SICAV S.A.",
			"fund_url": "https://titelia.com/en/funds/ESSICAV931-0",
			"manager": "SANTANDER ASSET MANAGEMENT, S.A., SGIIC",
			"filing": "cnmv",
			"shares": null,
			"value": 24934,
			"currency": "EUR",
			"weight_in_fund": 0.1989,
			"as_of": "2025-12-31"
		},
		{
			"fund": "GESTIÓN BOUTIQUE III, FI GESTION BOUTIQUE III/EFE & ENE MOMENTUM",
			"fund_url": "https://titelia.com/en/funds/ESFI5186-7",
			"manager": "ANDBANK WEALTH MANAGEMENT, SGIIC, S.A.U.",
			"filing": "cnmv",
			"shares": null,
			"value": 21371,
			"currency": "EUR",
			"weight_in_fund": 0.1539,
			"as_of": "2025-12-31"
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	],
	"source": "Public filings of the fund regulators, republished by titelia",
	"served_by": {
		"name": "titelia",
		"url": "https://titelia.com/en/api"
	},
	"terms": "https://titelia.com/en/mentions",
	"documentation": "https://titelia.com/en/api"
}
