{
  "nombre": "Composición de ETF y fondos indexados",
  "descripcion": "Reparto por países, sectores y principales posiciones de cada producto, con la fuente y la fecha de cada dato. Recopilado de la información pública de las gestoras y de Yahoo Finance.",
  "licencia": "CC BY 4.0",
  "atribucion": "DiversificaSimple — https://diversificasimple.com",
  "contacto": "contacto@diversificasimple.com",
  "generado": "2026-09-07T12:50:47.059Z",
  "productos": 88,
  "aviso": "Los porcentajes pueden no sumar 100 por redondeos, liquidez o datos no disponibles. Cuando un dato es aproximado, el campo asOf lo indica. Información educativa: no es asesoramiento financiero.",
  "datos": {
    "IVV": {
      "name": "iShares Core S&P 500 ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Real Estate": 1.8,
        "Consumer Cyclical": 9.31,
        "Basic Materials": 1.68,
        "Consumer Defensive": 4.46,
        "Technology": 38.69,
        "Communication Services": 9.5,
        "Financial Services": 12.07,
        "Utilities": 1.98,
        "Industrials": 7.75,
        "Energy": 3.48,
        "Healthcare": 9.28
      },
      "holdings": {
        "NVIDIA Corp": 8.07,
        "Apple Inc": 7.02,
        "Microsoft Corp": 5.69,
        "Amazon.com Inc": 3.84,
        "Alphabet Inc Class A": 3,
        "Broadcom Inc": 2.65,
        "Alphabet Inc Class C": 2.39,
        "Meta Platforms Inc Class A": 1.9,
        "Micron Technology Inc": 1.63,
        "Tesla Inc": 1.56
      },
      "category": "Large Blend",
      "expenseRatio": 0.03,
      "asOf": "Aproximado por índice (fondo de EE. UU.)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "ITOT": {
      "name": "iShares Core S&P Total U.S. Stock Market ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Real Estate": 2.24,
        "Consumer Cyclical": 9.3,
        "Basic Materials": 1.93,
        "Consumer Defensive": 4.28,
        "Technology": 36.68,
        "Communication Services": 8.77,
        "Financial Services": 12.37,
        "Utilities": 1.96,
        "Industrials": 8.9,
        "Energy": 3.66,
        "Healthcare": 9.92
      },
      "holdings": {
        "NVIDIA Corp": 7.18,
        "Apple Inc": 6.25,
        "Microsoft Corp": 5.06,
        "Amazon.com Inc": 3.41,
        "Alphabet Inc Class A": 2.67,
        "Broadcom Inc": 2.35,
        "Alphabet Inc Class C": 2.13,
        "Meta Platforms Inc Class A": 1.69,
        "Micron Technology Inc": 1.45,
        "Tesla Inc": 1.39
      },
      "category": "Large Blend",
      "expenseRatio": 0.03,
      "asOf": "Aproximado por índice (fondo de EE. UU.)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "IWM": {
      "name": "iShares Russell 2000 ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Real Estate": 6.5,
        "Consumer Cyclical": 8.87,
        "Basic Materials": 4.46,
        "Consumer Defensive": 2.63,
        "Technology": 13.79,
        "Communication Services": 2.27,
        "Financial Services": 18.06,
        "Utilities": 2.72,
        "Industrials": 13.23,
        "Energy": 6.5,
        "Healthcare": 20.98
      },
      "holdings": {
        "JFrog Ltd Ordinary Shares": 0.35,
        "Moog Inc Class A": 0.34,
        "BlackRock Cash Funds Treasury SL Agency": 0.34,
        "UMB Financial Corp": 0.34,
        "Glaukos Corp": 0.33,
        "Brinker International Inc": 0.32,
        "BrightSpring Health Services Inc": 0.3,
        "Krystal Biotech Inc": 0.3,
        "Cytokinetics Inc": 0.3,
        "Old National Bancorp": 0.29
      },
      "category": "Small Blend",
      "expenseRatio": 0.19,
      "asOf": "Aproximado por índice (fondo de EE. UU.)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "ACWI": {
      "name": "iShares MSCI ACWI ETF",
      "countries": {
        "United States": 61.9,
        "Japan": 5.9,
        "Taiwan": 3.5,
        "United Kingdom": 3.1,
        "Canada": 2.9,
        "Korea": 2.8,
        "China": 2.6,
        "France": 1.9,
        "Switzerland": 1.9,
        "Germany": 1.7,
        "India": 1.7,
        "Australia": 1.6,
        "Netherlands": 1.2,
        "Italy": 0.8,
        "Spain": 0.8,
        "Sweden": 0.7,
        "Brazil": 0.4,
        "Denmark": 0.4,
        "Hong Kong": 0.4,
        "South Africa": 0.4,
        "Belgium": 0.3,
        "Finland": 0.3,
        "Israel": 0.3,
        "Saudi Arabia": 0.3,
        "Singapore": 0.3,
        "Malaysia": 0.2,
        "Mexico": 0.2,
        "Norway": 0.2,
        "Thailand": 0.2,
        "United Arab Emirates": 0.1,
        "Austria": 0.1,
        "Chile": 0.1,
        "Greece": 0.1,
        "Indonesia": 0.1,
        "Ireland": 0.1,
        "Kuwait": 0.1,
        "New Zealand": 0.1,
        "Poland": 0.1,
        "Qatar": 0.1,
        "Turkey": 0.1
      },
      "sectors": {
        "Real Estate": 1.55,
        "Consumer Cyclical": 8.64,
        "Basic Materials": 3.63,
        "Consumer Defensive": 4.59,
        "Technology": 32.18,
        "Communication Services": 7.77,
        "Financial Services": 16.61,
        "Utilities": 2.28,
        "Industrials": 10.23,
        "Energy": 4.03,
        "Healthcare": 8.5
      },
      "holdings": {
        "NVIDIA Corp": 4.87,
        "Apple Inc": 4.46,
        "Microsoft Corp": 3.43,
        "Amazon.com Inc": 2.41,
        "Alphabet Inc Class A": 1.91,
        "Taiwan Semiconductor Manufacturing Co Ltd": 1.79,
        "Broadcom Inc": 1.61,
        "Alphabet Inc Class C": 1.5,
        "Meta Platforms Inc Class A": 1.2,
        "Micron Technology Inc": 1.04
      },
      "category": "Global Large-Stock Blend",
      "expenseRatio": 0.32,
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (VT) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "EFA": {
      "name": "iShares MSCI EAFE ETF",
      "countries": {
        "Japan": 21,
        "United Kingdom": 10.9,
        "Canada": 10.5,
        "Korea": 10.2,
        "Switzerland": 7,
        "France": 6.9,
        "Germany": 6.3,
        "Australia": 5.6,
        "Netherlands": 4.2,
        "Spain": 2.9,
        "Italy": 2.8,
        "Sweden": 2.6,
        "Hong Kong": 1.5,
        "Denmark": 1.3,
        "Singapore": 1.2,
        "Israel": 1.1,
        "Belgium": 1,
        "Finland": 0.9,
        "Norway": 0.6,
        "Poland": 0.5,
        "Austria": 0.3,
        "Ireland": 0.3,
        "New Zealand": 0.2,
        "Portugal": 0.2
      },
      "sectors": {
        "Real Estate": 1.56,
        "Consumer Cyclical": 7.51,
        "Basic Materials": 6.07,
        "Consumer Defensive": 6.55,
        "Technology": 11.36,
        "Communication Services": 4.7,
        "Financial Services": 26.06,
        "Utilities": 3.58,
        "Industrials": 18.76,
        "Energy": 3.7,
        "Healthcare": 10.16
      },
      "holdings": {
        "ASML Holding NV": 2.93,
        "HSBC Holdings PLC": 1.59,
        "Roche Holding AG Ordinary Shares new": 1.37,
        "Novartis AG Registered Shares": 1.25,
        "Shell PLC": 1.13,
        "Nestle SA": 1.13,
        "Mitsubishi UFJ Financial Group Inc": 1.1,
        "AstraZeneca PLC": 1.1,
        "BHP Group Ltd": 1.08,
        "Siemens AG": 1.07
      },
      "category": "Foreign Large Blend",
      "expenseRatio": 0.32,
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (VEA) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "IEFA": {
      "name": "iShares Core MSCI EAFE ETF",
      "countries": {
        "Japan": 21,
        "United Kingdom": 10.9,
        "Canada": 10.5,
        "Korea": 10.2,
        "Switzerland": 7,
        "France": 6.9,
        "Germany": 6.3,
        "Australia": 5.6,
        "Netherlands": 4.2,
        "Spain": 2.9,
        "Italy": 2.8,
        "Sweden": 2.6,
        "Hong Kong": 1.5,
        "Denmark": 1.3,
        "Singapore": 1.2,
        "Israel": 1.1,
        "Belgium": 1,
        "Finland": 0.9,
        "Norway": 0.6,
        "Poland": 0.5,
        "Austria": 0.3,
        "Ireland": 0.3,
        "New Zealand": 0.2,
        "Portugal": 0.2
      },
      "sectors": {
        "Real Estate": 2.71,
        "Consumer Cyclical": 8.2,
        "Basic Materials": 6.68,
        "Consumer Defensive": 6.29,
        "Technology": 11.14,
        "Communication Services": 4.65,
        "Financial Services": 24.23,
        "Utilities": 3.38,
        "Industrials": 19.43,
        "Energy": 3.67,
        "Healthcare": 9.61
      },
      "holdings": {
        "ASML Holding NV": 2.51,
        "HSBC Holdings PLC": 1.35,
        "Roche Holding AG Ordinary Shares new": 1.17,
        "Novartis AG Registered Shares": 1.07,
        "Shell PLC": 0.97,
        "Nestle SA": 0.96,
        "Mitsubishi UFJ Financial Group Inc": 0.94,
        "AstraZeneca PLC": 0.94,
        "BHP Group Ltd": 0.93,
        "Siemens AG": 0.92
      },
      "category": "Foreign Large Blend",
      "expenseRatio": 0.07,
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (VEA) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "EEM": {
      "name": "iShares MSCI Emerging Markets ETF",
      "countries": {
        "Taiwan": 34.3,
        "China": 25.6,
        "India": 16.5,
        "Brazil": 4.1,
        "South Africa": 3.6,
        "Saudi Arabia": 3.1,
        "Mexico": 2.1,
        "Malaysia": 1.7,
        "Thailand": 1.6,
        "United Arab Emirates": 1.5,
        "Turkey": 1,
        "Greece": 0.8,
        "Chile": 0.7,
        "Indonesia": 0.7,
        "Kuwait": 0.7,
        "Qatar": 0.6,
        "Philippines": 0.4,
        "Hungary": 0.4,
        "Colombia": 0.2,
        "Czech Republic": 0.1,
        "Romania": 0.1,
        "Egypt": 0.1,
        "Iceland": 0.1
      },
      "sectors": {
        "Real Estate": 0.95,
        "Consumer Cyclical": 8.15,
        "Basic Materials": 6.24,
        "Consumer Defensive": 2.55,
        "Technology": 42.27,
        "Communication Services": 6.08,
        "Financial Services": 19.29,
        "Utilities": 1.78,
        "Industrials": 6.26,
        "Energy": 3.56,
        "Healthcare": 2.87
      },
      "holdings": {
        "Taiwan Semiconductor Manufacturing Co Ltd": 15.07,
        "Samsung Electronics Co Ltd": 7.16,
        "SK hynix Inc": 5.45,
        "Tencent Holdings Ltd": 2.86,
        "Alibaba Group Holding Ltd Ordinary Shares": 1.97,
        "MediaTek Inc": 1.44,
        "Delta Electronics Inc": 0.91,
        "Hon Hai Precision Industry Co Ltd": 0.78
      },
      "category": "Diversified Emerging Mkts",
      "expenseRatio": 0.72,
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (VWO) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "IEMG": {
      "name": "iShares Core MSCI Emerging Markets ETF",
      "countries": {
        "Taiwan": 34.3,
        "China": 25.6,
        "India": 16.5,
        "Brazil": 4.1,
        "South Africa": 3.6,
        "Saudi Arabia": 3.1,
        "Mexico": 2.1,
        "Malaysia": 1.7,
        "Thailand": 1.6,
        "United Arab Emirates": 1.5,
        "Turkey": 1,
        "Greece": 0.8,
        "Chile": 0.7,
        "Indonesia": 0.7,
        "Kuwait": 0.7,
        "Qatar": 0.6,
        "Philippines": 0.4,
        "Hungary": 0.4,
        "Colombia": 0.2,
        "Czech Republic": 0.1,
        "Romania": 0.1,
        "Egypt": 0.1,
        "Iceland": 0.1
      },
      "sectors": {
        "Real Estate": 1.53,
        "Consumer Cyclical": 8.43,
        "Basic Materials": 6.58,
        "Consumer Defensive": 2.84,
        "Technology": 40.1,
        "Communication Services": 5.71,
        "Financial Services": 18.31,
        "Utilities": 1.89,
        "Industrials": 7.68,
        "Energy": 3.37,
        "Healthcare": 3.56
      },
      "holdings": {
        "Taiwan Semiconductor Manufacturing Co Ltd": 13.2,
        "Samsung Electronics Co Ltd": 6.28,
        "SK hynix Inc": 4.78,
        "Tencent Holdings Ltd": 2.51,
        "Alibaba Group Holding Ltd Ordinary Shares": 1.73,
        "MediaTek Inc": 1.26,
        "Delta Electronics Inc": 0.8,
        "Hon Hai Precision Industry Co Ltd": 0.68
      },
      "category": "Diversified Emerging Mkts",
      "expenseRatio": 0.09,
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (VWO) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "IEUR": {
      "name": "iShares Core MSCI Europe ETF",
      "countries": {
        "United Kingdom": 22.5,
        "Switzerland": 14.3,
        "France": 14.2,
        "Germany": 12.9,
        "Netherlands": 8.7,
        "Spain": 6,
        "Italy": 5.7,
        "Sweden": 5.4,
        "Denmark": 2.7,
        "Belgium": 1.9,
        "Finland": 1.9,
        "Norway": 1.3,
        "Poland": 1,
        "Austria": 0.7,
        "Ireland": 0.5,
        "Portugal": 0.3
      },
      "sectors": {
        "Real Estate": 1.45,
        "Consumer Cyclical": 6.89,
        "Basic Materials": 5.79,
        "Consumer Defensive": 7.82,
        "Technology": 8.99,
        "Communication Services": 3.63,
        "Financial Services": 24.2,
        "Utilities": 4.29,
        "Industrials": 19.79,
        "Energy": 4.95,
        "Healthcare": 12.22
      },
      "holdings": {
        "ASML Holding NV": 4.07,
        "HSBC Holdings PLC": 2.21,
        "Roche Holding AG Ordinary Shares new": 1.91,
        "Novartis AG Registered Shares": 1.73,
        "Shell PLC": 1.57,
        "Nestle SA": 1.56,
        "AstraZeneca PLC": 1.52,
        "Siemens AG": 1.5,
        "SAP SE": 1.4,
        "Banco Santander SA": 1.3
      },
      "category": "Europe Stock",
      "expenseRatio": 0.1,
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (VGK) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "EZU": {
      "name": "iShares MSCI Eurozone ETF",
      "countries": {},
      "sectors": {
        "Real Estate": 0.76,
        "Consumer Cyclical": 7.9,
        "Basic Materials": 4.06,
        "Consumer Defensive": 5.31,
        "Technology": 15.74,
        "Communication Services": 3.69,
        "Financial Services": 26.47,
        "Utilities": 6.2,
        "Industrials": 20.13,
        "Energy": 3.86,
        "Healthcare": 5.88
      },
      "holdings": {
        "ASML Holding NV": 8.39,
        "Siemens AG": 3.07,
        "SAP SE": 2.88,
        "Banco Santander SA": 2.69,
        "Allianz SE": 2.55,
        "Schneider Electric SE": 2.41,
        "TotalEnergies SE": 2.18,
        "Banco Bilbao Vizcaya Argentaria SA": 2.08,
        "Iberdrola SA": 1.85,
        "Airbus SE": 1.74
      },
      "category": "Europe Stock",
      "expenseRatio": 0.5,
      "asOf": "Yahoo Finance",
      "sources": [
        "yahoo"
      ]
    },
    "EWJ": {
      "name": "iShares MSCI Japan ETF",
      "countries": {
        "Japan": 100
      },
      "sectors": {
        "Real Estate": 1.8,
        "Consumer Cyclical": 11.59,
        "Basic Materials": 2.9,
        "Consumer Defensive": 3.53,
        "Technology": 21.51,
        "Communication Services": 9.33,
        "Financial Services": 19.1,
        "Utilities": 0.98,
        "Industrials": 22.91,
        "Energy": 0.94,
        "Healthcare": 5.4
      },
      "holdings": {
        "Mitsubishi UFJ Financial Group Inc": 4.63,
        "Toyota Motor Corp": 3.53,
        "Sumitomo Mitsui Financial Group Inc": 2.99,
        "Tokyo Electron Ltd": 2.96,
        "Advantest Corp": 2.9,
        "Recruit Holdings Co Ltd": 2.84,
        "Hitachi Ltd": 2.83,
        "Sony Group Corp": 2.75,
        "Mizuho Financial Group Inc": 2.36,
        "SoftBank Group Corp": 2.27
      },
      "category": "Japan Stock",
      "expenseRatio": 0.49,
      "asOf": "Aproximado por índice (fondo de un solo país)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "MCHI": {
      "name": "iShares MSCI China ETF",
      "countries": {
        "China": 100
      },
      "sectors": {
        "Real Estate": 1.46,
        "Consumer Cyclical": 23.42,
        "Basic Materials": 5.75,
        "Consumer Defensive": 2.94,
        "Technology": 11.85,
        "Communication Services": 18.2,
        "Financial Services": 20.04,
        "Utilities": 1.55,
        "Industrials": 5.02,
        "Energy": 3.77,
        "Healthcare": 5.97
      },
      "holdings": {
        "Tencent Holdings Ltd": 13.87,
        "Alibaba Group Holding Ltd Ordinary Shares": 9.56,
        "Xiaomi Corp Class B": 2.35,
        "Meituan Class B": 1.98,
        "Ping An Insurance (Group) Co. of China Ltd Class H": 1.74,
        "PDD Holdings Inc ADR": 1.69,
        "NetEase Inc Ordinary Shares": 1.69
      },
      "category": "Greater China Region",
      "expenseRatio": 0.59,
      "asOf": "Aproximado por índice (fondo de un solo país)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "INDA": {
      "name": "iShares MSCI India ETF",
      "countries": {
        "India": 100
      },
      "sectors": {
        "Real Estate": 1.42,
        "Consumer Cyclical": 12.76,
        "Basic Materials": 8.37,
        "Consumer Defensive": 5.46,
        "Technology": 7.89,
        "Communication Services": 5.16,
        "Financial Services": 30.09,
        "Utilities": 4.02,
        "Industrials": 9.73,
        "Energy": 8.62,
        "Healthcare": 6.48
      },
      "holdings": {
        "HDFC Bank Ltd": 6.42,
        "Reliance Industries Ltd": 5.99,
        "ICICI Bank Ltd": 5.68,
        "Bharti Airtel Ltd": 4.07,
        "Infosys Ltd": 2.59,
        "BlackRock Cash Funds Treasury SL Agency": 2.44,
        "Mahindra & Mahindra Ltd": 2.22,
        "Axis Bank Ltd": 2.15,
        "Larsen & Toubro Ltd": 2
      },
      "category": "India Equity",
      "expenseRatio": 0.61,
      "asOf": "Aproximado por índice (fondo de un solo país)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "FXI": {
      "name": "iShares China Large-Cap ETF",
      "countries": {
        "China": 100
      },
      "sectors": {
        "Real Estate": 0.91,
        "Consumer Cyclical": 26.46,
        "Basic Materials": 3.7,
        "Consumer Defensive": 0.81,
        "Technology": 5.8,
        "Communication Services": 15.56,
        "Financial Services": 36.11,
        "Utilities": 0.34,
        "Industrials": 2.52,
        "Energy": 4.98,
        "Healthcare": 2.82
      },
      "holdings": {
        "Alibaba Group Holding Ltd Ordinary Shares": 9.52,
        "Tencent Holdings Ltd": 8.65,
        "Xiaomi Corp Class B": 5.01,
        "Meituan Class B": 4.49,
        "Ping An Insurance (Group) Co. of China Ltd Class H": 3.81,
        "NetEase Inc Ordinary Shares": 3.64
      },
      "category": "Greater China Region",
      "expenseRatio": 0.73,
      "asOf": "Aproximado por índice (fondo de un solo país)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "EWZ": {
      "name": "iShares MSCI Brazil ETF",
      "countries": {
        "Brazil": 100
      },
      "sectors": {
        "Consumer Cyclical": 1.6,
        "Basic Materials": 14.46,
        "Consumer Defensive": 4.44,
        "Communication Services": 1.75,
        "Financial Services": 34.05,
        "Utilities": 12.44,
        "Industrials": 11.52,
        "Energy": 17.43,
        "Healthcare": 2.31
      },
      "holdings": {
        "Vale SA": 10.12,
        "Nu Holdings Ltd Ordinary Shares Class A": 9.45,
        "Petroleo Brasileiro SA Petrobras": 6.62,
        "Bank Bradesco SA Participating Preferred": 3.61,
        "B3 SA - Brasil Bolsa Balcao": 3.35,
        "Weg SA": 3.3,
        "Axia Energia": 3.2,
        "Ambev SA": 2.81
      },
      "category": "Focused Region",
      "expenseRatio": 0.59,
      "asOf": "Aproximado por índice (fondo de un solo país)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "EWG": {
      "name": "iShares MSCI Germany ETF",
      "countries": {
        "Germany": 100
      },
      "sectors": {
        "Real Estate": 0.81,
        "Consumer Cyclical": 7.4,
        "Basic Materials": 5.4,
        "Consumer Defensive": 1.47,
        "Technology": 15.87,
        "Communication Services": 5.64,
        "Financial Services": 23.18,
        "Utilities": 4.55,
        "Industrials": 28.68,
        "Healthcare": 7
      },
      "holdings": {
        "Siemens AG": 12.07,
        "SAP SE": 11.31,
        "Allianz SE": 10.02,
        "Siemens Energy AG Ordinary Shares": 6.44,
        "Deutsche Telekom AG": 5.63,
        "Infineon Technologies AG": 4.3,
        "Munchener Ruckversicherungs-Gesellschaft AG": 3.85,
        "Deutsche Bank AG": 3.48,
        "Deutsche Boerse AG": 3.06,
        "Rheinmetall AG": 3.04
      },
      "category": "Focused Region",
      "expenseRatio": 0.49,
      "asOf": "Aproximado por índice (fondo de un solo país)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "EWU": {
      "name": "iShares MSCI United Kingdom ETF",
      "countries": {
        "United Kingdom": 100
      },
      "sectors": {
        "Real Estate": 0.71,
        "Consumer Cyclical": 3.69,
        "Basic Materials": 9.09,
        "Consumer Defensive": 14.26,
        "Technology": 0.72,
        "Communication Services": 2.26,
        "Financial Services": 26.4,
        "Utilities": 4.86,
        "Industrials": 13.91,
        "Energy": 11.41,
        "Healthcare": 12.68
      },
      "holdings": {
        "HSBC Holdings PLC": 11,
        "Shell PLC": 7.79,
        "AstraZeneca PLC": 7.58,
        "Rolls-Royce Holdings PLC": 5.35,
        "Unilever PLC": 4.33,
        "British American Tobacco PLC": 3.46,
        "Rio Tinto PLC Ordinary Shares": 3.43,
        "BP PLC": 3.38,
        "GSK PLC": 3.14,
        "Barclays PLC": 2.82
      },
      "category": "Focused Region",
      "expenseRatio": 0.5,
      "asOf": "Aproximado por índice (fondo de un solo país)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "EWQ": {
      "name": "iShares MSCI France ETF",
      "countries": {
        "France": 100
      },
      "sectors": {
        "Real Estate": 1.32,
        "Consumer Cyclical": 11.83,
        "Basic Materials": 7.12,
        "Consumer Defensive": 8.29,
        "Technology": 3.59,
        "Communication Services": 2.78,
        "Financial Services": 13.45,
        "Utilities": 2.35,
        "Industrials": 32.88,
        "Energy": 7.86,
        "Healthcare": 8.52
      },
      "holdings": {
        "Schneider Electric SE": 8.65,
        "TotalEnergies SE": 7.83,
        "Airbus SE": 6.26,
        "Safran SA": 6.21,
        "Lvmh Moet Hennessy Louis Vuitton SE": 6,
        "Air Liquide SA": 5.64,
        "BNP Paribas Act. Cat.A": 5.44,
        "L'Oreal SA": 4.92,
        "Sanofi SA": 4.48,
        "AXA SA": 3.61
      },
      "category": "Focused Region",
      "expenseRatio": 0.5,
      "asOf": "Aproximado por índice (fondo de un solo país)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "EWP": {
      "name": "iShares MSCI Spain ETF",
      "countries": {
        "Spain": 100
      },
      "sectors": {
        "Real Estate": 2.62,
        "Consumer Cyclical": 4.45,
        "Technology": 5.93,
        "Communication Services": 2.72,
        "Financial Services": 45.44,
        "Utilities": 20.04,
        "Industrials": 14.36,
        "Energy": 4.45
      },
      "holdings": {
        "Banco Santander SA": 19.25,
        "Banco Bilbao Vizcaya Argentaria SA": 14.02,
        "Iberdrola SA": 12.13,
        "CaixaBank SA": 4.62,
        "Industria De Diseno Textil SA Share From Split": 4.44,
        "Repsol SA": 4.43,
        "Amadeus IT Group SA": 4.16,
        "Ferrovial NV": 3.98,
        "Aena SME SA": 3.53,
        "Banco de Sabadell SA": 3.52
      },
      "category": "Focused Region",
      "expenseRatio": 0.5,
      "asOf": "Aproximado por índice (fondo de un solo país)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "EWL": {
      "name": "iShares MSCI Switzerland ETF",
      "countries": {
        "Switzerland": 100
      },
      "sectors": {
        "Real Estate": 0.88,
        "Consumer Cyclical": 5.86,
        "Basic Materials": 7.48,
        "Consumer Defensive": 13.27,
        "Technology": 0.97,
        "Communication Services": 1.24,
        "Financial Services": 20.63,
        "Utilities": 0.41,
        "Industrials": 11.79,
        "Healthcare": 37.46
      },
      "holdings": {
        "Roche Holding AG Ordinary Shares new": 13.64,
        "Novartis AG Registered Shares": 12.36,
        "Nestle SA": 11.06,
        "UBS Group AG Registered Shares": 6.84,
        "Compagnie Financiere Richemont SA Class A": 4.65,
        "Zurich Insurance Group AG": 4.53,
        "ABB Ltd": 4.41,
        "Swiss Re AG": 2.82,
        "Lonza Group Ltd": 2.75,
        "Holcim Ltd": 2.45
      },
      "category": "Focused Region",
      "expenseRatio": 0.5,
      "asOf": "Aproximado por índice (fondo de un solo país)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "EWN": {
      "name": "iShares MSCI Netherlands ETF",
      "countries": {
        "Netherlands": 100
      },
      "sectors": {
        "Real Estate": 0.65,
        "Consumer Cyclical": 5.69,
        "Basic Materials": 5.67,
        "Consumer Defensive": 10.71,
        "Technology": 31.52,
        "Communication Services": 8.58,
        "Financial Services": 21.4,
        "Industrials": 10.84,
        "Energy": 2.25,
        "Healthcare": 2.7
      },
      "holdings": {
        "ASML Holding NV": 21.78,
        "ING Groep NV": 8.97,
        "Prosus NV Ordinary Shares - Class N": 5.08,
        "Nebius Group NV Shs Class-A-": 4.26,
        "ASM International NV": 4.03,
        "Adyen NV": 3.1,
        "Koninklijke Ahold Delhaize NV": 2.98,
        "ABN AMRO Bank NV": 2.92,
        "AerCap Holdings NV": 2.5,
        "NN Group NV": 2.44
      },
      "category": "Focused Region",
      "expenseRatio": 0.5,
      "asOf": "Aproximado por índice (fondo de un solo país)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "EWA": {
      "name": "iShares MSCI Australia ETF",
      "countries": {
        "Australia": 100
      },
      "sectors": {
        "Real Estate": 4.1,
        "Consumer Cyclical": 6.49,
        "Basic Materials": 26.67,
        "Consumer Defensive": 3.95,
        "Technology": 1.04,
        "Communication Services": 1.31,
        "Financial Services": 41.07,
        "Utilities": 1.68,
        "Industrials": 4.19,
        "Energy": 4.3,
        "Healthcare": 5.2
      },
      "holdings": {
        "BHP Group Ltd": 16.35,
        "Commonwealth Bank of Australia": 13,
        "National Australia Bank Ltd": 5.85,
        "Westpac Banking Corp": 5.74,
        "ANZ Group Holdings Ltd": 5.45,
        "Macquarie Group Ltd": 4.44,
        "Wesfarmers Ltd": 4.32,
        "CSL Ltd": 3.99,
        "Rio Tinto Ltd": 3.16,
        "Woodside Energy Group Ltd": 2.99
      },
      "category": "Focused Region",
      "expenseRatio": 0.5,
      "asOf": "Aproximado por índice (fondo de un solo país)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "EWC": {
      "name": "iShares MSCI Canada ETF",
      "countries": {
        "Canada": 100
      },
      "sectors": {
        "Consumer Cyclical": 3.45,
        "Basic Materials": 16.1,
        "Consumer Defensive": 2.92,
        "Technology": 8.73,
        "Communication Services": 0.82,
        "Financial Services": 39.17,
        "Utilities": 2.08,
        "Industrials": 8.84,
        "Energy": 17.88
      },
      "holdings": {
        "Royal Bank of Canada": 9,
        "The Toronto-Dominion Bank": 6.34,
        "Shopify Inc Registered Shs -A- Subord Vtg": 5.67,
        "Bank of Montreal": 3.69,
        "Bank of Nova Scotia": 3.56,
        "Enbridge Inc": 3.51,
        "Canadian Natural Resources Ltd": 3.3,
        "Canadian Imperial Bank of Commerce": 3.29,
        "Agnico Eagle Mines Ltd": 3.26,
        "Canadian Pacific Kansas City Ltd": 2.61
      },
      "category": "Focused Region",
      "expenseRatio": 0.5,
      "asOf": "Aproximado por índice (fondo de un solo país)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "EWT": {
      "name": "iShares MSCI Taiwan ETF",
      "countries": {
        "Taiwan": 100
      },
      "sectors": {
        "Consumer Cyclical": 2.41,
        "Basic Materials": 3.8,
        "Consumer Defensive": 0.97,
        "Technology": 73.85,
        "Communication Services": 1.16,
        "Financial Services": 14.01,
        "Industrials": 2.8,
        "Healthcare": 0.99
      },
      "holdings": {
        "Taiwan Semiconductor Manufacturing Co Ltd": 22.13,
        "MediaTek Inc": 5.97,
        "Delta Electronics Inc": 3.96,
        "Hon Hai Precision Industry Co Ltd": 3.34,
        "ASE Technology Holding Co Ltd": 2.56,
        "Elite Material Co Ltd": 2.17,
        "Nan Ya Plastics Corp": 2.07,
        "Unimicron Technology Corp": 1.99,
        "United Microelectronics Corp": 1.93,
        "Asia Vital Components Co Ltd": 1.88
      },
      "category": "Greater China Region",
      "expenseRatio": 0.59,
      "asOf": "Aproximado por índice (fondo de un solo país)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "EWY": {
      "name": "iShares MSCI South Korea ETF",
      "countries": {
        "South Korea": 100
      },
      "sectors": {
        "Consumer Cyclical": 5.11,
        "Basic Materials": 1.55,
        "Consumer Defensive": 2.46,
        "Technology": 54.59,
        "Communication Services": 3.2,
        "Financial Services": 11.06,
        "Utilities": 0.31,
        "Industrials": 17.03,
        "Energy": 1.37,
        "Healthcare": 3.28
      },
      "holdings": {
        "SK hynix Inc": 23.69,
        "Samsung Electronics Co Ltd": 22.24,
        "SK Square": 2.86,
        "Samsung Electro-Mechanics Co Ltd": 2.66,
        "KB Financial Group Inc": 1.99,
        "Hyundai Motor Co": 1.72,
        "Shinhan Financial Group Co Ltd": 1.62,
        "Hana Financial Group Inc": 1.38,
        "Hanwha Aerospace Co Ltd": 1.31,
        "Samsung SDI Co Ltd": 1.29
      },
      "category": "Focused Region",
      "expenseRatio": 0.59,
      "asOf": "Aproximado por índice (fondo de un solo país)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "AGG": {
      "name": "iShares Core U.S. Aggregate Bond ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Fixed Income": 100
      },
      "holdings": {
        "BlackRock Cash Funds Instl SL Agency": 3.01
      },
      "category": "Intermediate Core Bond",
      "expenseRatio": 0.03,
      "asOf": "Aproximado por índice (renta fija EE. UU.)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "TLT": {
      "name": "iShares 20+ Year Treasury Bond ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Fixed Income": 100
      },
      "holdings": {},
      "category": "Long Government",
      "expenseRatio": 0.15,
      "asOf": "Aproximado por índice (renta fija EE. UU.)",
      "sources": [
        "override"
      ]
    },
    "ACWX": {
      "name": "iShares MSCI ACWI ex U.S. ETF",
      "countries": {
        "Japan": 15.4,
        "Taiwan": 9.1,
        "United Kingdom": 8,
        "Canada": 7.8,
        "Korea": 7.5,
        "China": 6.7,
        "Switzerland": 5.1,
        "France": 5.1,
        "Germany": 4.6,
        "India": 4.4,
        "Australia": 4.1,
        "Netherlands": 3.1,
        "Spain": 2.1,
        "Italy": 2,
        "Sweden": 1.9,
        "Brazil": 1.1,
        "Hong Kong": 1.1,
        "Denmark": 1,
        "South Africa": 1,
        "Singapore": 0.9,
        "Israel": 0.8,
        "Saudi Arabia": 0.8,
        "Belgium": 0.7,
        "Finland": 0.7,
        "Mexico": 0.6,
        "Malaysia": 0.5,
        "Norway": 0.5,
        "Thailand": 0.4,
        "United Arab Emirates": 0.4,
        "Poland": 0.3,
        "Austria": 0.3,
        "Turkey": 0.3,
        "Chile": 0.2,
        "Greece": 0.2,
        "Indonesia": 0.2,
        "Ireland": 0.2,
        "Kuwait": 0.2,
        "Qatar": 0.2,
        "New Zealand": 0.1,
        "Colombia": 0.1,
        "Hungary": 0.1,
        "Philippines": 0.1,
        "Portugal": 0.1
      },
      "sectors": {
        "Real Estate": 1.24,
        "Consumer Cyclical": 7.38,
        "Basic Materials": 6.97,
        "Consumer Defensive": 4.93,
        "Technology": 21.26,
        "Communication Services": 4.84,
        "Financial Services": 24.93,
        "Utilities": 2.87,
        "Industrials": 13.84,
        "Energy": 4.84,
        "Healthcare": 6.92
      },
      "holdings": {
        "Taiwan Semiconductor Manufacturing Co Ltd": 4.94,
        "Samsung Electronics Co Ltd": 2.35,
        "SK hynix Inc": 1.78,
        "ASML Holding NV": 1.73,
        "Tencent Holdings Ltd": 0.94,
        "HSBC Holdings PLC": 0.93,
        "Roche Holding AG Ordinary Shares new": 0.81,
        "Royal Bank of Canada": 0.75,
        "Novartis AG Registered Shares": 0.74,
        "Shell PLC": 0.67
      },
      "category": "Foreign Large Blend",
      "expenseRatio": 0.32,
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (VXUS) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "VTI": {
      "name": "Vanguard Morningstar Total Stock Market ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Technology": 40,
        "Consumer Discretionary": 12.4,
        "Industrials": 12.3,
        "Financials": 10.6,
        "Health Care": 9.3,
        "Energy": 3.6,
        "Consumer Staples": 3.5,
        "Utilities": 2.4,
        "Real Estate": 2.3,
        "Telecommunications": 2.1,
        "Basic Materials": 1.5
      },
      "holdings": {
        "NVIDIA Corp": 6.4,
        "Apple Inc": 6.29,
        "Microsoft Corp": 4.78,
        "Amazon.com Inc": 3.64,
        "Alphabet Inc Class A": 2.89,
        "Broadcom Inc": 2.55,
        "Alphabet Inc Class C": 2.31,
        "Meta Platforms Inc Class A": 1.69,
        "Eli Lilly and Co": 1.35,
        "JPMorgan Chase & Co": 1.31
      },
      "category": "Large Blend",
      "expenseRatio": 0.03,
      "asOf": "Vanguard",
      "sources": [
        "override",
        "vanguard",
        "yahoo"
      ]
    },
    "VOO": {
      "name": "Vanguard S&P 500 ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Information Technology": 36.6,
        "Financials": 12.5,
        "Communication Services": 9.9,
        "Consumer Discretionary": 9.4,
        "Health Care": 9.1,
        "Industrials": 8.7,
        "Consumer Staples": 4.7,
        "Energy": 3.3,
        "Utilities": 2.1,
        "Real Estate": 1.9,
        "Materials": 1.8
      },
      "holdings": {
        "NVIDIA Corp": 7.55,
        "Apple Inc": 7.04,
        "Microsoft Corp": 5.36,
        "Amazon.com Inc": 4.13,
        "Alphabet Inc Class A": 3.24,
        "Broadcom Inc": 2.86,
        "Alphabet Inc Class C": 2.62,
        "Meta Platforms Inc Class A": 1.9,
        "JPMorgan Chase & Co": 1.46,
        "Berkshire Hathaway Inc Class B": 1.46
      },
      "category": "Large Blend",
      "expenseRatio": 0.03,
      "asOf": "Vanguard",
      "sources": [
        "override",
        "vanguard",
        "yahoo"
      ]
    },
    "VT": {
      "name": "Vanguard Total World Stock Index Fund ETF Shares",
      "countries": {
        "United States": 62,
        "Japan": 5.8,
        "United Kingdom": 3.3,
        "Taiwan": 3.1,
        "Canada": 3,
        "China": 2.8,
        "Korea": 2.2,
        "France": 2,
        "Switzerland": 2,
        "Germany": 1.8,
        "India": 1.7,
        "Australia": 1.6,
        "Netherlands": 1.1,
        "Italy": 0.8,
        "Spain": 0.8,
        "Sweden": 0.8,
        "Hong Kong": 0.5,
        "Brazil": 0.4,
        "Denmark": 0.4,
        "Singapore": 0.4,
        "South Africa": 0.4,
        "Belgium": 0.3,
        "Israel": 0.3,
        "Saudi Arabia": 0.3,
        "Finland": 0.2,
        "Malaysia": 0.2,
        "Mexico": 0.2,
        "Norway": 0.2,
        "Thailand": 0.2,
        "United Arab Emirates": 0.2,
        "Poland": 0.1,
        "Austria": 0.1,
        "Chile": 0.1,
        "Greece": 0.1,
        "Indonesia": 0.1,
        "Ireland": 0.1,
        "Kuwait": 0.1,
        "New Zealand": 0.1,
        "Qatar": 0.1,
        "Turkey": 0.1
      },
      "sectors": {
        "Real Estate": 2.36,
        "Consumer Cyclical": 9.25,
        "Basic Materials": 3.8,
        "Consumer Defensive": 4.67,
        "Technology": 29.19,
        "Communication Services": 7.51,
        "Financial Services": 16.79,
        "Utilities": 2.47,
        "Industrials": 11.47,
        "Energy": 4,
        "Healthcare": 8.49
      },
      "holdings": {
        "NVIDIA Corp": 4.03,
        "Apple Inc": 3.84,
        "Microsoft Corp": 2.97,
        "Amazon.com Inc": 2.27,
        "Alphabet Inc Class A": 1.82,
        "Broadcom Inc": 1.56,
        "Taiwan Semiconductor Manufacturing Co Ltd": 1.55,
        "Alphabet Inc Class C": 1.43,
        "Meta Platforms Inc Class A": 1.05,
        "JPMorgan Chase & Co": 0.81
      },
      "category": "Global Large-Stock Blend",
      "expenseRatio": 0.06,
      "asOf": "Vanguard",
      "sources": [
        "vanguard",
        "yahoo"
      ]
    },
    "VXUS": {
      "name": "Vanguard Total International Stock Index Fund ETF Shares",
      "countries": {
        "Japan": 15.4,
        "United Kingdom": 8.6,
        "Taiwan": 8.1,
        "Canada": 8,
        "China": 7.2,
        "Korea": 5.9,
        "France": 5.3,
        "Switzerland": 5.2,
        "Germany": 4.8,
        "India": 4.5,
        "Australia": 4.3,
        "Netherlands": 2.9,
        "Spain": 2.2,
        "Italy": 2.1,
        "Sweden": 2,
        "Brazil": 1.2,
        "Hong Kong": 1.2,
        "Denmark": 1,
        "Singapore": 1,
        "South Africa": 1,
        "Israel": 0.8,
        "Saudi Arabia": 0.8,
        "Belgium": 0.7,
        "Finland": 0.7,
        "Mexico": 0.6,
        "Malaysia": 0.5,
        "Norway": 0.5,
        "Thailand": 0.4,
        "Poland": 0.4,
        "United Arab Emirates": 0.4,
        "Austria": 0.3,
        "Turkey": 0.3,
        "Chile": 0.2,
        "Greece": 0.2,
        "Indonesia": 0.2,
        "Ireland": 0.2,
        "Kuwait": 0.2,
        "Qatar": 0.2,
        "New Zealand": 0.1,
        "Colombia": 0.1,
        "Hungary": 0.1,
        "Philippines": 0.1,
        "Portugal": 0.1
      },
      "sectors": {
        "Real Estate": 2.44,
        "Consumer Cyclical": 8.36,
        "Basic Materials": 7.04,
        "Consumer Defensive": 5.01,
        "Technology": 18.97,
        "Communication Services": 4.36,
        "Financial Services": 23.75,
        "Utilities": 3.01,
        "Industrials": 15.31,
        "Energy": 4.83,
        "Healthcare": 6.93
      },
      "holdings": {
        "Taiwan Semiconductor Manufacturing Co Ltd": 4.02,
        "Samsung Electronics Co Ltd": 1.8,
        "ASML Holding NV": 1.42,
        "SK hynix Inc": 1.41,
        "Tencent Holdings Ltd": 0.85,
        "HSBC Holdings PLC": 0.82,
        "Roche Holding AG Ordinary Shares new": 0.69,
        "Royal Bank of Canada": 0.66,
        "Novartis AG Registered Shares": 0.65,
        "Alibaba Group Holding Ltd Ordinary Shares": 0.62
      },
      "category": "Foreign Large Blend",
      "expenseRatio": 0.05,
      "asOf": "Vanguard",
      "sources": [
        "vanguard",
        "yahoo"
      ]
    },
    "VEA": {
      "name": "Vanguard FTSE Developed Markets Index Fund ETF Shares",
      "countries": {
        "Japan": 20.9,
        "United Kingdom": 11.6,
        "Canada": 10.9,
        "Korea": 8,
        "France": 7.2,
        "Switzerland": 7.1,
        "Germany": 6.5,
        "Australia": 5.8,
        "Netherlands": 3.9,
        "Spain": 3,
        "Italy": 2.8,
        "Sweden": 2.8,
        "Hong Kong": 1.7,
        "Denmark": 1.4,
        "Singapore": 1.3,
        "Israel": 1.1,
        "Belgium": 0.9,
        "Finland": 0.9,
        "Norway": 0.7,
        "Poland": 0.5,
        "Austria": 0.3,
        "Ireland": 0.3,
        "New Zealand": 0.2,
        "Portugal": 0.2
      },
      "sectors": {
        "Real Estate": 2.55,
        "Consumer Cyclical": 7.58,
        "Basic Materials": 6.94,
        "Consumer Defensive": 5.56,
        "Technology": 14.9,
        "Communication Services": 3.35,
        "Financial Services": 24.89,
        "Utilities": 3.08,
        "Industrials": 18.08,
        "Energy": 5.07,
        "Healthcare": 8.01
      },
      "holdings": {
        "Samsung Electronics Co Ltd": 2.48,
        "ASML Holding NV": 1.96,
        "SK hynix Inc": 1.94,
        "HSBC Holdings PLC": 1.13,
        "Roche Holding AG Ordinary Shares new": 0.95,
        "Royal Bank of Canada": 0.9,
        "Novartis AG Registered Shares": 0.9,
        "Nestle SA": 0.79,
        "Shell PLC": 0.79,
        "AstraZeneca PLC": 0.79
      },
      "category": "Foreign Large Blend",
      "expenseRatio": 0.03,
      "asOf": "Vanguard",
      "sources": [
        "vanguard",
        "yahoo"
      ]
    },
    "VWO": {
      "name": "Vanguard FTSE Emerging Markets Index Fund ETF Shares",
      "countries": {
        "Taiwan": 30.8,
        "China": 27.6,
        "India": 17,
        "Brazil": 4.5,
        "South Africa": 3.7,
        "Saudi Arabia": 3.1,
        "Mexico": 2.2,
        "Malaysia": 1.8,
        "Thailand": 1.7,
        "United Arab Emirates": 1.5,
        "Turkey": 1,
        "Greece": 0.8,
        "Indonesia": 0.8,
        "Kuwait": 0.7,
        "Chile": 0.7,
        "Qatar": 0.6,
        "Philippines": 0.5,
        "Hungary": 0.4,
        "Colombia": 0.2,
        "Czech Republic": 0.1,
        "Romania": 0.1,
        "Egypt": 0.1,
        "Iceland": 0.1
      },
      "sectors": {
        "Real Estate": 2.13,
        "Consumer Cyclical": 10.53,
        "Basic Materials": 7.33,
        "Consumer Defensive": 3.51,
        "Technology": 30.28,
        "Communication Services": 7.15,
        "Financial Services": 20.58,
        "Utilities": 2.83,
        "Industrials": 7.58,
        "Energy": 4.15,
        "Healthcare": 3.94
      },
      "holdings": {
        "Taiwan Semiconductor Manufacturing Co Ltd": 14.99,
        "Tencent Holdings Ltd": 3.19,
        "Alibaba Group Holding Ltd Ordinary Shares": 2.33,
        "MediaTek Inc": 1.31,
        "Delta Electronics Inc": 0.79,
        "Hon Hai Precision Industry Co Ltd": 0.78,
        "Reliance Industries Ltd": 0.77,
        "HDFC Bank Ltd": 0.75,
        "ICICI Bank Ltd": 0.67
      },
      "category": "Diversified Emerging Mkts",
      "expenseRatio": 0.06,
      "asOf": "Vanguard",
      "sources": [
        "vanguard",
        "yahoo"
      ]
    },
    "VGK": {
      "name": "Vanguard FTSE Europe ETF",
      "countries": {
        "United Kingdom": 23.2,
        "France": 14.3,
        "Switzerland": 14.1,
        "Germany": 13,
        "Netherlands": 7.8,
        "Spain": 6,
        "Italy": 5.7,
        "Sweden": 5.5,
        "Denmark": 2.7,
        "Belgium": 1.9,
        "Finland": 1.8,
        "Norway": 1.4,
        "Poland": 1,
        "Austria": 0.7,
        "Ireland": 0.6,
        "Portugal": 0.3
      },
      "sectors": {
        "Real Estate": 1.55,
        "Consumer Cyclical": 7.02,
        "Basic Materials": 5.31,
        "Consumer Defensive": 7.82,
        "Technology": 8.57,
        "Communication Services": 2.86,
        "Financial Services": 25.18,
        "Utilities": 4.36,
        "Industrials": 19.87,
        "Energy": 5.14,
        "Healthcare": 12.31
      },
      "holdings": {
        "ASML Holding NV": 3.93,
        "HSBC Holdings PLC": 2.26,
        "Roche Holding AG Ordinary Shares new": 1.9,
        "Novartis AG Registered Shares": 1.8,
        "Nestle SA": 1.59,
        "Shell PLC": 1.59,
        "AstraZeneca PLC": 1.58,
        "Siemens AG": 1.49,
        "Banco Santander SA": 1.27,
        "Allianz SE": 1.17
      },
      "category": "Europe Stock",
      "expenseRatio": 0.06,
      "asOf": "Vanguard",
      "sources": [
        "vanguard",
        "yahoo"
      ]
    },
    "VPL": {
      "name": "Vanguard FTSE Pacific Index Fund ETF Shares",
      "countries": {
        "Japan": 55.2,
        "Korea": 21.1,
        "Australia": 15.3,
        "Hong Kong": 4.4,
        "Singapore": 3.5,
        "New Zealand": 0.5
      },
      "sectors": {
        "Real Estate": 3.97,
        "Consumer Cyclical": 9.6,
        "Basic Materials": 6.72,
        "Consumer Defensive": 3.55,
        "Technology": 25.29,
        "Communication Services": 4.85,
        "Financial Services": 20.56,
        "Utilities": 1.42,
        "Industrials": 18.12,
        "Energy": 1.37,
        "Healthcare": 4.54
      },
      "holdings": {
        "Samsung Electronics Co Ltd": 6.53,
        "SK hynix Inc": 5.12,
        "Mitsubishi UFJ Financial Group Inc": 1.97,
        "BHP Group Ltd": 1.74,
        "Commonwealth Bank of Australia": 1.7,
        "Toyota Motor Corp": 1.64,
        "Sumitomo Mitsui Financial Group Inc": 1.26,
        "Tokyo Electron Ltd": 1.2,
        "Hitachi Ltd": 1.18,
        "Advantest Corp": 1.16
      },
      "category": "Focused Region",
      "expenseRatio": 0.07,
      "asOf": "Vanguard",
      "sources": [
        "vanguard",
        "yahoo"
      ]
    },
    "VIG": {
      "name": "Vanguard Dividend Appreciation Index Fund ETF Shares",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Information Technology": 25.3,
        "Financials": 22.1,
        "Health Care": 17.8,
        "Industrials": 11.9,
        "Consumer Staples": 9.4,
        "Consumer Discretionary": 4.1,
        "Energy": 3.3,
        "Materials": 3.2,
        "Utilities": 2.9
      },
      "holdings": {
        "Broadcom Inc": 4.62,
        "Apple Inc": 4.44,
        "Microsoft Corp": 4.33,
        "JPMorgan Chase & Co": 4.06,
        "Eli Lilly and Co": 3.92,
        "ExxonMobil Holdings Corp": 2.78,
        "Johnson & Johnson": 2.66,
        "Visa Inc Class A": 2.44,
        "Walmart Inc": 2.1,
        "Mastercard Inc Class A": 1.99
      },
      "category": "Large Blend",
      "expenseRatio": 0.04,
      "asOf": "Vanguard",
      "sources": [
        "override",
        "vanguard",
        "yahoo"
      ]
    },
    "VYM": {
      "name": "Vanguard High Dividend Yield Index Fund ETF Shares",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Financials": 21.3,
        "Industrials": 14.1,
        "Technology": 14,
        "Health Care": 12.5,
        "Energy": 9.4,
        "Consumer Staples": 8.4,
        "Consumer Discretionary": 7.7,
        "Utilities": 5.7,
        "Telecommunications": 4,
        "Basic Materials": 2.9
      },
      "holdings": {
        "Broadcom Inc": 7.35,
        "JPMorgan Chase & Co": 3.82,
        "ExxonMobil Holdings Corp": 2.62,
        "Johnson & Johnson": 2.51,
        "Cisco Systems Inc": 1.86,
        "AbbVie Inc": 1.8,
        "Bank of America Corp": 1.66,
        "UnitedHealth Group Inc": 1.52,
        "Caterpillar Inc": 1.5,
        "Chevron Corp": 1.48
      },
      "category": "Large Value",
      "expenseRatio": 0.04,
      "asOf": "Vanguard",
      "sources": [
        "override",
        "vanguard",
        "yahoo"
      ]
    },
    "VUG": {
      "name": "Vanguard Morningstar Growth ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Technology": 69.4,
        "Consumer Discretionary": 13.9,
        "Industrials": 7.7,
        "Health Care": 4.5,
        "Telecommunications": 1.3,
        "Financials": 1.2,
        "Real Estate": 1,
        "Basic Materials": 0.4,
        "Energy": 0.3,
        "Consumer Staples": 0.2,
        "Utilities": 0.1
      },
      "holdings": {
        "NVIDIA Corp": 12.81,
        "Apple Inc": 12.59,
        "Microsoft Corp": 9.59,
        "Alphabet Inc Class A": 5.8,
        "Amazon.com Inc": 5.15,
        "Alphabet Inc Class C": 4.62,
        "Broadcom Inc": 4.46,
        "Meta Platforms Inc Class A": 3.41,
        "Eli Lilly and Co": 2.72,
        "Tesla Inc": 2.44
      },
      "category": "Large Growth",
      "expenseRatio": 0.03,
      "asOf": "Vanguard",
      "sources": [
        "override",
        "vanguard",
        "yahoo"
      ]
    },
    "VTV": {
      "name": "Vanguard Morningstar Value ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Financials": 22.4,
        "Industrials": 16.5,
        "Health Care": 14.3,
        "Technology": 9.6,
        "Consumer Discretionary": 8.1,
        "Consumer Staples": 8,
        "Energy": 7.7,
        "Utilities": 5.2,
        "Telecommunications": 3.4,
        "Real Estate": 2.6,
        "Basic Materials": 2.2
      },
      "holdings": {
        "JPMorgan Chase & Co": 3.49,
        "Micron Technology Inc": 3.44,
        "Berkshire Hathaway Inc Class B": 2.98,
        "ExxonMobil Holdings Corp": 2.39,
        "Johnson & Johnson": 2.29,
        "Walmart Inc": 1.81,
        "AbbVie Inc": 1.64,
        "Cisco Systems Inc": 1.53,
        "Bank of America Corp": 1.47,
        "UnitedHealth Group Inc": 1.4
      },
      "category": "Large Value",
      "expenseRatio": 0.03,
      "asOf": "Vanguard",
      "sources": [
        "override",
        "vanguard",
        "yahoo"
      ]
    },
    "VB": {
      "name": "Vanguard Morningstar Small-Cap ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Industrials": 21.5,
        "Technology": 14.4,
        "Consumer Discretionary": 13.1,
        "Financials": 13,
        "Health Care": 12.7,
        "Real Estate": 7.7,
        "Basic Materials": 4.7,
        "Energy": 4.7,
        "Utilities": 3.6,
        "Consumer Staples": 3.3,
        "Telecommunications": 1.3
      },
      "holdings": {
        "Revolution Medicines Inc Ordinary Shares": 0.47,
        "Natera Inc": 0.45,
        "EMCOR Group Inc": 0.44,
        "Credo Technology Group Holding Ltd": 0.43,
        "Jabil Inc": 0.41,
        "Casey's General Stores Inc": 0.4,
        "Tapestry Inc": 0.38,
        "Twilio Inc Class A": 0.37,
        "Illumina Inc": 0.37,
        "Atmos Energy Corp": 0.36
      },
      "category": "Small Blend",
      "expenseRatio": 0.03,
      "asOf": "Vanguard",
      "sources": [
        "override",
        "vanguard",
        "yahoo"
      ]
    },
    "VO": {
      "name": "Vanguard Morningstar Mid-Cap ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Industrials": 20.7,
        "Technology": 14.3,
        "Consumer Discretionary": 13.6,
        "Financials": 13.4,
        "Utilities": 8.8,
        "Energy": 8.2,
        "Health Care": 6.7,
        "Real Estate": 5.2,
        "Consumer Staples": 4.9,
        "Basic Materials": 2.3,
        "Telecommunications": 1.9
      },
      "holdings": {
        "Howmet Aerospace Inc": 1.08,
        "Quanta Services Inc": 0.96,
        "Seagate Technology Holdings PLC": 0.92,
        "Western Digital Corp": 0.9,
        "Valero Energy Corp": 0.89,
        "Vertiv Holdings Co Class A": 0.89,
        "Marathon Petroleum Corp": 0.89,
        "Cloudflare Inc": 0.86,
        "Datadog Inc Class A": 0.85,
        "Cummins Inc": 0.84
      },
      "category": "Mid-Cap Blend",
      "expenseRatio": 0.03,
      "asOf": "Vanguard",
      "sources": [
        "override",
        "vanguard",
        "yahoo"
      ]
    },
    "VNQ": {
      "name": "Vanguard Real Estate Index Fund ETF Shares",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Real Estate": 99.45,
        "Communication Services": 0.4,
        "Industrials": 0.02,
        "Energy": 0.13
      },
      "holdings": {
        "Vanguard Real Estate II Index": 14.41,
        "Welltower Inc": 8.46,
        "Prologis Inc": 6.97,
        "Equinix Inc": 5.2,
        "American Tower Corp": 4.18,
        "Simon Property Group Inc": 3.85,
        "Digital Realty Trust Inc": 3.35,
        "Realty Income Corp": 3.06,
        "Public Storage": 2.81,
        "Ventas Inc": 2.3
      },
      "category": "Real Estate",
      "expenseRatio": 0.13,
      "asOf": "Aproximado por índice (fondo de EE. UU.)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "BND": {
      "name": "Vanguard Total Bond Market Index Fund ETF Shares",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Fixed Income": 100
      },
      "holdings": {
        "United States Treasury Note/Bond": 48.13,
        "Federal National Mortgage Assn.": 8.01,
        "Federal Home Loan Mortgage Corp.": 6.75,
        "Government National Mortgage Assn.": 4.9,
        "International Bank for Reconstruction & Development": 0.26,
        "JPMorgan Chase & Co.": 0.23,
        "Goldman Sachs Group Inc.": 0.23,
        "Bank of America Corp.": 0.21,
        "Morgan Stanley": 0.19,
        "European Investment Bank": 0.18,
        "Amazon.com Inc.": 0.15,
        "Federal Home Loan Banks": 0.13,
        "Kreditanstalt fuer Wiederaufbau": 0.11,
        "Mexico Government International Bond": 0.1,
        "Meta Platforms Inc.": 0.09
      },
      "category": "Intermediate Core Bond",
      "expenseRatio": 0.03,
      "asOf": "Aproximado por índice (renta fija EE. UU.) (dato retenido de una ejecución anterior)",
      "sources": [
        "override",
        "previo"
      ]
    },
    "SPY": {
      "name": "State Street SPDR S&P 500 ETF Trust",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Real Estate": 1.8,
        "Consumer Cyclical": 9.31,
        "Basic Materials": 1.68,
        "Consumer Defensive": 4.46,
        "Technology": 38.69,
        "Communication Services": 9.5,
        "Financial Services": 12.06,
        "Utilities": 1.98,
        "Industrials": 7.75,
        "Energy": 3.48,
        "Healthcare": 9.28
      },
      "holdings": {
        "NVIDIA Corp": 8.08,
        "Apple Inc": 7.03,
        "Microsoft Corp": 5.69,
        "Amazon.com Inc": 3.84,
        "Alphabet Inc Class A": 3.01,
        "Broadcom Inc": 2.65,
        "Alphabet Inc Class C": 2.4,
        "Meta Platforms Inc Class A": 1.9,
        "Micron Technology Inc": 1.63,
        "Tesla Inc": 1.56
      },
      "category": "Large Blend",
      "expenseRatio": 0.09,
      "asOf": "Aproximado por índice (fondo de EE. UU.)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "QQQ": {
      "name": "Invesco QQQ Trust",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Consumer Cyclical": 11.11,
        "Basic Materials": 1,
        "Consumer Defensive": 6.24,
        "Technology": 59.15,
        "Communication Services": 12.7,
        "Financial Services": 0.21,
        "Utilities": 1.14,
        "Industrials": 3.91,
        "Energy": 0.53,
        "Healthcare": 4.02
      },
      "holdings": {
        "NVIDIA Corp": 8.51,
        "Apple Inc": 7.41,
        "Microsoft Corp": 6,
        "Micron Technology Inc": 4.75,
        "Amazon.com Inc": 4.45,
        "Advanced Micro Devices Inc": 3.37,
        "Alphabet Inc Class A": 3.15,
        "Tesla Inc": 2.93,
        "Alphabet Inc Class C": 2.91,
        "Broadcom Inc": 2.8
      },
      "category": "Large Growth",
      "expenseRatio": 0.18,
      "asOf": "Aproximado por índice (fondo de EE. UU.)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "DIA": {
      "name": "State Street SPDR Dow Jones Industrial Average ETF Trust",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Consumer Cyclical": 9.95,
        "Basic Materials": 3.79,
        "Consumer Defensive": 3.78,
        "Technology": 18.4,
        "Communication Services": 4.99,
        "Financial Services": 27.46,
        "Industrials": 15.54,
        "Energy": 2.3,
        "Healthcare": 13.78
      },
      "holdings": {
        "The Goldman Sachs Group Inc": 11.45,
        "Caterpillar Inc": 8.9,
        "Microsoft Corp": 5.66,
        "Amgen Inc": 4.8,
        "UnitedHealth Group Inc": 4.35,
        "Visa Inc Class A": 4.24,
        "The Travelers Companies Inc": 4.09,
        "JPMorgan Chase & Co": 3.97,
        "Alphabet Inc Class A": 3.79,
        "Sherwin-Williams Co": 3.78
      },
      "category": "Large Value",
      "expenseRatio": 0.16,
      "asOf": "Aproximado por índice (fondo de EE. UU.)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "SCHD": {
      "name": "Schwab U.S. Dividend Equity ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Consumer Cyclical": 6.89,
        "Consumer Defensive": 19.46,
        "Technology": 12.94,
        "Communication Services": 6.46,
        "Financial Services": 9.76,
        "Utilities": 0.09,
        "Industrials": 7.5,
        "Energy": 15.41,
        "Healthcare": 21.48
      },
      "holdings": {
        "Merck & Co Inc": 4.78,
        "Abbott Laboratories": 4.77,
        "Amgen Inc": 4.72,
        "Coca-Cola Co": 4.2,
        "Verizon Communications Inc": 3.97,
        "Chevron Corp": 3.93,
        "The Home Depot Inc": 3.9,
        "ConocoPhillips": 3.86,
        "UnitedHealth Group Inc": 3.85,
        "Procter & Gamble Co": 3.79
      },
      "category": "Large Value",
      "expenseRatio": 0.06,
      "asOf": "Aproximado por índice (fondo de EE. UU.)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "JEPI": {
      "name": "JPMorgan Equity Premium Income ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Real Estate": 2.46,
        "Consumer Cyclical": 11.69,
        "Basic Materials": 1.62,
        "Consumer Defensive": 9.08,
        "Technology": 19.23,
        "Communication Services": 8.16,
        "Financial Services": 11.19,
        "Utilities": 5.27,
        "Industrials": 14.01,
        "Energy": 3.15,
        "Healthcare": 14.14
      },
      "holdings": {
        "Microsoft Corp": 1.98,
        "Amazon.com Inc": 1.9,
        "NVIDIA Corp": 1.84,
        "Mastercard Inc Class A": 1.83,
        "Apple Inc": 1.8,
        "Johnson & Johnson": 1.77,
        "Alphabet Inc Class A": 1.7,
        "Trane Technologies PLC Class A": 1.69,
        "AbbVie Inc": 1.64,
        "NextEra Energy Inc": 1.63
      },
      "category": "Derivative Income",
      "expenseRatio": 0.35,
      "asOf": "Aproximado por índice (fondo de EE. UU.)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "XLK": {
      "name": "State Street Technology Select Sector SPDR ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Technology": 100
      },
      "holdings": {
        "NVIDIA Corp": 14.36,
        "Apple Inc": 12.5,
        "Microsoft Corp": 10.12,
        "Broadcom Inc": 4.71,
        "Micron Technology Inc": 4,
        "Advanced Micro Devices Inc": 3.93,
        "Intel Corp": 2.9,
        "Cisco Systems Inc": 2.86,
        "Palantir Technologies Inc Ordinary Shares - Class A": 2.81,
        "Lam Research Corp": 2.47
      },
      "category": "Technology",
      "expenseRatio": 0.08,
      "asOf": "Aproximado por índice sectorial",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "XLF": {
      "name": "State Street Financial Select Sector SPDR ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Technology": 1.62,
        "Financial Services": 98.12,
        "Industrials": 0.26
      },
      "holdings": {
        "JPMorgan Chase & Co": 11.69,
        "Berkshire Hathaway Inc Class B": 11.32,
        "Visa Inc Class A": 7.71,
        "Mastercard Inc Class A": 5.83,
        "Bank of America Corp": 4.96,
        "The Goldman Sachs Group Inc": 3.71,
        "Wells Fargo & Co": 3.24,
        "Morgan Stanley": 3.13,
        "Citigroup Inc": 2.75,
        "Charles Schwab Corp": 2.2
      },
      "category": "Financial",
      "expenseRatio": 0.08,
      "asOf": "Aproximado por índice sectorial",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "XLE": {
      "name": "State Street Energy Select Sector SPDR ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Energy": 100
      },
      "holdings": {
        "ExxonMobil Holdings Corp": 19.86,
        "Chevron Corp": 14.89,
        "ConocoPhillips": 6.23,
        "Marathon Petroleum Corp": 5.42,
        "Phillips 66": 5.33,
        "Valero Energy Corp": 5.07,
        "SLB Ltd": 4.88,
        "EOG Resources Inc": 4.13,
        "Williams Companies Inc": 3.78,
        "Kinder Morgan Inc Class P": 3.65
      },
      "category": "Equity Energy",
      "expenseRatio": 0.08,
      "asOf": "Aproximado por índice sectorial",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "XLV": {
      "name": "State Street Health Care Select Sector SPDR ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Healthcare": 100
      },
      "holdings": {
        "Eli Lilly and Co": 14.87,
        "Johnson & Johnson": 10.4,
        "AbbVie Inc": 7.36,
        "Merck & Co Inc": 5.93,
        "UnitedHealth Group Inc": 5.75,
        "Amgen Inc": 3.77,
        "Thermo Fisher Scientific Inc": 3.73,
        "Abbott Laboratories": 3.12,
        "Gilead Sciences Inc": 2.95,
        "Pfizer Inc": 2.64
      },
      "category": "Health",
      "expenseRatio": 0.08,
      "asOf": "Aproximado por índice sectorial",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "XLY": {
      "name": "State Street Consumer Discretionary Select Sector SPDR ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Consumer Cyclical": 98.83,
        "Technology": 1.17
      },
      "holdings": {
        "Amazon.com Inc": 24.37,
        "Tesla Inc": 17.29,
        "The Home Depot Inc": 5.45,
        "McDonald's Corp": 4.07,
        "Booking Holdings Inc": 3.86,
        "TJX Companies Inc": 3.49,
        "Starbucks Corp": 3.03,
        "Lowe's Companies Inc": 2.87,
        "DoorDash Inc Ordinary Shares - Class A": 2.2,
        "General Motors Co": 1.95
      },
      "category": "Consumer Cyclical",
      "expenseRatio": 0.08,
      "asOf": "Aproximado por índice sectorial",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "XLP": {
      "name": "State Street Consumer Staples Select Sector SPDR ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Consumer Cyclical": 1.78,
        "Consumer Defensive": 98.22
      },
      "holdings": {
        "Walmart Inc": 9.82,
        "Costco Wholesale Corp": 8.94,
        "Coca-Cola Co": 7.33,
        "Procter & Gamble Co": 7.22,
        "Philip Morris International Inc": 6.24,
        "Target Corp": 4.66,
        "Colgate-Palmolive Co": 4.52,
        "PepsiCo Inc": 4.4,
        "Mondelez International Inc Class A": 4.38,
        "Altria Group Inc": 4.24
      },
      "category": "Consumer Defensive",
      "expenseRatio": 0.08,
      "asOf": "Aproximado por índice sectorial",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "XLI": {
      "name": "State Street Industrial Select Sector SPDR ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Consumer Cyclical": 0.19,
        "Basic Materials": 0.33,
        "Technology": 6.66,
        "Industrials": 92.81
      },
      "holdings": {
        "Caterpillar Inc": 6.67,
        "GE Aerospace": 6.36,
        "RTX Corp": 5.08,
        "GE Vernova Inc": 4.39,
        "Union Pacific Corp": 3.24,
        "Deere & Co": 2.99,
        "Boeing Co": 2.98,
        "Eaton Corp PLC": 2.84,
        "Uber Technologies Inc": 2.8,
        "Parker Hannifin Corp": 2.24
      },
      "category": "Industrials",
      "expenseRatio": 0.08,
      "asOf": "Aproximado por índice sectorial",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "XLU": {
      "name": "State Street Utilities Select Sector SPDR ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Utilities": 100
      },
      "holdings": {
        "NextEra Energy Inc": 13.05,
        "Southern Co": 7.54,
        "Duke Energy Corp": 7.1,
        "Constellation Energy Corp": 6.68,
        "American Electric Power Co Inc": 5.06,
        "Dominion Energy Inc": 4.41,
        "Sempra": 4.06,
        "Entergy Corp": 3.7,
        "Xcel Energy Inc": 3.59,
        "Exelon Corp": 3.4
      },
      "category": "Utilities",
      "expenseRatio": 0.08,
      "asOf": "Aproximado por índice sectorial",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "XLB": {
      "name": "State Street Materials Select Sector SPDR ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Consumer Cyclical": 15.52,
        "Basic Materials": 84.48
      },
      "holdings": {
        "Linde PLC": 13.13,
        "Newmont Corp": 7.81,
        "Freeport-McMoRan Inc": 6.32,
        "Corteva Inc": 4.91,
        "Air Products and Chemicals Inc": 4.83,
        "Sherwin-Williams Co": 4.81,
        "Ecolab Inc": 4.76,
        "Nucor Corp": 4.3,
        "Vulcan Materials Co": 4.27,
        "CRH PLC": 4.07
      },
      "category": "Natural Resources",
      "expenseRatio": 0.08,
      "asOf": "Aproximado por índice sectorial",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "XLRE": {
      "name": "State Street Real Estate Select Sector SPDR ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Real Estate": 100
      },
      "holdings": {
        "Welltower Inc": 11.43,
        "Prologis Inc": 9.09,
        "Equinix Inc": 7.07,
        "American Tower Corp": 5.61,
        "Vivmark Residential": 4.94,
        "Digital Realty Trust Inc": 4.92,
        "Simon Property Group Inc": 4.72,
        "Ventas Inc": 4.58,
        "Public Storage": 4.58,
        "Realty Income Corp": 4.49
      },
      "category": "Real Estate",
      "expenseRatio": 0.08,
      "asOf": "Aproximado por índice sectorial",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "XLC": {
      "name": "State Street Communication Services Select Sector SPDR ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Communication Services": 100
      },
      "holdings": {
        "Meta Platforms Inc Class A": 16.77,
        "Alphabet Inc Class A": 10.3,
        "Alphabet Inc Class C": 8.2,
        "AT&T Inc": 5.25,
        "Verizon Communications Inc": 5.02,
        "Comcast Corp Class A": 4.86,
        "Netflix Inc": 4.86,
        "The Walt Disney Co": 4.82,
        "Warner Bros. Discovery Inc Ordinary Shares - Class A": 4.65,
        "T-Mobile US Inc": 4.59
      },
      "category": "Communications",
      "expenseRatio": 0.08,
      "asOf": "Aproximado por índice sectorial",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "SHY": {
      "name": "iShares 1-3 Year Treasury Bond ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Fixed Income": 100
      },
      "holdings": {},
      "category": "Short Government",
      "expenseRatio": 0.15,
      "asOf": "Aproximado por índice (renta fija EE. UU.)",
      "sources": [
        "override"
      ]
    },
    "LQD": {
      "name": "iShares iBoxx $ Investment Grade Corporate Bond ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Fixed Income": 100
      },
      "holdings": {
        "BlackRock Cash Funds Treasury SL Agency": 1.02
      },
      "category": "Corporate Bond",
      "expenseRatio": 0.14,
      "asOf": "Aproximado por índice (renta fija EE. UU.)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "HYG": {
      "name": "iShares iBoxx $ High Yield Corporate Bond ETF",
      "countries": {
        "United States": 100
      },
      "sectors": {
        "Real Estate": 0.41,
        "Utilities": 99.59
      },
      "holdings": {
        "BlackRock Cash Funds Treasury SL Agency": 1.35
      },
      "category": "High Yield Bond",
      "expenseRatio": 0.49,
      "asOf": "Aproximado por índice (renta fija EE. UU.)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "IWDA": {
      "name": "iShares Core MSCI World UCITS ETF (Acc)",
      "isin": "IE00B4L5Y983",
      "countries": {
        "United States": 72.11,
        "Japan": 5.77,
        "United Kingdom": 3.59,
        "Canada": 3.45,
        "France": 2.39,
        "Switzerland": 2.26,
        "Germany": 2.16,
        "Australia": 1.64,
        "Netherlands": 1.46,
        "Spain": 0.99,
        "Sweden": 0.85,
        "Italy": 0.8,
        "Hong Kong": 0.48,
        "Singapore": 0.45,
        "Denmark": 0.41,
        "Finland": 0.31,
        "Belgium": 0.28,
        "Israel": 0.25,
        "Norway": 0.15,
        "Ireland": 0.1,
        "Austria": 0.09,
        "Portugal": 0.06,
        "New Zealand": 0.04,
        "European Union": 0.02
      },
      "sectors": {
        "Real Estate": 1.73,
        "Consumer Cyclical": 8.99,
        "Basic Materials": 3.06,
        "Consumer Defensive": 5.06,
        "Technology": 29.57,
        "Communication Services": 8.24,
        "Financial Services": 16.56,
        "Utilities": 2.45,
        "Industrials": 11.14,
        "Energy": 4.04,
        "Healthcare": 9.15
      },
      "holdings": {
        "NVIDIA Corp": 5.16,
        "Apple Inc": 5.05,
        "Microsoft Corp": 3.65,
        "Amazon.com Inc": 2.93,
        "Alphabet Inc Class A": 2.31,
        "Broadcom Inc": 1.95,
        "Alphabet Inc Class C": 1.84,
        "Meta Platforms Inc Class A": 1.36,
        "JPMorgan Chase & Co": 1.05,
        "Micron Technology Inc": 1.03
      },
      "expenseRatio": 0.2,
      "asOf": "iShares · 24/Jul/2026 (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "CSPX": {
      "name": "iShares Core S&P 500 UCITS ETF (Acc)",
      "isin": "IE00B5BMR087",
      "countries": {
        "United States": 99.95
      },
      "sectors": {
        "Real Estate": 1.88,
        "Consumer Cyclical": 9.58,
        "Basic Materials": 1.62,
        "Consumer Defensive": 4.61,
        "Technology": 37.4,
        "Communication Services": 9.91,
        "Financial Services": 12.24,
        "Utilities": 2.15,
        "Industrials": 8.16,
        "Energy": 3.35,
        "Healthcare": 9.1
      },
      "holdings": {
        "NVIDIA Corp": 7.54,
        "Apple Inc": 7.03,
        "Microsoft Corp": 5.35,
        "Amazon.com Inc": 4.12,
        "Alphabet Inc Class A": 3.24,
        "Broadcom Inc": 2.86,
        "Alphabet Inc Class C": 2.61,
        "Meta Platforms Inc Class A": 1.9,
        "JPMorgan Chase & Co": 1.46,
        "Berkshire Hathaway Inc Class B": 1.45
      },
      "expenseRatio": 0.07,
      "asOf": "iShares · 24/Jul/2026 (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "EIMI": {
      "name": "iShares Core MSCI EM IMI UCITS ETF (Acc)",
      "isin": "IE00BKM4GZ66",
      "countries": {
        "Taiwan": 26.72,
        "Korea (South)": 19.12,
        "China": 18.77,
        "India": 12.18,
        "Brazil": 3.54,
        "South Africa": 3.02,
        "Saudi Arabia": 2.37,
        "Mexico": 1.77,
        "Thailand": 1.22,
        "Poland": 1.21,
        "Malaysia": 1.2,
        "United Arab Emirates": 1.12,
        "Kuwait": 0.59,
        "Indonesia": 0.57,
        "Greece": 0.57,
        "Chile": 0.52,
        "Qatar": 0.5,
        "Germany": 0.48,
        "Turkey": 0.47,
        "Philippines": 0.38,
        "Peru": 0.38,
        "Hungary": 0.33,
        "Ireland": 0.26,
        "Colombia": 0.18,
        "United States": 0.14,
        "Czech Republic": 0.13,
        "Egypt": 0.08,
        "Hong Kong": 0.07
      },
      "sectors": {
        "Real Estate": 1.58,
        "Consumer Cyclical": 8.94,
        "Basic Materials": 6.11,
        "Consumer Defensive": 3.03,
        "Technology": 39,
        "Communication Services": 6.2,
        "Financial Services": 18.78,
        "Utilities": 2,
        "Industrials": 7.47,
        "Energy": 3.42,
        "Healthcare": 3.48
      },
      "holdings": {
        "Taiwan Semiconductor Manufacturing Co Ltd": 13.57,
        "Samsung Electronics Co Ltd": 6.32,
        "SK hynix Inc": 4.88,
        "Tencent Holdings Ltd": 2.74,
        "Alibaba Group Holding Ltd Ordinary Shares": 1.84,
        "MediaTek Inc": 1.18,
        "Samsung Electronics Co Ltd Participating Preferred": 0.79,
        "China Construction Bank Corp Class H": 0.74,
        "Delta Electronics Inc": 0.73,
        "Hon Hai Precision Industry Co Ltd": 0.7
      },
      "expenseRatio": 0.18,
      "asOf": "iShares · 24/Jul/2026 (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "AGGH": {
      "name": "iShares Core Global Aggregate Bond UCITS ETF (EUR Hedged, Acc)",
      "isin": "IE00BDBRDM35",
      "countries": {
        "United States": 29.58,
        "China": 10.71,
        "Japan": 7.22,
        "France": 3.07,
        "United Kingdom": 2.87,
        "Germany": 2.75,
        "Italy": 2.65,
        "Ireland": 2.16,
        "Supranational": 2.15,
        "Canada": 2.06,
        "Spain": 1.72,
        "Australia": 1.18,
        "Korea (South)": 1,
        "Belgium": 0.6,
        "Malaysia": 0.5,
        "Netherlands": 0.48,
        "Switzerland": 0.46,
        "Mexico": 0.42,
        "Austria": 0.41,
        "Thailand": 0.39,
        "Indonesia": 0.39,
        "Poland": 0.34,
        "Sweden": 0.32,
        "Finland": 0.24,
        "Singapore": 0.23,
        "Israel": 0.22,
        "Denmark": 0.2,
        "Portugal": 0.19,
        "New Zealand": 0.17,
        "Czech Republic": 0.17,
        "Greece": 0.13,
        "Norway": 0.13,
        "Saudi Arabia": 0.12,
        "Romania": 0.09,
        "Hungary": 0.09,
        "Peru": 0.08,
        "Slovak Republic": 0.07,
        "Chile": 0.07,
        "Latvia": 0.05,
        "Qatar": 0.05,
        "Kuwait": 0.05,
        "Slovenia": 0.04,
        "Lithuania": 0.03,
        "United Arab Emirates": 0.03,
        "Hong Kong": 0.02,
        "India": 0.02,
        "Croatia (Hrvatska)": 0.02,
        "Cyprus": 0.01,
        "Panama": 0.01,
        "Luxembourg": 0.01,
        "Philippines": 0.01,
        "Uruguay": 0.01
      },
      "sectors": {},
      "holdings": {
        "BlackRock ICS USD LiqEnvtlyAwr Agcy Inc": 1.82,
        "Blk Ics Eur As Liq Envirally Awr Agcy D": 1.01,
        "United States Treasury Notes 1.88%": 0.6,
        "United States Treasury Notes 2.38%": 0.5,
        "United States Treasury Notes 2%": 0.49,
        "United States Treasury Notes 2.88%": 0.47,
        "United States Treasury Notes 1.63%": 0.44,
        "Japan (Government Of) 1%": 0.42,
        "Japan (Government Of) 0.1%": 0.4
      },
      "expenseRatio": 0.1,
      "asOf": "iShares · 24/Jul/2026 (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "VWCE": {
      "name": "Vanguard FTSE All-World UCITS ETF (USD, Acc)",
      "isin": "IE00BK5BQT80",
      "countries": {
        "United States": 61.9,
        "Japan": 5.9,
        "Taiwan": 3.5,
        "United Kingdom": 3.1,
        "Canada": 2.9,
        "Korea": 2.8,
        "China": 2.6,
        "France": 1.9,
        "Switzerland": 1.9,
        "Germany": 1.7,
        "India": 1.7,
        "Australia": 1.6,
        "Netherlands": 1.2,
        "Italy": 0.8,
        "Spain": 0.8,
        "Sweden": 0.7,
        "Brazil": 0.4,
        "Denmark": 0.4,
        "Hong Kong": 0.4,
        "South Africa": 0.4,
        "Belgium": 0.3,
        "Finland": 0.3,
        "Israel": 0.3,
        "Saudi Arabia": 0.3,
        "Singapore": 0.3,
        "Malaysia": 0.2,
        "Mexico": 0.2,
        "Norway": 0.2,
        "Thailand": 0.2,
        "United Arab Emirates": 0.1,
        "Austria": 0.1,
        "Chile": 0.1,
        "Greece": 0.1,
        "Indonesia": 0.1,
        "Ireland": 0.1,
        "Kuwait": 0.1,
        "New Zealand": 0.1,
        "Poland": 0.1,
        "Qatar": 0.1,
        "Turkey": 0.1
      },
      "sectors": {
        "Real Estate": 1.84,
        "Consumer Cyclical": 9.06,
        "Basic Materials": 3.5,
        "Consumer Defensive": 4.75,
        "Technology": 30.66,
        "Communication Services": 7.94,
        "Financial Services": 16.95,
        "Utilities": 2.46,
        "Industrials": 10.62,
        "Energy": 3.94,
        "Healthcare": 8.27
      },
      "holdings": {
        "NVIDIA Corp": 4.48,
        "Apple Inc": 4.27,
        "Microsoft Corp": 3.3,
        "Amazon.com Inc": 2.52,
        "Alphabet Inc Class A": 2.01,
        "Taiwan Semiconductor Manufacturing Co Ltd": 1.74,
        "Broadcom Inc": 1.73,
        "Alphabet Inc Class C": 1.6,
        "Meta Platforms Inc Class A": 1.17,
        "JPMorgan Chase & Co": 0.9
      },
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (VT) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "VWRL": {
      "name": "Vanguard FTSE All-World UCITS ETF (USD, Dist)",
      "isin": "IE00B3RBWM25",
      "countries": {
        "United States": 61.9,
        "Japan": 5.9,
        "Taiwan": 3.5,
        "United Kingdom": 3.1,
        "Canada": 2.9,
        "Korea": 2.8,
        "China": 2.6,
        "France": 1.9,
        "Switzerland": 1.9,
        "Germany": 1.7,
        "India": 1.7,
        "Australia": 1.6,
        "Netherlands": 1.2,
        "Italy": 0.8,
        "Spain": 0.8,
        "Sweden": 0.7,
        "Brazil": 0.4,
        "Denmark": 0.4,
        "Hong Kong": 0.4,
        "South Africa": 0.4,
        "Belgium": 0.3,
        "Finland": 0.3,
        "Israel": 0.3,
        "Saudi Arabia": 0.3,
        "Singapore": 0.3,
        "Malaysia": 0.2,
        "Mexico": 0.2,
        "Norway": 0.2,
        "Thailand": 0.2,
        "United Arab Emirates": 0.1,
        "Austria": 0.1,
        "Chile": 0.1,
        "Greece": 0.1,
        "Indonesia": 0.1,
        "Ireland": 0.1,
        "Kuwait": 0.1,
        "New Zealand": 0.1,
        "Poland": 0.1,
        "Qatar": 0.1,
        "Turkey": 0.1
      },
      "sectors": {
        "Real Estate": 1.84,
        "Consumer Cyclical": 9.06,
        "Basic Materials": 3.5,
        "Consumer Defensive": 4.75,
        "Technology": 30.66,
        "Communication Services": 7.94,
        "Financial Services": 16.95,
        "Utilities": 2.46,
        "Industrials": 10.62,
        "Energy": 3.94,
        "Healthcare": 8.27
      },
      "holdings": {
        "NVIDIA Corp": 4.48,
        "Apple Inc": 4.27,
        "Microsoft Corp": 3.3,
        "Amazon.com Inc": 2.52,
        "Alphabet Inc Class A": 2.01,
        "Taiwan Semiconductor Manufacturing Co Ltd": 1.74,
        "Broadcom Inc": 1.73,
        "Alphabet Inc Class C": 1.6,
        "Meta Platforms Inc Class A": 1.17,
        "JPMorgan Chase & Co": 0.9
      },
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (VT) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "VUAA": {
      "name": "Vanguard S&P 500 UCITS ETF (USD, Acc)",
      "isin": "IE00BFMXXD54",
      "countries": {
        "United States": 100.03
      },
      "sectors": {
        "Real Estate": 1.88,
        "Consumer Cyclical": 9.58,
        "Basic Materials": 1.62,
        "Consumer Defensive": 4.62,
        "Technology": 37.42,
        "Communication Services": 9.91,
        "Financial Services": 12.2,
        "Utilities": 2.15,
        "Industrials": 8.16,
        "Energy": 3.36,
        "Healthcare": 9.1
      },
      "holdings": {
        "NVIDIA Corp": 7.56,
        "Apple Inc": 7.05,
        "Microsoft Corp": 5.37,
        "Amazon.com Inc": 4.13,
        "Alphabet Inc Class A": 3.25,
        "Broadcom Inc": 2.86,
        "Alphabet Inc Class C": 2.62,
        "Meta Platforms Inc Class A": 1.9,
        "JPMorgan Chase & Co": 1.47,
        "Berkshire Hathaway Inc Class B": 1.46
      },
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (CSPX) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "VUSA": {
      "name": "Vanguard S&P 500 UCITS ETF (USD, Dist)",
      "isin": "IE00B3XXRP09",
      "countries": {
        "United States": 100.03
      },
      "sectors": {
        "Real Estate": 1.88,
        "Consumer Cyclical": 9.58,
        "Basic Materials": 1.62,
        "Consumer Defensive": 4.62,
        "Technology": 37.42,
        "Communication Services": 9.91,
        "Financial Services": 12.2,
        "Utilities": 2.15,
        "Industrials": 8.16,
        "Energy": 3.36,
        "Healthcare": 9.1
      },
      "holdings": {
        "NVIDIA Corp": 7.56,
        "Apple Inc": 7.05,
        "Microsoft Corp": 5.37,
        "Amazon.com Inc": 4.13,
        "Alphabet Inc Class A": 3.25,
        "Broadcom Inc": 2.86,
        "Alphabet Inc Class C": 2.62,
        "Meta Platforms Inc Class A": 1.9,
        "JPMorgan Chase & Co": 1.47,
        "Berkshire Hathaway Inc Class B": 1.46
      },
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (CSPX) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "VHVG": {
      "name": "Vanguard FTSE Developed World UCITS ETF (USD, Acc)",
      "isin": "IE00BK5BQV03",
      "countries": {
        "United States": 72.41,
        "Japan": 5.63,
        "United Kingdom": 3.52,
        "Canada": 3.43,
        "France": 2.38,
        "Switzerland": 2.27,
        "Germany": 2.15,
        "Australia": 1.65,
        "Netherlands": 1.45,
        "Spain": 0.99,
        "Sweden": 0.85,
        "Italy": 0.79,
        "Hong Kong": 0.47,
        "Singapore": 0.45,
        "Denmark": 0.42,
        "Finland": 0.3,
        "Belgium": 0.27,
        "Israel": 0.24,
        "Norway": 0.14,
        "Ireland": 0.1,
        "Austria": 0.09,
        "Portugal": 0.05,
        "New Zealand": 0.04,
        "European Union": 0.01
      },
      "sectors": {
        "Real Estate": 1.86,
        "Consumer Cyclical": 8.91,
        "Basic Materials": 3.09,
        "Consumer Defensive": 4.89,
        "Technology": 30.62,
        "Communication Services": 8,
        "Financial Services": 16.43,
        "Utilities": 2.42,
        "Industrials": 11.07,
        "Energy": 3.89,
        "Healthcare": 8.81
      },
      "holdings": {
        "NVIDIA Corp": 4.98,
        "Apple Inc": 4.75,
        "Microsoft Corp": 3.67,
        "Amazon.com Inc": 2.8,
        "Alphabet Inc Class A": 2.2,
        "Broadcom Inc": 1.93,
        "Alphabet Inc Class C": 1.82,
        "Meta Platforms Inc Class A": 1.3,
        "JPMorgan Chase & Co": 1,
        "Micron Technology Inc": 0.99
      },
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (IWDA) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "VEVE": {
      "name": "Vanguard FTSE Developed World UCITS ETF (USD, Dist)",
      "isin": "IE00BKX55T58",
      "countries": {
        "United States": 72.41,
        "Japan": 5.63,
        "United Kingdom": 3.52,
        "Canada": 3.43,
        "France": 2.38,
        "Switzerland": 2.27,
        "Germany": 2.15,
        "Australia": 1.65,
        "Netherlands": 1.45,
        "Spain": 0.99,
        "Sweden": 0.85,
        "Italy": 0.79,
        "Hong Kong": 0.47,
        "Singapore": 0.45,
        "Denmark": 0.42,
        "Finland": 0.3,
        "Belgium": 0.27,
        "Israel": 0.24,
        "Norway": 0.14,
        "Ireland": 0.1,
        "Austria": 0.09,
        "Portugal": 0.05,
        "New Zealand": 0.04,
        "European Union": 0.01
      },
      "sectors": {
        "Real Estate": 1.86,
        "Consumer Cyclical": 8.91,
        "Basic Materials": 3.09,
        "Consumer Defensive": 4.89,
        "Technology": 30.62,
        "Communication Services": 8,
        "Financial Services": 16.43,
        "Utilities": 2.42,
        "Industrials": 11.07,
        "Energy": 3.89,
        "Healthcare": 8.81
      },
      "holdings": {
        "NVIDIA Corp": 4.98,
        "Apple Inc": 4.75,
        "Microsoft Corp": 3.67,
        "Amazon.com Inc": 2.8,
        "Alphabet Inc Class A": 2.2,
        "Broadcom Inc": 1.93,
        "Alphabet Inc Class C": 1.82,
        "Meta Platforms Inc Class A": 1.3,
        "JPMorgan Chase & Co": 1,
        "Micron Technology Inc": 0.99
      },
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (IWDA) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "VWCG": {
      "name": "Vanguard FTSE Developed Europe UCITS ETF (EUR, Acc)",
      "isin": "IE00BK5BQX27",
      "countries": {
        "United Kingdom": 22.5,
        "Switzerland": 14.3,
        "France": 14.2,
        "Germany": 12.9,
        "Netherlands": 8.7,
        "Spain": 6,
        "Italy": 5.7,
        "Sweden": 5.4,
        "Denmark": 2.7,
        "Belgium": 1.9,
        "Finland": 1.9,
        "Norway": 1.3,
        "Poland": 1,
        "Austria": 0.7,
        "Ireland": 0.5,
        "Portugal": 0.3
      },
      "sectors": {
        "Real Estate": 1.05,
        "Consumer Cyclical": 6.71,
        "Basic Materials": 5.37,
        "Consumer Defensive": 8.25,
        "Technology": 8.61,
        "Communication Services": 2.69,
        "Financial Services": 25.71,
        "Utilities": 4.62,
        "Industrials": 19.22,
        "Energy": 5.07,
        "Healthcare": 12.7
      },
      "holdings": {
        "ASML Holding NV": 4.31,
        "HSBC Holdings PLC": 2.46,
        "Roche Holding AG Ordinary Shares new": 2.08,
        "Novartis AG Registered Shares": 1.98,
        "Nestle SA": 1.75,
        "Shell PLC": 1.73,
        "AstraZeneca PLC": 1.73,
        "Siemens AG": 1.62,
        "Banco Santander SA": 1.39,
        "Allianz SE": 1.28
      },
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (VGK) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "VFEM": {
      "name": "Vanguard FTSE Emerging Markets UCITS ETF (USD, Dist)",
      "isin": "IE00B3VVMM84",
      "countries": {
        "Taiwan": 34.3,
        "China": 25.6,
        "India": 16.5,
        "Brazil": 4.1,
        "South Africa": 3.6,
        "Saudi Arabia": 3.1,
        "Mexico": 2.1,
        "Malaysia": 1.7,
        "Thailand": 1.6,
        "United Arab Emirates": 1.5,
        "Turkey": 1,
        "Greece": 0.8,
        "Chile": 0.7,
        "Indonesia": 0.7,
        "Kuwait": 0.7,
        "Qatar": 0.6,
        "Philippines": 0.4,
        "Hungary": 0.4,
        "Colombia": 0.2,
        "Czech Republic": 0.1,
        "Romania": 0.1,
        "Egypt": 0.1,
        "Iceland": 0.1
      },
      "sectors": {
        "Real Estate": 1.63,
        "Consumer Cyclical": 10.45,
        "Basic Materials": 7,
        "Consumer Defensive": 3.44,
        "Technology": 31.12,
        "Communication Services": 7.51,
        "Financial Services": 21.45,
        "Utilities": 2.89,
        "Industrials": 6.65,
        "Energy": 4.36,
        "Healthcare": 3.49
      },
      "holdings": {
        "Taiwan Semiconductor Manufacturing Co Ltd": 17.31,
        "Tencent Holdings Ltd": 3.6,
        "Alibaba Group Holding Ltd Ordinary Shares": 2.59,
        "MediaTek Inc": 1.53,
        "China Construction Bank Corp Class H": 0.98,
        "Delta Electronics Inc": 0.93,
        "Hon Hai Precision Industry Co Ltd": 0.9,
        "Reliance Industries Ltd": 0.87,
        "HDFC Bank Ltd": 0.85,
        "ICICI Bank Ltd": 0.76
      },
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (VWO) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "VFEA": {
      "name": "Vanguard FTSE Emerging Markets UCITS ETF (USD, Acc)",
      "isin": "IE00BK5BR733",
      "countries": {
        "Taiwan": 34.3,
        "China": 25.6,
        "India": 16.5,
        "Brazil": 4.1,
        "South Africa": 3.6,
        "Saudi Arabia": 3.1,
        "Mexico": 2.1,
        "Malaysia": 1.7,
        "Thailand": 1.6,
        "United Arab Emirates": 1.5,
        "Turkey": 1,
        "Greece": 0.8,
        "Chile": 0.7,
        "Indonesia": 0.7,
        "Kuwait": 0.7,
        "Qatar": 0.6,
        "Philippines": 0.4,
        "Hungary": 0.4,
        "Colombia": 0.2,
        "Czech Republic": 0.1,
        "Romania": 0.1,
        "Egypt": 0.1,
        "Iceland": 0.1
      },
      "sectors": {
        "Real Estate": 1.63,
        "Consumer Cyclical": 10.45,
        "Basic Materials": 7,
        "Consumer Defensive": 3.44,
        "Technology": 31.12,
        "Communication Services": 7.51,
        "Financial Services": 21.45,
        "Utilities": 2.89,
        "Industrials": 6.65,
        "Energy": 4.36,
        "Healthcare": 3.49
      },
      "holdings": {
        "Taiwan Semiconductor Manufacturing Co Ltd": 17.31,
        "Tencent Holdings Ltd": 3.6,
        "Alibaba Group Holding Ltd Ordinary Shares": 2.59,
        "MediaTek Inc": 1.53,
        "China Construction Bank Corp Class H": 0.98,
        "Delta Electronics Inc": 0.93,
        "Hon Hai Precision Industry Co Ltd": 0.9,
        "Reliance Industries Ltd": 0.87,
        "HDFC Bank Ltd": 0.85,
        "ICICI Bank Ltd": 0.76
      },
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (VWO) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "0P00000RQB": {
      "name": "Vanguard Global Stock Index Fund (USD, Acc)",
      "isin": "IE00B03HD084",
      "countries": {
        "United States": 72.41,
        "Japan": 5.63,
        "United Kingdom": 3.52,
        "Canada": 3.43,
        "France": 2.38,
        "Switzerland": 2.27,
        "Germany": 2.15,
        "Australia": 1.65,
        "Netherlands": 1.45,
        "Spain": 0.99,
        "Sweden": 0.85,
        "Italy": 0.79,
        "Hong Kong": 0.47,
        "Singapore": 0.45,
        "Denmark": 0.42,
        "Finland": 0.3,
        "Belgium": 0.27,
        "Israel": 0.24,
        "Norway": 0.14,
        "Ireland": 0.1,
        "Austria": 0.09,
        "Portugal": 0.05,
        "New Zealand": 0.04,
        "European Union": 0.01
      },
      "sectors": {
        "Real Estate": 1.74,
        "Consumer Cyclical": 8.98,
        "Basic Materials": 3.07,
        "Consumer Defensive": 5.05,
        "Technology": 29.63,
        "Communication Services": 8.24,
        "Financial Services": 16.46,
        "Utilities": 2.45,
        "Industrials": 11.16,
        "Energy": 4.05,
        "Healthcare": 9.17
      },
      "holdings": {
        "NVIDIA Corp": 5.19,
        "Apple Inc": 5.07,
        "Microsoft Corp": 3.67,
        "Amazon.com Inc": 2.94,
        "Alphabet Inc Class A": 2.3,
        "Broadcom Inc": 1.96,
        "Alphabet Inc Class C": 1.86,
        "Meta Platforms Inc Class A": 1.37,
        "JPMorgan Chase & Co": 1.06,
        "Micron Technology Inc": 1.04
      },
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (IWDA) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "0P00000RQC": {
      "name": "Vanguard Global Stock Index Fund (EUR, Acc)",
      "countries": {
        "United States": 72.41,
        "Japan": 5.63,
        "United Kingdom": 3.52,
        "Canada": 3.43,
        "France": 2.38,
        "Switzerland": 2.27,
        "Germany": 2.15,
        "Australia": 1.65,
        "Netherlands": 1.45,
        "Spain": 0.99,
        "Sweden": 0.85,
        "Italy": 0.79,
        "Hong Kong": 0.47,
        "Singapore": 0.45,
        "Denmark": 0.42,
        "Finland": 0.3,
        "Belgium": 0.27,
        "Israel": 0.24,
        "Norway": 0.14,
        "Ireland": 0.1,
        "Austria": 0.09,
        "Portugal": 0.05,
        "New Zealand": 0.04,
        "European Union": 0.01
      },
      "sectors": {
        "Real Estate": 1.74,
        "Consumer Cyclical": 8.98,
        "Basic Materials": 3.07,
        "Consumer Defensive": 5.05,
        "Technology": 29.63,
        "Communication Services": 8.24,
        "Financial Services": 16.46,
        "Utilities": 2.45,
        "Industrials": 11.16,
        "Energy": 4.05,
        "Healthcare": 9.17
      },
      "holdings": {
        "NVIDIA Corp": 5.19,
        "Apple Inc": 5.07,
        "Microsoft Corp": 3.67,
        "Amazon.com Inc": 2.94,
        "Alphabet Inc Class A": 2.3,
        "Broadcom Inc": 1.96,
        "Alphabet Inc Class C": 1.86,
        "Meta Platforms Inc Class A": 1.37,
        "JPMorgan Chase & Co": 1.06,
        "Micron Technology Inc": 1.04
      },
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (IWDA) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "0P00000RNC": {
      "name": "Vanguard U.S. 500 Stock Index Fund (USD, Acc)",
      "countries": {
        "United States": 100.03
      },
      "sectors": {
        "Real Estate": 1.88,
        "Consumer Cyclical": 9.58,
        "Basic Materials": 1.62,
        "Consumer Defensive": 4.62,
        "Technology": 37.42,
        "Communication Services": 9.91,
        "Financial Services": 12.2,
        "Utilities": 2.15,
        "Industrials": 8.16,
        "Energy": 3.36,
        "Healthcare": 9.1
      },
      "holdings": {
        "NVIDIA Corp": 7.56,
        "Apple Inc": 7.05,
        "Microsoft Corp": 5.36,
        "Amazon.com Inc": 4.13,
        "Alphabet Inc Class A": 3.25,
        "Broadcom Inc": 2.86,
        "Alphabet Inc Class C": 2.62,
        "Meta Platforms Inc Class A": 1.9,
        "JPMorgan Chase & Co": 1.46,
        "Micron Technology Inc": 1.44
      },
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (CSPX) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "0P000010OB": {
      "name": "Vanguard Japan Stock Index Fund",
      "countries": {
        "Japan": 100
      },
      "sectors": {
        "Real Estate": 1.89,
        "Consumer Cyclical": 11.88,
        "Basic Materials": 2.93,
        "Consumer Defensive": 3.6,
        "Technology": 20.95,
        "Communication Services": 8.42,
        "Financial Services": 19.41,
        "Utilities": 0.96,
        "Industrials": 23.67,
        "Energy": 0.93,
        "Healthcare": 5.35
      },
      "holdings": {
        "Mitsubishi UFJ Financial Group Inc": 4.67,
        "Toyota Motor Corp": 3.56,
        "Tokyo Electron Ltd": 3.05,
        "Sumitomo Mitsui Financial Group Inc": 3.04,
        "Advantest Corp": 2.91,
        "Hitachi Ltd": 2.85,
        "Sony Group Corp": 2.71,
        "SoftBank Group Corp": 2.39,
        "Mizuho Financial Group Inc": 2.37,
        "Recruit Holdings Co Ltd": 2.04
      },
      "asOf": "Aproximado por índice (fondo de Japón)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "0P0001BIBT": {
      "name": "Vanguard Pacific ex-Japan Stock Index Fund",
      "countries": {
        "Japan": 52.9,
        "Korea": 25.7,
        "Australia": 14.1,
        "Hong Kong": 3.8,
        "Singapore": 3,
        "New Zealand": 0.5
      },
      "sectors": {
        "Real Estate": 7.03,
        "Consumer Cyclical": 6.8,
        "Basic Materials": 15.03,
        "Consumer Defensive": 3.02,
        "Technology": 0.92,
        "Communication Services": 2.49,
        "Financial Services": 46.48,
        "Utilities": 3.34,
        "Industrials": 8.52,
        "Energy": 2.67,
        "Healthcare": 3.7
      },
      "holdings": {
        "BHP Group Ltd": 9.28,
        "Commonwealth Bank of Australia": 9,
        "DBS Group Holdings Ltd": 5.13,
        "AIA Group Ltd": 4.58,
        "Westpac Banking Corp": 3.92,
        "National Australia Bank Ltd": 3.84,
        "ANZ Group Holdings Ltd": 3.41,
        "Oversea-Chinese Banking Corp Ltd": 3.2,
        "Wesfarmers Ltd": 3.07,
        "Macquarie Group Ltd": 2.78
      },
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (VPL) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "0P0000V8HR": {
      "name": "iShares Developed World Index Fund (IE)",
      "countries": {
        "United States": 72.41,
        "Japan": 5.63,
        "United Kingdom": 3.52,
        "Canada": 3.43,
        "France": 2.38,
        "Switzerland": 2.27,
        "Germany": 2.15,
        "Australia": 1.65,
        "Netherlands": 1.45,
        "Spain": 0.99,
        "Sweden": 0.85,
        "Italy": 0.79,
        "Hong Kong": 0.47,
        "Singapore": 0.45,
        "Denmark": 0.42,
        "Finland": 0.3,
        "Belgium": 0.27,
        "Israel": 0.24,
        "Norway": 0.14,
        "Ireland": 0.1,
        "Austria": 0.09,
        "Portugal": 0.05,
        "New Zealand": 0.04,
        "European Union": 0.01
      },
      "sectors": {
        "Real Estate": 1.88,
        "Consumer Cyclical": 9.24,
        "Basic Materials": 3.45,
        "Consumer Defensive": 5.53,
        "Technology": 26.5,
        "Communication Services": 8.71,
        "Financial Services": 16.03,
        "Utilities": 2.86,
        "Industrials": 11.41,
        "Energy": 4.71,
        "Healthcare": 9.67
      },
      "holdings": {
        "NVIDIA Corp": 5.29,
        "Apple Inc": 4.66,
        "Microsoft Corp": 3.27,
        "Amazon.com Inc": 2.5,
        "Alphabet Inc Class A": 2.09,
        "Alphabet Inc Class C": 1.74,
        "Broadcom Inc": 1.74,
        "Meta Platforms Inc Class A": 1.55,
        "Tesla Inc": 1.31,
        "JPMorgan Chase & Co": 1
      },
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (IWDA) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "0P0000N5GE": {
      "name": "iShares Emerging Markets Index Fund (IE)",
      "countries": {
        "Taiwan": 34.3,
        "China": 25.6,
        "India": 16.5,
        "Brazil": 4.1,
        "South Africa": 3.6,
        "Saudi Arabia": 3.1,
        "Mexico": 2.1,
        "Malaysia": 1.7,
        "Thailand": 1.6,
        "United Arab Emirates": 1.5,
        "Turkey": 1,
        "Greece": 0.8,
        "Chile": 0.7,
        "Indonesia": 0.7,
        "Kuwait": 0.7,
        "Qatar": 0.6,
        "Philippines": 0.4,
        "Hungary": 0.4,
        "Colombia": 0.2,
        "Czech Republic": 0.1,
        "Romania": 0.1,
        "Egypt": 0.1,
        "Iceland": 0.1
      },
      "sectors": {
        "Real Estate": 1.01,
        "Consumer Cyclical": 8.4,
        "Basic Materials": 5.71,
        "Consumer Defensive": 2.68,
        "Technology": 42.43,
        "Communication Services": 6.64,
        "Financial Services": 18.86,
        "Utilities": 1.87,
        "Industrials": 6.26,
        "Energy": 3.43,
        "Healthcare": 2.69
      },
      "holdings": {
        "Taiwan Semiconductor Manufacturing Co Ltd": 15.42,
        "Samsung Electronics Co Ltd": 7.18,
        "SK hynix Inc": 5.55,
        "Tencent Holdings Ltd": 3.11,
        "Alibaba Group Holding Ltd Ordinary Shares": 2.08,
        "MediaTek Inc": 1.32,
        "Samsung Electronics Co Ltd Participating Preferred": 0.9,
        "China Construction Bank Corp Class H": 0.82,
        "Delta Electronics Inc": 0.82,
        "Hon Hai Precision Industry Co Ltd": 0.79
      },
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (VWO) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "0P0000ADUP": {
      "name": "iShares US Index Fund (IE)",
      "countries": {
        "United States": 100.03
      },
      "sectors": {
        "Real Estate": 1.88,
        "Consumer Cyclical": 9.57,
        "Basic Materials": 1.62,
        "Consumer Defensive": 4.61,
        "Technology": 37.4,
        "Communication Services": 9.91,
        "Financial Services": 12.24,
        "Utilities": 2.15,
        "Industrials": 8.16,
        "Energy": 3.36,
        "Healthcare": 9.1
      },
      "holdings": {},
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (CSPX) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "0P0000Y356": {
      "name": "iShares Europe Index Fund (IE)",
      "countries": {
        "United Kingdom": 22.5,
        "Switzerland": 14.3,
        "France": 14.2,
        "Germany": 12.9,
        "Netherlands": 8.7,
        "Spain": 6,
        "Italy": 5.7,
        "Sweden": 5.4,
        "Denmark": 2.7,
        "Belgium": 1.9,
        "Finland": 1.9,
        "Norway": 1.3,
        "Poland": 1,
        "Austria": 0.7,
        "Ireland": 0.5,
        "Portugal": 0.3
      },
      "sectors": {
        "Real Estate": 0.75,
        "Consumer Cyclical": 6.24,
        "Basic Materials": 5.3,
        "Consumer Defensive": 8.66,
        "Technology": 8.78,
        "Communication Services": 3.43,
        "Financial Services": 25,
        "Utilities": 4.62,
        "Industrials": 19.25,
        "Energy": 5.04,
        "Healthcare": 12.92
      },
      "holdings": {
        "ASML Holding NV": 4.45,
        "HSBC Holdings PLC": 2.53,
        "Roche Holding AG Ordinary Shares new": 2.13,
        "Novartis AG Registered Shares": 1.99,
        "Nestle SA": 1.79,
        "AstraZeneca PLC": 1.79,
        "Shell PLC": 1.78,
        "Siemens AG": 1.68,
        "Banco Santander SA": 1.41,
        "SAP SE": 1.32
      },
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (VGK) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "0P0001JCY8": {
      "name": "iShares Japan Index Fund (IE)",
      "countries": {
        "Japan": 100
      },
      "sectors": {
        "Real Estate": 1.89,
        "Consumer Cyclical": 11.88,
        "Basic Materials": 2.93,
        "Consumer Defensive": 3.6,
        "Technology": 20.96,
        "Communication Services": 8.42,
        "Financial Services": 19.42,
        "Utilities": 0.96,
        "Industrials": 23.66,
        "Energy": 0.94,
        "Healthcare": 5.35
      },
      "holdings": {
        "Mitsubishi UFJ Financial Group Inc": 4.63,
        "Toyota Motor Corp": 3.53,
        "Tokyo Electron Ltd": 3.02,
        "Sumitomo Mitsui Financial Group Inc": 3.01,
        "Advantest Corp": 2.89,
        "Hitachi Ltd": 2.83,
        "Sony Group Corp": 2.69,
        "SoftBank Group Corp": 2.37,
        "Mizuho Financial Group Inc": 2.35,
        "Recruit Holdings Co Ltd": 2.02
      },
      "asOf": "Aproximado por índice (fondo de Japón)",
      "sources": [
        "override",
        "yahoo"
      ]
    },
    "ETFGLO": {
      "name": "Amundi Prime Global UCITS ETF (Dist)",
      "countries": {
        "United States": 61.9,
        "Japan": 5.9,
        "Taiwan": 3.5,
        "United Kingdom": 3.1,
        "Canada": 2.9,
        "Korea": 2.8,
        "China": 2.6,
        "France": 1.9,
        "Switzerland": 1.9,
        "Germany": 1.7,
        "India": 1.7,
        "Australia": 1.6,
        "Netherlands": 1.2,
        "Italy": 0.8,
        "Spain": 0.8,
        "Sweden": 0.7,
        "Brazil": 0.4,
        "Denmark": 0.4,
        "Hong Kong": 0.4,
        "South Africa": 0.4,
        "Belgium": 0.3,
        "Finland": 0.3,
        "Israel": 0.3,
        "Saudi Arabia": 0.3,
        "Singapore": 0.3,
        "Malaysia": 0.2,
        "Mexico": 0.2,
        "Norway": 0.2,
        "Thailand": 0.2,
        "United Arab Emirates": 0.1,
        "Austria": 0.1,
        "Chile": 0.1,
        "Greece": 0.1,
        "Indonesia": 0.1,
        "Ireland": 0.1,
        "Kuwait": 0.1,
        "New Zealand": 0.1,
        "Poland": 0.1,
        "Qatar": 0.1,
        "Turkey": 0.1
      },
      "sectors": {
        "Real Estate": 1.68,
        "Consumer Cyclical": 9.02,
        "Basic Materials": 2.99,
        "Consumer Defensive": 5.1,
        "Technology": 29.72,
        "Communication Services": 8.54,
        "Financial Services": 16.64,
        "Utilities": 2.4,
        "Industrials": 10.78,
        "Energy": 4.01,
        "Healthcare": 9.12
      },
      "holdings": {
        "NVIDIA Corp": 5.29,
        "Apple Inc": 4.99,
        "Microsoft Corp": 3.85,
        "Amazon.com Inc": 2.94,
        "Alphabet Inc Class A": 2.34,
        "Broadcom Inc": 2.04,
        "Alphabet Inc Class C": 2.04,
        "Meta Platforms Inc Class A": 1.38,
        "Tesla Inc": 1.17,
        "Eli Lilly and Co": 1.1
      },
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (VT) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    },
    "0P000060MS": {
      "name": "Vanguard Emerging Markets Stock Index Fund (EUR, Acc)",
      "isin": "IE0031786142",
      "countries": {
        "Taiwan": 34.3,
        "China": 25.6,
        "India": 16.5,
        "Brazil": 4.1,
        "South Africa": 3.6,
        "Saudi Arabia": 3.1,
        "Mexico": 2.1,
        "Malaysia": 1.7,
        "Thailand": 1.6,
        "United Arab Emirates": 1.5,
        "Turkey": 1,
        "Greece": 0.8,
        "Chile": 0.7,
        "Indonesia": 0.7,
        "Kuwait": 0.7,
        "Qatar": 0.6,
        "Philippines": 0.4,
        "Hungary": 0.4,
        "Colombia": 0.2,
        "Czech Republic": 0.1,
        "Romania": 0.1,
        "Egypt": 0.1,
        "Iceland": 0.1
      },
      "sectors": {
        "Real Estate": 1.02,
        "Consumer Cyclical": 8.67,
        "Basic Materials": 5.71,
        "Consumer Defensive": 2.7,
        "Technology": 41.26,
        "Communication Services": 6.62,
        "Financial Services": 19.71,
        "Utilities": 1.89,
        "Industrials": 6.13,
        "Energy": 3.57,
        "Healthcare": 2.72
      },
      "holdings": {
        "Taiwan Semiconductor Manufacturing Co Ltd": 15.46,
        "Samsung Electronics Co Ltd": 7.2,
        "SK hynix Inc": 5.57,
        "Tencent Holdings Ltd": 3.12,
        "Alibaba Group Holding Ltd Ordinary Shares": 2.09,
        "MediaTek Inc": 1.33,
        "Samsung Electronics Co Ltd Participating Preferred": 0.9,
        "China Construction Bank Corp Class H": 0.83,
        "Delta Electronics Inc": 0.83,
        "Hon Hai Precision Industry Co Ltd": 0.79
      },
      "asOf": "Yahoo Finance · países aproximados por índice equivalente (VWO) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior) (dato retenido de una ejecución anterior)",
      "sources": [
        "previo",
        "yahoo"
      ]
    }
  }
}