CBNK Mixto 25 FI is a balanced investment fund that allocates between 70% and 100% of its portfolio to a variety of fixed income assets, including government and corporate bonds, deposits, and other liquid instruments primarily from developed markets. Up to 30% of the fund is invested in stocks, targeting medium and large-cap companies across diverse sectors, with some exposure to emerging markets and smaller firms. The fund focuses on bonds with average maturities of up to five years and maintains a strong emphasis on high to medium credit quality, while also allowing a minor portion in lower-rated or unrated securities.