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
Code ISIN FR0010258756
229,78 €
17/09/2026
78,19
17/09/2026
5
Art. 6
17,67%
17/09/2026
20,77%
17/09/2026
59,09%
17/09/2026
29,77%
17/09/2026
2 480,08 €
17/09/2026
2 718,99
17/09/2026
5
Art. 8
17,52%
17/09/2026
20,69%
17/09/2026
59,32%
17/09/2026
12,46%
17/09/2026
2 311,63 €
17/09/2026
2 718,99
17/09/2026
5
Art. 8
17,76%
17/09/2026
20,93%
17/09/2026
59,64%
17/09/2026
12,68%
17/09/2026
2 684,58 $US
17/09/2026
2 718,99
17/09/2026
-
5
Art. 8
15,17%
17/09/2026
17,22%
17/09/2026
71,76%
17/09/2026
10,28%
17/09/2026
190,41 €
17/09/2026
2 718,99
17/09/2026
5
Art. 8
18,18%
17/09/2026
21,54%
17/09/2026
61,94%
17/09/2026
15,53%
17/09/2026
157,24 €
17/09/2026
2 718,99
17/09/2026
-
5
Art. 8
14,56%
17/09/2026
16,93%
17/09/2026
64,25%
17/09/2026
-
189,74 €
17/09/2026
2 718,99
17/09/2026
-
5
Art. 8
18,18%
17/09/2026
21,53%
17/09/2026
61,95%
17/09/2026
14,55%
17/09/2026
269,97 €
17/09/2026
2 718,99
17/09/2026
5
Art. 8
18,26%
17/09/2026
21,76%
17/09/2026
63,86%
17/09/2026
18,09%
17/09/2026
240,58 €
17/09/2026
2 718,99
17/09/2026
-
5
Art. 8
18,73%
17/09/2026
22,33%
17/09/2026
65,22%
17/09/2026
19,34%
17/09/2026
 
10