Fonsvila-Real FI is a global investment fund that holds a diverse mix of both stocks and bonds from around the world. The stock investments focus on large, well-established companies primarily in OECD countries, especially those in the Eurozone and the United States. On the bond side, the fund emphasizes high-quality, short-term bonds, ensuring stability and strong credit ratings. Additionally, up to 15% of the portfolio may include bonds and stocks from emerging markets in regions such as Eastern Europe and Latin America. This balanced approach aims to provide broad international exposure with a focus on quality and stability.