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
126 939,23 €
23/09/2026
234,65
23/09/2026
4
Art. 8
5,15%
23/09/2026
5,60%
23/09/2026
16,28%
23/09/2026
25,08%
23/09/2026
96,71 €
07/04/2025
-
4
Art. 8
-
-
-
-
11,76 €
15/09/2026
53,28
15/09/2026
Art. 8
1,38%
15/09/2026
2,89%
15/09/2026
-
-
11,13 €
15/09/2026
53,28
15/09/2026
Art. 8
1,37%
15/09/2026
2,96%
15/09/2026
-
-
119,59 €
15/09/2026
53,28
15/09/2026
Art. 8
2,06%
15/09/2026
3,91%
15/09/2026
-
-
Code ISIN FR0010720631
3 469,09 €
23/09/2026
67,52
23/09/2026
4
Art. 8
13,34%
23/09/2026
19,62%
23/09/2026
51,19%
23/09/2026
25,85%
23/09/2026
Code ISIN FR0010721266
1 907,12 €
23/09/2026
67,52
23/09/2026
4
Art. 8
13,34%
23/09/2026
19,62%
23/09/2026
51,19%
23/09/2026
25,85%
23/09/2026
Code ISIN FR0014000EG3
109,17 €
24/09/2026
26 512,63
24/09/2026
1
Art. 8
1,53%
24/09/2026
2,06%
24/09/2026
8,86%
24/09/2026
10,85%
24/09/2026
Code ISIN FR0010599399
119,46 €
24/09/2026
26 512,63
24/09/2026
1
Art. 8
1,61%
24/09/2026
2,17%
24/09/2026
9,22%
24/09/2026
11,52%
24/09/2026
Code ISIN FR0011463165
98,53 €
24/09/2026
26 512,63
24/09/2026
1
Art. 8
1,61%
24/09/2026
2,17%
24/09/2026
9,21%
24/09/2026
11,54%
24/09/2026
 
10