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TESYS INTERNACIONAL

The advantage of investing in quality companies

Tesys Internacional is a global equity fund that invests with a business-owner mindset in top-quality, scalable companies with high returns on capital employed, growing and predictable earnings, and acquired at reasonable prices.

The fund’s objective is to deliver long-term returns above market indices through active and flexible management.

BECOME A SHAREHOLDER IN THE WORLD’S BEST COMPANIES

ID and mobile phone needed.
It won’t take more than 10 minutes.
If you need assistance, feel free to contact us via phone or WhatsApp at +34 919 601 960
(Monday to Friday from 9:00 to 14:00 and 17:00 to 20:00)
To learn more about the full subscription process, download the following Guide
TESYS INTERNACIONAL is also available through the following distributors and selling agents:
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Selling agents:
TESYS INTERNACIONAL

Discover our performance

Tesys Internacional is a global equity fund advised by Tesys Activos Financieros SGIIC, investing in top-quality companies at reasonable prices, with the objective of achieving attractive long-term returns.

RENTABILIDAD (1)
PERIODO
1 MES
2 MESES
3 MESES
6 MESES
1 AÑO
3 AÑOS
5 AÑOS
INICIO
Tesys Internacional, FI
-0,09%
-4,43%
+1,28%
+3,99%
+2,48%
+55,85%
PERIODO
2023(1)
2024
2025
Tesys Internacional, FI
+9,77%
+38,54%
+2,48%
RENT. ANUALIZADA
+21,32%
(1) Clase A desde la constitución del fondo el 20/09/2023.
10.000 € invertidos desde el inicio hoy serían 15.584,58€
10.000 € invertidos desde el inicio más una aportación de 200 €/mes hoy serían 21.956,19€
INVESTMENT PHILOSOPHY

Great Companies,
strong growth, and attractive valuations

At Tesys, we invest in the best companies, those with high returns on capital employed, strong and competitive management teams, recurring growth, low levels of debt, and robust free cash flow generation. Our selection is based on thorough fundamental analysis.

We focuson quality

Top-tier companies with a long-term business vision

Recurringrevenues

Businesses with predictable and growing cash flows

Scalablecompanies

Scalable companies capable of multiplying their sales over the coming years

Strongcompetitive moats

Companies with the ability to defend their business against competitors
OUR FUND

General Information

CATEGORY: Global Equities

CNMV REGISTRATION Nº: 5796

FUND TYPE: UCITS

BASE CURRENCY: EUR

RISK LEVEL: Medium (4 out of 7)

RECOMMENDED INVESTMENT HORIZON: > 5 years

LIQUIDITY: Daily

DEPOSITARY ENTITY: Banco Inversis, S.A.

AUDITOR: CAPITAL AUDITORS AND CONSULTANTS, S.L.

InformationClase A (Retail)Clase I (Institutional)Clase C
ISINES0178573004ES0178573020ES0178573012
MINIMUM SUBSCRIPTION€10€500,000€10
SUBSCRIPTION FEE0%0%0%
MANAGEMENT FEE1.25%1%0.9%
PERFORMANCE FEE9%*9%*9%*
REDEMPTION FEE0%0%0%
ASSETS3.295.255,76 €21.528.422,47 €8.758,87 €
PARTÍCIPES27244

(*) With high-water mark.
(**) Inversores con contrato de Gestión Discrecional de Carteras o contrato de Asesoramiento Independiente, así como IIC (sean o no del grupo de la Gestora), que cumplan con la inversión mínima indicada, con capacidad para asumir pérdidas según el nivel de riesgo del fondo y teniendo en cuenta el horizonte temporal inversor del fondo.
Fuente: Bolsa de Madrid. Datos a 30/11/2025. Dispone toda la información relativa al fondo en el folleto de CNMV. https://www.cnmv.es.

HOW WE INVEST

Sector Allocation

Technology

41,39%

Consumer discretionary

13,55%

Communication

16,25%

Health

13,14%

Finance

7,37%

Travel

3,53%

Industrial

2,29%

Consumer staples

1,13%

Basic materials

0,37%

Liquidity

0,98%
PORTFOLIO COMPOSITION(1)

Tesys Internacional FI

Tesys Internacional follows a highly qualitative approach, with a strong preference for companies with significant competitive advantages, businesses we believe will be substantially larger in the years ahead. We favour companies with unregulated monopolies and pricing power.

Price is a key factor in our investment process We seek the best companies in the world at reasonable valuations, aiming to deliver attractive long-term returns.

Portfolio turnover is typically low, provided there is no opportunity cost or superior investment ideas. We let the companies do the compounding for us.

Top 10 holdings

Amazon.com Inc9.56%
Meta Platforms Inc9,15%
Alphabet7,10%
Uber Tech5,40%
Microsoft5,34%
Salesforce4,98%
Berkshire Hathaway4,19%
Airbnb3,99%
Fortinet3,70%
Vertex Pharmaceutical3,68%

Region distribution

Exposure by market capitalization

of holdings has net cash
0 %
average portfolio ROCE
0 %
average sales growth
0 %
(1) Information updated as of 12/31/2025