Bourse Direct a sélectionné pour vous plus de 500 SICAV et FCP à 0% frais* pour diversifier vos placements
| ISIN | Nom du placement | PEA | PEA/PME | VL | 1 an | 5 ans |
|---|---|---|---|---|---|---|
| FR0011640887 | Erasmus Small Cap Europe R | 268.35 € | +10.41 % | +1.68 % | ||
| FR0011668730 | Mandarine Solution R | 159.97 € | +10.00 % | +26.37 % | ||
| FR001400KTO9 | Sunny Opportunites 2029 HY R | 109.45 € | +2.36 % | - | ||
| FR001400F4R4 | Sienna Actions PME-ETI R-C | 128.04 € | +22.01 % | - | ||
| IE00B6X2JP23 | Comgest Growth America EUR R Acc | 48.33 € | -6.48 % | +65.91 % | ||
| IE00B4ZJ4634 | Comgest Growth Europe S EUR S Acc | 35.45 € | -9.82 % | +20.54 % | ||
| LU0050372472 | BlackRock Global Funds - Euro Bond A2 | 28.23 € | +2.92 % | -8.55 % | ||
| LU0061175625 | Fidelity Funds - European Smaller Companies Fund A-DIST-EUR | 72.17 € | +4.25 % | +8.64 % | ||
| LU0064675639 | Nordea 1 - Nordic Equity Fund BP EUR | 137.62 € | +0.15 % | +22.13 % | ||
| LU0064964074 | Fidelity Funds - Euro Cash Fund A-DIST-EUR | 8.98 € | +1.95 % | +7.90 % | ||
| LU0056052961 | Candriam Equities L Emerging Markets Class C EUR Cap | 1,392.11 € | +33.07 % | +16.94 % | ||
| LU0073235904 | Morgan Stanley Investment Funds - Short Maturity Euro Bond Fund A | 20.95 € | +2.34 % | +4.65 % | ||
| LU0073254285 | Morgan Stanley Investment Funds - Euro Bond Fund A | 15.77 € | +2.47 % | -9.32 % | ||
| LU0093503497 | BlackRock Global Funds - ESG Multi-Asset Fund A2 | 22.24 € | +11.98 % | +22.47 % | ||
| LU0094159125 | AXA World Funds - Defensive Optimal Income A Distribution gr EUR | 49.51 € | +3.37 % | +6.19 % | ||
| LU0099575291 | FF - Global Dividend Plus Fund A-EUR | 12.51 € | +8.34 % | - | ||
| LU0114720955 | Fidelity Funds - Global Healthcare Fund A-DIST-EUR | 62.45 € | -12.09 % | +15.76 % | ||
| LU0117884675 | JPMorgan Funds - Europe Dynamic Technologies Fund D (acc) - EUR | 24.11 € | -4.33 % | +10.44 % | ||
| LU0119110723 | Amundi Funds - Euro High Yield Bond A EUR (C) | 25.44 € | +4.18 % | +9.18 % | ||
| LU0256839860 | Allianz Global Investors Fund - Allianz Europe Equity Growth CT EUR | 315.29 € | -10.61 % | -0.46 % | ||
| LU0147917446 | Natixis International Funds (Lux) I - Natixis Asia Equity Fund I/A (EUR) | 154.70 € | +18.53 % | +2.28 % | ||
| LU0157922724 | Fidelity Funds - Global Focus Fund A-DIST-EUR | 122.10 € | -3.10 % | +38.40 % | ||
| LU1366712518 | DNCA Invest Archer Mid-Cap Europe Class B shares EUR | 258.39 € | +10.91 % | +41.02 % | ||
| LU1670722161 | M&G (Lux) Global Floating Rate High Yield Fund EUR A-H Acc | 12.34 € | +1.16 % | +21.47 % | ||
| LU0190304583 | BNP Paribas Funds Euro Inflation-Linked Bond Classic Capitalisation | 149.39 € | +2.62 % | +2.88 % | ||
| LU0170994346 | Pictet-Global Emerging Debt HP EUR | 272.81 € | +13.09 % | +1.78 % | ||
| LU0161986921 | LO Funds - Social Systems Change Syst. Hdg (EUR) PA | 18.16 € | -5.73 % | -16.58 % | ||
| LU0170473374 | Franklin European Total Return Fund A(acc)EUR | 15.87 € | +2.06 % | -5.14 % | ||
| LU0180781048 | Schroder International Selection Fund Global Inflation Linked Bond A Accumulation EUR | 28.96 € | +3.18 % | -13.94 % | ||
| LU2210151341 | Fidelity Funds - Absolute Return Global Equity Fund A-PF-Acc-Euro (Euro/USD hedged) | 12.71 € | +3.84 % | +32.92 % | ||
| LU0203937692 | UBS (Lux) Bond SICAV - Convert Global (EUR) P-acc | 21.04 € | +15.47 % | +4.80 % | ||
| LU0216736503 | AXA World Funds - Europe Real Estate E Capitalisation EUR | 194.06 € | +10.83 % | -8.16 % | ||
| LU0231205187 | Franklin India Fund A(acc)EUR | 65.54 € | -11.16 % | +42.63 % | ||
| LU0251661756 | AXA World Funds - Euro Credit Short Duration A Capitalisation EUR | 137.80 € | +2.61 % | +6.29 % | ||
| LU0212178916 | BNP Paribas Funds Europe Small Cap Classic Capitalisation | 330.48 € | +26.05 % | +30.64 % | ||
| LU0294249692 | Carmignac Portfolio Grande Europe E EUR Acc | 172.13 € | -11.11 % | +12.30 % | ||
| LU0303816887 | Fidelity Funds - Emerging Europe, Middle East and Africa Fund E-Acc-EUR | 20.51 € | +32.41 % | +11.23 % | ||
| LU0255979402 | Pictet-Japanese Equity Opportunities P EUR | 140.15 € | +13.63 % | +40.04 % | ||
| LU0265288877 | BNP Paribas Funds Sustainable Euro Corporate Bond Classic Capitalisation | 29.94 € | +3.07 % | -2.02 % | ||
| LU0294219869 | Templeton Global Bond Fund A(acc)EUR-H1 | 16.78 € | +12.84 % | -10.70 % | ||
| LU0565135745 | First Eagle Amundi International Fund Class AE-C Shares | 306.66 € | +13.49 % | +66.79 % | ||
| LU0344046155 | Candriam Equities L Europe Innovation Class C EUR Cap | 2,598.03 € | -14.93 % | -9.60 % | ||
| LU1241524880 | BlackRock Strategic Funds - Managed Index Portfolios Growth A2 EUR | 192.68 € | +9.03 % | +39.28 % | ||
| LU0840617350 | Allianz Global Investors Fund - Allianz German Equity AT EUR | 232.03 € | -5.15 % | +12.36 % | ||
| LU1490785091 | DNCA Invest SRI Norden Europe Class A shares EUR | 202.96 € | -11.12 % | +0.68 % | ||
| FR00140081Y1 | Carmignac Credit 2027 A EUR Acc | 128.09 € | +3.24 % | - | ||
| FR001400ED88 | Sienna Obligations Vertes R C | 108.89 € | +2.01 % | - | ||
| FR001400KAV4 | Carmignac Credit 2029 A Eur Acc | 120.57 € | +4.53 % | - | ||
| LU0028118809 | Invesco Funds - Invesco Pan European Equity Fund A Accumulation EUR | 34.34 € | +21.26 % | +73.43 % | ||
| FR0011606268 | Oddo BHF Active Small Cap CR-EUR | 236.71 € | +12.62 % | -4.76 % | ||
| FR0013424041 | Sienna Performance Absolue Defensif R-C | 129.45 € | +3.15 % | +28.88 % | ||
| IE00B23S7K36 | BNY Mellon Brazil Equity Fund EUR A Acc | 1.89 € | +46.39 % | +66.84 % | ||
| LU0075937911 | BNP Paribas Funds Euro Bond Classic Distribution | 95.94 € | +2.10 % | -10.33 % | ||
| LU0125731546 | AXA World Funds - Europe Small Cap A Distribution EUR | 179.63 € | +10.30 % | -2.85 % | ||
| LU0128490280 | Pictet - EUR Bonds P | 524.86 € | +3.21 % | -13.78 % | ||
| LU0294221097 | Templeton Global Total Return Fund A(acc)EUR-H1 | 16.51 € | +16.27 % | -9.34 % | ||
| LU0158187608 | AXA World Funds - Defensive Optimal Income E Capitalisation EUR | 68.57 € | +2.87 % | +3.58 % | ||
| LU0171305526 | BlackRock Global Funds - World Gold Fund A2 EUR | 104.41 € | +132.64 % | +224.05 % | ||
| LU0251659933 | AXA World Funds - Euro Strategic Bonds A Distribution EUR | 139.16 € | +4.22 % | +11.28 % | ||
| LU1103303167 | Edmond de Rothschild Fund - US Value A EUR | 343.75 € | +0.64 % | +56.66 % | ||
| LU0255251679 | Natixis International Funds (Lux) I - Ostrum Global Inflation Fund R/A (EUR) | 130.11 € | +1.73 % | -12.85 % | ||
| LU0432616901 | Invesco Funds - Invesco Balanced-Risk Allocation Fund E Accumulation EUR | 18.06 € | +9.32 % | +0.95 % | ||
| LU0189846958 | AXA World Funds - Europe Small Cap E Capitalisation EUR | 164.29 € | +9.76 % | -5.25 % | ||
| LU0755949848 | Amundi Funds - European Equity Conservative A EUR (C) | 244.08 € | +9.70 % | +46.01 % | ||
| LU1261432659 | Fidelity Funds - World Fund A-Acc-EUR | 23.98 € | +4.58 % | +50.72 % | ||
| LU1379103812 | Claresco USA | 565.17 € | +5.00 % | +77.33 % | ||
| LU0251658612 | AXA World Funds - Euro Inflation Bonds A Capitalisation EUR | 148.26 € | +2.33 % | +3.07 % | ||
| LU0326422689 | BlackRock Global Funds - World Gold Fund A2 EUR Hedged | 15.68 € | +154.96 % | +174.13 % | ||
| LU0568607203 | Amundi Funds - Euroland Equity Small Cap Select A EUR (C) | 258.26 € | +14.77 % | +20.15 % | ||
| LU0823417810 | BNP Paribas Funds Sustainable Global Low Vol Equity Classic Capitalisation | 115.75 € | -12.80 % | +28.06 % | ||
| FR0000989824 | AXA PEA Régularité D | 88.32 € | +2.21 % | +9.82 % | ||
| FR0000979775 | CM-AM Equilibre Europe C | 25.86 € | +7.97 % | +14.07 % | ||
| FR0007391255 | Sienna Court Terme R-C | 291.36 € | +2.36 % | +8.62 % | ||
| FR0010014480 | Ofi Invest Convertible Europe IC | 392.39 € | +12.75 % | +13.62 % | ||
| FR0010018192 | CM-AM Entrepreneurs France RC | 1,966.59 € | +0.67 % | -15.56 % | ||
| FR0010135103 | Carmignac Patrimoine A EUR Acc | 797.44 € | +9.28 % | +9.82 % | ||
| FR0010077412 | BNP Paribas Développement Humain Classic | 272.10 € | +10.20 % | +51.07 % | ||
| FR0007432208 | Allianz France Avenir RC | 1,153.24 € | +3.67 % | +39.95 % | ||
| FR0010097642 | CPR Croissance Dynamique P | 142.12 € | +4.09 % | +42.86 % | ||
| FR0007450002 | CG Nouvelle Asie C | 876.01 € | +14.04 % | -15.23 % | ||
| FR0010149302 | Carmignac Emergents A EUR Acc | 1,637.38 € | +28.31 % | +6.82 % | ||
| FR0010109165 | Oddo BHF ProActif Europe CR-EUR | 210.47 € | -0.98 % | +7.23 % | ||
| FR0010288308 | Groupama Avenir Euro NC | 1,861.29 € | -4.91 % | -12.46 % | ||
| FR0010321802 | Echiquier Agressor A | 2,199.80 € | +10.83 % | +38.27 % | ||
| FR0010156604 | Amundi Oblig Internationales Flexible EUR-P-C | 248.71 € | +1.41 % | +8.09 % | ||
| FR0010241240 | HMG Globetrotter C | 361.20 € | +24.32 % | +78.33 % | ||
| FR0010172437 | LMdG Opportunités Monde 50 (EUR) R | 2,051.89 € | +6.79 % | +17.64 % | ||
| FR0010341800 | Palatine Planète I | 47.73 € | +14.70 % | +43.40 % | ||
| FR0010642595 | Lazard Convertible Europe RC HEUR | 167.76 € | +9.90 % | -7.17 % | ||
| FR0010380675 | Lazard Actions Emergentes R | 2,730.12 € | +31.55 % | +75.89 % | ||
| FR0010460493 | Tikehau European High Yield Units Class-R-Acc-EUR | 166.96 € | +3.77 % | +18.10 % | ||
| FR0010600247 | Echiquier SMID Blend Euro SRI I | 265.97 € | +20.90 % | +28.32 % | ||
| FR0010734046 | ValEuro Select R | 53.29 € | +11.77 % | +67.95 % | ||
| FR0010557967 | Dorval Convictions RC | 191.43 € | +8.28 % | +33.31 % | ||
| FR0010878124 | FCP Mon PEA R | 256.56 € | +2.11 % | +18.39 % | ||
| FR0010748723 | LMdG Flex Court Terme (EUR) R | 6,371.70 € | +3.09 % | +6.54 % | ||
| FR0010491803 | Echiquier Credit SRI Europe A | 177.70 € | +2.74 % | +5.13 % | ||
| FR0010858498 | Lazard Convertible Global RC EUR | 510.98 € | -2.28 % | -10.07 % | ||
| FR0011050863 | Sextant Tech A | 195.41 € | -4.79 % | - | ||
| FR0000008674 | Fidelity Europe A | 74.76 € | +6.13 % | +20.21 % | ||
| FR0000172033 | AXA Euro Obligations C | 51.49 € | +2.67 % | -7.38 % | ||
| FR0000096695 | Le Livret Portefeuille (C/D) EUR | 513.68 € | +4.26 % | +43.11 % | ||
| FR0000289118 | AXA Euro Obligations D | 30.46 € | +2.59 % | -7.76 % | ||
| FR0000436438 | AXA Indice USA AC | 231.21 € | +0.51 % | +81.34 % | ||
| FR0000422859 | MA Small Midcaps Europe A | 913.69 € | +21.71 % | +21.23 % | ||
| FR0000449431 | Allianz Actions Euro Convictions C | 247.46 € | +12.34 % | +54.03 % | ||
| FR0010574434 | Oddo BHF Génération CR-EUR | 1,076.74 € | +1.27 % | +19.41 % | ||
| FR0011637164 | Lazard Investissement PEA-PME R | 200.36 € | +8.37 % | +14.64 % | ||
| FR0010830240 | Lazard Alpha Euro R | 642.10 € | +6.39 % | +50.43 % | ||
| FR0010895052 | SG Trésorerie 6 Mois EC | 16,858.06 € | +2.27 % | +9.88 % | ||
| FR0011315696 | Pluvalca Initiatives PME A | 4,409.72 € | - | - | ||
| FR0011631019 | CM-AM PME-ETI Actions RC | 190.58 € | +6.08 % | - | ||
| FR0012326791 | Quadrator SRI RC | 244.95 € | +5.46 % | +5.36 % | ||
| FR001400A1J2 | Pluvalca Credit Opportunities 2028 A | 1,194.95 € | +3.45 % | - | ||
| FR0013424090 | Sienna Diversifié Flexible Monde R-C | 151.77 € | +8.20 % | - | ||
| IE0004766014 | Comgest Growth Europe Smaller Companies EUR Acc | 33.44 € | -7.80 % | -26.33 % | ||
| FR001400EG93 | Sienna Actions Bas Carbone R-C | 135.93 € | +12.39 % | - | ||
| IE0034277255 | AXA IM Equity Trust - AXA IM Global Equity QI E (€) | 29.67 € | +5.51 % | +64.01 % | ||
| LU0076315455 | Nordea 1 - European Covered Bond Fund BP EUR | 13.04 € | +3.38 % | -4.10 % | ||
| LU0094159042 | AXA World Funds - Defensive Optimal Income A Capitalisation EUR | 76.59 € | +3.37 % | +6.20 % | ||
| LU0095725387 | LO Funds - TargetNetZero Euro IG Corporate PA | 19.52 € | +3.01 % | - | ||
| LU0106235293 | Schroder International Selection Fund EURO Equity A Accumulation EUR | 60.42 € | +16.49 % | +51.56 % | ||
| LU0110060430 | Fidelity Funds - European High Yield Fund A-DIST-EUR | 9.28 € | +4.10 % | +13.50 % | ||
| LU0114722498 | Fidelity Funds - Global Financial Services Fund A-DIST-EUR | 68.29 € | -3.04 % | +66.65 % | ||
| LU0128470845 | Pictet-EUR Corporate Bonds P | 207.47 € | +3.43 % | -0.29 % | ||
| LU0147409709 | BlackRock Global Funds - Latin American Fund E2 | 69.72 $ | +34.86 % | +52.93 % | ||
| LU0340555134 | Pictet-Digital R EUR | 459.55 € | -14.29 % | +13.16 % | ||
| LU0140363002 | Franklin Mutual European Fund A(acc)EUR | 42.21 € | +16.99 % | +76.46 % | ||
| LU0641745681 | DNCA Invest ONE Class B shares EUR | 123.41 € | -4.34 % | +5.13 % | ||
| LU2005655175 | Chahine Funds - Equity P EUR Acc | 199.17 € | +20.85 % | +35.49 % | ||
| LU0184634821 | AXA World Funds - Optimal Income E Capitalisation EUR pf | 218.00 € | +11.27 % | +16.15 % | ||
| LU0216734805 | AXA World Funds - Europe Real Estate A Distribution EUR | 166.52 € | +11.68 % | -4.63 % | ||
| LU0265291665 | BNP Paribas Funds Europe Small Cap Convertible Classic Capitalisation | 207.43 € | +10.85 % | +8.98 % | ||
| LU0414045822 | Allianz Global Investors Fund - Allianz European Equity Dividend AT EUR | 421.93 € | +14.09 % | +66.70 % | ||
| LU0935229400 | Natixis AM Funds - Ostrum Europe MinVol R/A (EUR) | 2,702.70 € | +11.26 % | +46.81 % | ||
| LU1100076550 | Clartan Valeurs C | 235.66 € | +22.62 % | +77.09 % | ||
| LU2005654798 | Chahine Funds - Equity Europe P EUR | 185.32 € | +27.28 % | +44.14 % | ||
| LU1160356009 | Edmond de Rothschild Fund - Healthcare A EUR | 1,443.69 € | -0.41 % | +21.23 % | ||
| LU1164219682 | AXA World Funds - Euro Credit Total Return A Capitalisation EUR | 153.41 € | +4.03 % | +22.19 % | ||
| LU3214372651 | Moneta Midcap Dynamic R-EUR | 105.98 € | - | - | ||
| FR0011316751 | LMdG Smid Cap (EUR) P | 310.03 € | +28.18 % | +31.25 % | ||
| FR0011254473 | Sanso Short Duration C | 128.40 € | +1.70 % | +9.95 % | ||
| IE0032722260 | BNY Mellon Euroland Bond Fund EUR A Acc | 1.89 € | +2.02 % | -7.22 % | ||
| IE00B3V93F27 | BNY Mellon Global Equity Income Fund EUR A Acc | 4.10 € | +12.39 % | +73.63 % | ||
| FR0013383825 | Pluvalca Sustainable Opportunities A | 166.15 € | +20.29 % | +3.57 % | ||
| FR0013477171 | Sienna Oblig Court Terme Solidaire R-C | 1,063.29 € | +2.32 % | +6.06 % | ||
| LU0066341099 | Invesco Funds - Invesco Euro Bond Fund A Accumulation EUR | 7.60 € | +2.48 % | -7.57 % | ||
| LU0069164738 | iMGP Italian Opportunities C EUR | 96.45 € | +29.18 % | +121.63 % | ||
| LU0068770873 | DWS India | 3,582.57 € | -6.89 % | +28.97 % | ||
| LU0099161993 | Carmignac Portfolio Grande Europe A EUR Acc | 328.56 € | -10.44 % | +16.59 % | ||
| LU0073234253 | Morgan Stanley Investment Funds - Euro Strategic Bond Fund A | 48.40 € | +3.18 % | -5.34 % | ||
| LU0012119607 | Candriam Bonds Euro High Yield Class C EUR Cap | 1,452.07 € | +4.30 % | +14.69 % | ||
| LU0049412769 | LO Funds - Europe High Conviction (EUR) PA | 18.45 € | +10.49 % | +16.08 % | ||
| LU0095343264 | iMGP Euro Fixed Income C EUR | 262.86 € | +2.50 % | -7.88 % | ||
| LU0093666013 | Templeton European Insights Fund Class A (acc) EUR | 37.00 € | +18.55 % | +68.49 % | ||
| LU0133414606 | DWS Global Value LD | 446.59 € | +9.09 % | +67.40 % | ||
| LU0145648886 | DWS Invest Top Asia NC | 349.94 € | +20.17 % | +2.45 % | ||
| LU0185495495 | Ofi Invest US Equity R EUR | 197.11 € | -3.79 % | +18.76 % | ||
| LU0194438338 | BNP Paribas Funds Japan Equity Classic H EUR Capitalisation | 238.25 € | +49.03 % | +140.46 % | ||
| LU0197230542 | Fidelity Funds - India Focus Fund A-EUR | 82.35 € | -8.08 % | +35.85 % | ||
| LU0256839274 | Allianz Global Investors Fund - Allianz Europe Equity Growth AT EUR | 365.11 € | -9.94 % | +3.34 % | ||
| LU0171289902 | BlackRock Global Funds - Sustainable Energy Fund A2 EUR | 19.92 € | +31.57 % | +48.88 % | ||
| LU0179866354 | AXA World Funds - Optimal Income A Distribution gr EUR pf | 128.59 € | +11.95 % | +19.81 % | ||
| LU0151324422 | Candriam Bonds Credit Opportunities Class C EUR Cap | 221.06 € | +2.87 % | +8.76 % | ||
| LU0251659776 | AXA World Funds - Euro Strategic Bonds A Capitalisation EUR | 191.21 € | +4.22 % | +11.29 % | ||
| LU0261946445 | Fidelity Funds - Asia Equity ESG Fund A-Acc-EUR | 42.62 € | +21.49 % | +7.38 % | ||
| LU0266117414 | Morgan Stanley Investment Funds - US Growth Fund AH (EUR) | 120.45 € | -8.58 % | -29.68 % | ||
| LU1623762843 | Carmignac Pf Credit A EUR Acc | 160.11 € | +5.50 % | +14.27 % | ||
| LU0255977299 | Pictet-Asian Equities Ex Japan R EUR | 298.93 € | +19.64 % | -4.08 % | ||
| LU0391944815 | Pictet-Global Megatrend Selection R EUR | 319.35 € | -8.18 % | +9.79 % | ||
| LU2798962978 | Independance Am Europe Mid A (C) | 141.24 € | +33.36 % | - | ||
| LU1582988058 | M&G (Lux) Dynamic Allocation Fund EUR A Acc | 12.78 € | +13.24 % | +31.03 % | ||
| LU3214371414 | Moneta Midcap Dynamic F-EUR | 106.01 € | - | - | ||
| FR0000974149 | Oddo BHF Avenir Europe CR-EUR | 741.79 € | +11.18 % | +5.65 % | ||
| FR0000447807 | AXA Amérique Actions AC | 184.69 € | +1.14 % | +73.58 % | ||
| FR0000973802 | Amundi Vie P C | 24.72 € | +4.04 % | +2.06 % | ||
| FR0000974362 | CM-AM Tempéré International RC | 247.46 € | +6.60 % | +8.20 % | ||
| FR0000984213 | CM-AM SICAV - CM-AM Global Emerging Markets RC | 384.38 € | +17.87 % | -19.54 % | ||
| FR0000990095 | Oddo BHF Avenir Euro CR-EUR | 377.39 € | +13.60 % | +9.20 % | ||
| FR0000992042 | Oddo BHF Patrimoine CR-EUR | 28.06 € | +1.93 % | +10.65 % | ||
| FR0007019997 | LMdG Opportunités Monde 100 (EUR) R | 722.15 € | +18.20 % | +43.76 % | ||
| FR0007051040 | Eurose C | 477.49 € | +7.22 % | +26.35 % | ||
| FR0007372065 | Uzès Entreprises | 1,331.36 € | +2.20 % | +8.78 % | ||
| FR0007082359 | Ecofi Avenir Plus | 314.38 € | +10.03 % | +9.36 % | ||
| FR0007390174 | CM-AM SICAV - CM-AM Global Gold RC | 116.65 € | +122.62 % | +243.52 % | ||
| FR0007480389 | Natixis Diversified Solution I (C) EUR | 16,552.60 € | +4.87 % | +5.08 % | ||
| FR0010058529 | THEMATICS EUROPE SELECTION R (C) | 1,134.44 € | -10.45 % | - | ||
| FR0010107706 | 3F Euro Bonds C | 1,617.14 € | +3.07 % | +14.88 % | ||
| FR0010016477 | Candriam Index Arbitrage Classique en EUR | 1,541.53 € | +1.56 % | +9.31 % | ||
| FR0010186726 | Natixis Loomis Sayles Euro ABS IG SI(C) | 142,435.51 € | +2.82 % | +12.76 % | ||
| FR0010400762 | Moneta Long Short A | 257.62 € | +22.17 % | +38.59 % | ||
| FR0010444992 | CM-AM SICAV - CM-AM Pierre RC | 130.81 € | +11.90 % | -15.33 % | ||
| FR0010434019 | Echiquier Patrimoine A | 931.23 € | +2.45 % | +8.03 % | ||
| FR0010298596 | Moneta Multi Caps C | 467.36 € | +20.53 % | +45.65 % | ||
| FR0010689141 | Lazard Small Caps Euro R | 1,943.49 € | +12.15 % | +22.26 % | ||
| FR0010560037 | Schelcher Euro High Yield P | 228.85 € | +4.26 % | +19.34 % | ||
| FR0010611293 | Echiquier Arty SRI A | 1,924.68 € | +4.14 % | +13.46 % | ||
| FR0010642280 | Ecofi Agir Pour Le Climat C | 106.01 € | +23.12 % | +1.86 % | ||
| FR0010738211 | Cogefi Flex Dynamic P | 118.05 € | +12.72 % | +11.87 % | ||
| FR0010836163 | CPR Silver Age P | 3,008.50 € | +2.39 % | +28.42 % | ||
| FR0010915678 | Sienna Actions Emploi Retraite Solidaire R-C | 20.54 € | +11.81 % | +56.91 % | ||
| DE0009769703 | DWS Internationale Renten Typ O NC | 110.31 € | -5.52 % | -13.24 % | ||
| FR0000004970 | Ecofi Smart Transition R | 138.78 € | +12.36 % | +69.68 % | ||
| FR0000017329 | Allianz Valeurs Durables RC | 1,274.90 € | +13.02 % | +61.01 % | ||
| FR0000097495 | Ofi Invest Oblig International | 114.44 € | +4.59 % | +3.76 % | ||
| FR0000288946 | AXA Court Terme AC | 2,609.01 € | +2.16 % | +9.56 % | ||
| FR0000418709 | CM-AM Obli Long Terme RD | 47.02 € | +3.71 % | -3.87 % | ||
| FR0000295230 | Comgest Renaissance Europe C | 236.32 € | -16.28 % | +16.56 % | ||
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| FR0000288664 | AXA Euro Crédit C | 75.79 € | +3.10 % | +1.13 % | ||
| FR0000293425 | Sienna Obligations Multistratégies R-C | 5,604.10 € | +4.02 % | -2.76 % | ||
| FR0000423378 | LBPAM ISR Obli Europe C | 164.26 € | +3.41 % | -7.78 % | ||
| FR0000437576 | Palatine France Mid Cap I | 2,801.73 € | +9.50 % | +3.96 % | ||
| FR0000449324 | Allianz Multi Opportunités C | 436.57 € | +14.59 % | +17.39 % | ||
| FR0000431108 | Ecureuil Profil 30 (C) | 68.44 € | +2.03 % | +7.75 % | ||
| FR0000975880 | Allianz Actions Aéquitas R C/D | 454.82 € | +1.38 % | +48.23 % |
Les informations financières et boursières diffusées sur le site sont données à titre indicatif et ne constituent en aucun cas une recommandation personnalisée. Elles ne constituent aucunement une garantie de performance ou résultat et ne sauraient engager la responsabilité de Bourse Direct. Nous vous rappelons que les performances passées ne préjugent pas des performances futures et qu'elles ne sont pas constantes dans le temps.
Préalablement à toute décision d’investissement, l'investisseur doit prendre connaissance des caractéristiques principales du fonds/SICAV envisagé(e) dans le Document d'informations clés (DIC) (disponible sous boursedirect.fr ou sur le site de la société de gestion du fonds/SICAV). Il appartient à l'investisseur de s'assurer que le support considéré correspond à sa situation personnelle et financière, à sa sensibilité au risque, à ses objectifs d'investissement, ainsi qu'à la législation locale à laquelle il est éventuellement assujetti.
* Les fonds éligibles à la sélection 0% sont susceptibles d'évoluer et dans ce cas, le client sera soumis aux frais classiques applicables. Veuillez vous référer à la liste en ligne au moment de votre souscription ou rachat.
**Hors droits acquis au fonds.
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