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
144,52 €
23/09/2026
1 126,84
23/09/2026
-
4
Art. 8
10,74%
23/09/2026
13,98%
23/09/2026
47,94%
23/09/2026
-
Code ISIN FR0010097667
346,76 €
23/09/2026
141,93
23/09/2026
2
Art. 8
-2,00%
23/09/2026
-1,52%
23/09/2026
8,96%
23/09/2026
3,68%
23/09/2026
Code ISIN FR0010097683
589,46 €
23/09/2026
876,82
23/09/2026
-
3
Art. 8
3,21%
23/09/2026
4,68%
23/09/2026
24,09%
23/09/2026
15,19%
23/09/2026
Code ISIN FR0010832469
80,87 €
23/09/2026
44,17
23/09/2026
-
2
Art. 6
3,88%
23/09/2026
2,44%
23/09/2026
5,12%
23/09/2026
18,02%
23/09/2026
Code ISIN FR0013294659
117,28 €
23/09/2026
44,17
23/09/2026
-
2
Art. 6
4,09%
23/09/2026
2,75%
23/09/2026
6,13%
23/09/2026
19,95%
23/09/2026
117,34 €
23/09/2026
424,19
23/09/2026
-
4
Art. 8
2,32%
23/09/2026
3,13%
23/09/2026
25,31%
23/09/2026
2,45%
23/09/2026
159,19 €
23/09/2026
374,90
23/09/2026
-
5
Art. 8
39,29%
23/09/2026
38,09%
23/09/2026
-
-
16 184,38 CZK
23/09/2026
374,90
23/09/2026
-
5
Art. 8
34,56%
23/09/2026
32,33%
23/09/2026
-
-
159,40 €
23/09/2026
374,90
23/09/2026
-
5
Art. 8
39,69%
23/09/2026
38,50%
23/09/2026
-
-
159,53 €
23/09/2026
374,90
23/09/2026
-
5
Art. 8
39,56%
23/09/2026
38,36%
23/09/2026
-
-
 
10