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Strategic portfolio

Strategic companies where active management is carried out as a relevant shareholder. The strategic sectors we prioritize are banking, energy, telecommunications and utilities.

Key data

21.9

€bn of asset value

71.9%

of GAV

GAV: Gross asset value (GAV)
Data as of 31 December 2024
€Bn = Billions

Within the
2025-2030
Strategic Plan

The goal is for the strategic portfolio to represent 55% of the gross asset value by 2030, with an approximate value of €22bn. It is expected to generate €12bn in dividends from strategic investee companies between 2024 and 2030.

Logo Caixabank
31.22%

Stake

Logo Caixabank
31.22%

Stake

Logo Naturgy
26.71%

Stake

Logo Naturgy
26.71%

Stake

Logo Telefonica
9.99%

Stake

Logo Telefonica
9.99%

Stake

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Information for investors

View CriteriaCaixa’s financial and corporate governance information.