Nos fonds

Nom du fonds
Valeur LiquidativeActifs gérés (millions)Reporting mensuelKID PriipsSRIDurabilité (Classification SFDR) (1)Rendements nets cumulés
Début d'année
1 an
3 ans
5 ans
129 099,96 €
02/09/2026
228,12
02/09/2026
4
Art. 8
6,94%
02/09/2026
11,33%
02/09/2026
14,94%
02/09/2026
25,10%
02/09/2026
96,71 €
07/04/2025
-
4
Art. 8
-
-
-
-
12,09 €
14/08/2026
53,31
14/08/2026
Art. 8
4,22%
14/08/2026
5,50%
14/08/2026
-
-
11,44 €
14/08/2026
53,31
14/08/2026
Art. 8
4,19%
14/08/2026
5,44%
14/08/2026
-
-
122,87 €
14/08/2026
53,31
14/08/2026
Art. 8
4,86%
14/08/2026
6,55%
14/08/2026
-
-
Code ISIN FR0010720631
3 464,35 €
02/09/2026
67,43
02/09/2026
4
Art. 8
13,19%
02/09/2026
24,12%
02/09/2026
45,69%
02/09/2026
23,67%
02/09/2026
Code ISIN FR0010721266
1 904,51 €
02/09/2026
67,43
02/09/2026
4
Art. 8
13,19%
02/09/2026
24,12%
02/09/2026
45,69%
02/09/2026
23,67%
02/09/2026
Code ISIN FR0014000EG3
109,03 €
03/09/2026
26 395,67
03/09/2026
1
Art. 8
1,39%
03/09/2026
2,04%
03/09/2026
8,95%
03/09/2026
10,66%
03/09/2026
Code ISIN FR0010599399
119,29 €
03/09/2026
26 395,67
03/09/2026
1
Art. 8
1,47%
03/09/2026
2,16%
03/09/2026
9,31%
03/09/2026
11,32%
03/09/2026
Code ISIN FR0011463165
98,39 €
03/09/2026
26 395,67
03/09/2026
1
Art. 8
1,46%
03/09/2026
2,15%
03/09/2026
9,30%
03/09/2026
11,36%
03/09/2026
 
10