Nos fonds

Nom du fonds
Valeur Liquidative (VL)Actif net compReporting mensuelPRIIPS KIDSRIDurabilité (Classification SFDR) (1)Rendements nets cumulés
YTD
1 an
3 ans
5 ans
140,97 €
07/10/2026
1 091,08
07/10/2026
-
4
Art. 8
8,02%
07/10/2026
8,99%
07/10/2026
46,55%
07/10/2026
-
94,82 £GB
08/10/2026
326,35
08/10/2026
-
3
Art. 8
4,12%
07/10/2026
3,72%
07/10/2026
6,91%
07/10/2026
-
Code ISIN FR0010097667
348,62 €
07/10/2026
141,90
07/10/2026
-
2
Art. 8
-1,47%
07/10/2026
-1,64%
07/10/2026
10,46%
07/10/2026
4,03%
07/10/2026
Code ISIN FR0010097683
592,00 €
07/10/2026
876,26
07/10/2026
-
3
Art. 8
3,66%
07/10/2026
4,30%
07/10/2026
26,04%
07/10/2026
15,64%
07/10/2026
Code ISIN FR0010838722
176,21 €
07/10/2026
46,85
07/10/2026
-
2
Art. 6
4,64%
07/10/2026
3,40%
07/10/2026
7,89%
07/10/2026
19,24%
07/10/2026
Code ISIN FR0010832469
81,22 €
07/10/2026
46,85
07/10/2026
-
2
Art. 6
4,33%
07/10/2026
2,95%
07/10/2026
6,70%
07/10/2026
17,15%
07/10/2026
Code ISIN FR0013294659
117,80 €
07/10/2026
46,85
07/10/2026
-
2
Art. 6
4,55%
07/10/2026
3,27%
07/10/2026
7,73%
07/10/2026
19,06%
07/10/2026
121,06 €
07/10/2026
424,14
07/10/2026
-
4
Art. 8
5,56%
07/10/2026
5,09%
07/10/2026
30,23%
07/10/2026
6,64%
07/10/2026
167,17 €
07/10/2026
386,90
07/10/2026
5
Art. 8
46,27%
07/10/2026
42,31%
07/10/2026
-
-
16 680,34 CZK
07/10/2026
386,90
07/10/2026
5
Art. 8
38,68%
07/10/2026
35,37%
07/10/2026
-
-
 
10