Libellé VL Devise Depuis le 1 Janv. Perf. 1 an
(glissant)
Perf. 3 ans
(glissant)
Perf. 5 ans
(glissant)
Perf. 8 ans
(glissant)
Perf. 10 ans
(glissant)
1

AB I China A Shares Equity A

LU1934454031

22,85

13/11/2025
EUR NA NA NA NA NA NA
2

JPMF Emerg Mk Local Cur Debt A

LU0332400232

16,66

13/11/2025
EUR 4,91% 5,84% 18,49% 13,64% 18,66% 25,64%
3

Jupiter Dynamic Bond L

LU0853555380

11,83

13/11/2025
EUR 5,44% 5,25% 10,87% -6,56% 0,42% 6,00%
4

JPMIF Global Select Eq A ACC.

LU0157178582

259,98

13/11/2025
EUR -0,21% -1,13% 43,30% 80,15% 133,98% 177,25%
5

JPM Us Sel Eq Plus A Eur Cap

LU0281483569

356,04

13/11/2025
EUR 0,32% -1,12% 63,41% 102,94% 193,24% 233,95%
6

JPMorgan Us Eq Al Cap Fd A Eur

LU1033933703

295,21

13/11/2025
EUR NA NA NA NA NA NA
7

JPMorgan US Eq All Cap AH

LU1033934008

132,22

13/11/2025
EUR NA NA NA NA NA NA
8

JPM Gb Sust Equity EUR Cap

LU2293888199

138,43

13/11/2025
EUR NA NA NA NA NA NA
9

JPM Global Focus A Acc

LU0210534227

66,41

13/11/2025
EUR 1,91% 1,82% 46,30% 83,01% 134,65% 167,37%
10

JPM Europe Sust Equity A

LU1529808336

199,64

13/11/2025
EUR NA NA NA NA NA NA
11

JPM Europe Equity A Eur Cap

LU0210530746

34,41

13/11/2025
EUR 20,08% 20,59% 50,26% 84,32% 86,11% 104,74%
12

JPM Europe Eq Abs Alpha A perf

LU1001747408

198,30

13/11/2025
EUR NA NA NA NA NA NA
13

JPM Em Mkts Strat Bd A (Perf)

LU0599213559

89,96

13/11/2025
EUR 12,70% 12,10% 28,59% 4,12% 3,53% 14,70%
14

La Française Carbon Imp Fl R O

FR0012890333

111,97

13/11/2025
EUR 3,14% 3,72% 16,53% 13,21% 10,29% 12,01%
15

JPMorgan Us Techno Fd A EUR

LU0159052710

1 110,12

13/11/2025
EUR 8,21% 10,58% 108,95% 87,75% 321,87% 518,48%
16

JPM US Sustainable A Acc EUR

LU2785473294

NA NA NA NA NA NA
17

JPM Us Sel Eq Plus A Eur Hg

LU0281482918

34,25

13/11/2025
EUR 10,20% 6,21% 71,71% 79,14% 143,17% 195,95%
18

JPM US Aggregate Bond A Acc H

LU0679000579

77,80

13/11/2025
EUR 4,31% 3,99% 6,46% -11,64% -5,51% -3,92%
19

JP Mid East Afri and Em Eu Opp

LU2539333562

146,74

13/11/2025
EUR NA NA NA NA NA NA
20

JPMF Latin America Eq Fd A Eur

LU0831102792

107,95

13/11/2025
EUR 30,64% 21,97% 31,53% 52,70% 43,94% 83,58%
21

JPMIF JPM Jap Sus Eq A acc EUR

LU0828244052

260,77

13/11/2025
EUR 8,06% 10,07% 34,33% 30,51% 44,01% 64,23%
22

JPMIF JPM Jap Sus Eq A Acc H

LU0955081897

102,27

17/06/2025
EUR NA NA NA NA NA NA
23

JPM Green Social Sust Bond AH

LU2539336748

110,37

13/11/2025
EUR NA NA NA NA NA NA
24

JPM Gb Income Fd A Eur

LU0740858229

165,58

13/11/2025
EUR 8,11% 7,25% 21,35% 15,51% 19,64% 31,81%
25

Kirao Multicaps Alpha C

FR0012020774

103,39

12/11/2025
EUR -10,70% -10,65% -10,33% -27,44% -24,88% -12,35%
26

Lazard Credit Opportunities RC

FR0010230490

718,69

13/11/2025
EUR 4,84% 5,67% 10,00% 18,56% 31,02% 43,96%
27

JPM Gbl Focus Fd A Eu Hdg Cap

LU0289215948

30,16

13/11/2025
EUR 9,04% 6,87% 55,38% 71,66% 106,58% 150,50%
28

M&G European HY Inv P Acc EUR

LU2482631053

NA NA NA NA NA NA
29

M&G (Lux) Global Themes Fd A

LU1670628491

18,36

13/11/2025
EUR NA NA NA NA NA NA
30

M&G (Lux) Gl Sust Paris A EUR

LU1670715207

53,23

13/11/2025
EUR -1,28% -3,86% 31,07% 59,90% 105,96% 124,44%
31

M&G (Lux) Episode Macro Fd THA

LU1670714499

17,80

13/11/2025
EUR NA NA NA NA NA NA
32

M&G (Lux) Japan Fund EUR A Acc

LU1670626446

31,36

13/11/2025
EUR 13,67% 16,31% 49,35% 85,49% 67,51% 98,64%
33

M&G (Lux) Global Macro Bond AH

LU1670719886

9,34

13/11/2025
EUR NA NA NA NA NA NA
34

M&G Lux Gb Em Markets A

LU1670618690

48,01

13/11/2025
EUR NA NA NA NA NA NA
35

M&G (Lux) Gb Dividend A

LU1670710075

17,88

13/11/2025
EUR -0,45% 1,82% 31,18% 64,58% NA NA
36

M&G Global Credit Invest AH €

LU1670713335

NA NA NA NA NA NA
37

M&G (Lux) Gb Conv A

LU1670708335

21,66

13/11/2025
EUR NA NA NA NA NA NA
38

M&G L Eurp Strategic Value A

LU1670707527

19,92

13/11/2025
EUR 28,41% 28,49% 69,79% 121,50% NA NA
39

M&G Europ Cdt Invest P Acc EUR

LU2482630162

NA NA NA NA NA NA
40

Lazard Human Capital RC EUR

FR0014009F89

126,75

13/11/2025
EUR 3,70% 3,77% NA NA NA NA
41

M&G (Lux) Emerg Mkts Bd A

LU1670631016

13,62

13/11/2025
EUR NA NA NA NA NA NA
42

M&G (Lux) Asian Fund EUR A Acc

LU1670618187

75,63

13/11/2025
EUR 22,49% 24,28% 58,48% 75,78% 84,16% 112,34%
43

M&G(LUX) Sust Allocation A

LU1900799617

12,33

13/11/2025
EUR 6,13% 5,99% 15,43% 10,04% NA NA
44

M&G(LUX) Positive Impact A

LU1854107221

14,98

13/11/2025
EUR NA NA NA NA NA NA
45

M&G (Lux) Gb Listed Infrast A

LU1665237704

15,69

13/11/2025
EUR 0,52% -1,12% 2,18% 23,33% 56,33% NA
46

M&G(Lux) Sust Gl HY Bd A-H EUR

LU1665235914

10,82

13/11/2025
EUR NA NA NA NA NA NA
47

M&G (Lux) Dynamic Allocat A

LU1582988058

12,21

13/11/2025
EUR 13,17% 12,40% 24,98% 28,56% 24,99% 42,77%
48

M&G Inv Div Fd AC C.

LU2379752517

10,87

13/11/2025
EUR NA NA NA NA NA NA
49

LBPAM ISR Act Focus France R

FR0000286304

76,56

12/11/2025
EUR 13,23% 15,89% 31,93% 61,61% 72,20% 97,20%
50

LBPAM ISR Action Focus Euro R

FR0000285884

173,38

12/11/2025
EUR 17,10% 21,12% 49,09% 69,61% 76,01% 92,78%
51

JPMorgan Gb Healthcare A

LU0880062913

278,52

13/11/2025
EUR 0,40% -4,33% 2,70% 21,35% 80,98% 70,14%
52

JPM Gb Balanced Fund A Cap

LU0070212591

2 399,01

13/11/2025
EUR 7,77% 6,79% 23,73% 14,86% 29,93% 43,72%
53

M&G Lux North Am Val Fd A EUR

LU1670626792

37,41

13/11/2025
EUR NA NA NA NA NA NA
54

Sécuri-GAN C

FR0000282956

3 646,46

07/09/2022
EUR NA NA NA NA NA NA
55

Groupama Trésorerie IC

FR0000989626

43 769,57

13/11/2025
EUR 2,10% 2,53% 9,99% 9,17% 8,38% 8,33%
56

Groupama R Taux

FR001400T7J8

NA NA NA NA NA NA
57

Groupama R Obligations

FR001400T1T0

NA NA NA NA NA NA
58

Groupama R Fixed Income

FR001400T7K6

NA NA NA NA NA NA
59

Groupama R Actions

FR001400SU16

NA NA NA NA NA NA
60

Groupama Prudence NC

FR0010013953

149,61

10/11/2025
EUR 1,44% 1,85% 11,08% -3,09% -1,70% 1,82%
61

Groupama Opportunit Europe ZC

FR0010631275

3 873,10

12/11/2025
EUR 23,42% 23,92% 50,88% 76,07% 90,52% 104,56%
62

Groupama Opportunit Europe NC

FR0010627851

1 720,74

12/11/2025
EUR 22,49% 22,94% 48,58% 72,40% 84,59% 96,64%
63

Groupama Oblig Monde NC

FR0010290585

629,22

12/11/2025
EUR 2,63% 2,61% 7,36% -8,25% -2,86% -0,98%
64

Groupama Oblig Monde GC

FR0010295980

408,66

12/11/2025
EUR 3,05% 3,18% 8,61% -5,98% 0,82% 3,23%
65

Groupama New Deal Europe NC

LU0987164596

100,38

07/07/2025
EUR NA NA NA NA NA NA
66

Groupama R Bond

FR001400STZ8

NA NA NA NA NA NA
67

Groupama Multistratégies NC

FR0013383726

114,57

10/11/2025
EUR NA NA NA NA NA NA
68

Group Mult NC 1

FR001400SW63

100,94

10/11/2025
EUR NA NA NA NA NA NA
69

Groupama Multi Actifs Privés

FR001400T7V3

NA NA NA NA NA NA
70

Groupama Monetaire NC

FR0010693085

556,27

13/11/2025
EUR 1,92% 2,34% 9,47% 8,77% 8,02% 7,90%
71

GROUPAMA MATURITY EUROPE HY 28

FR001400S7Z5

NA NA NA NA NA NA
72

Groupama Japan Stock ZD

FR0010014019

1 819,26

12/11/2025
EUR 10,96% 15,03% 44,49% 44,43% 59,35% 77,22%
73

Groupama Japan Stock ZC

FR0010014001

2 209,66

12/11/2025
EUR 10,96% 15,03% 44,48% 44,42% 59,35% 77,22%
74

Groupama Japan Stock NC

FR0010271536

740,07

12/11/2025
EUR 10,25% 14,19% 41,35% 39,22% 50,34% 64,81%
75

GROUPAMA INFLATION MAT 2030

FR001400NGY9

NA NA NA NA NA NA
76

Groupama Horizon Obli Monde N

FR0012881688

98,79

12/11/2025
EUR 3,60% 4,42% 9,20% -6,93% -2,70% -1,25%
77

Groupama Ultra Short Term IC

FR0012599645

11 046,51

12/11/2025
EUR 2,46% 2,89% 11,60% 10,35% 9,99% 10,39%
78

GS Euro Sust Credit P EUR Cap

LU0577843187

390,50

13/11/2025
EUR 2,31% 2,91% 12,52% -3,99% 2,24% 9,06%
79

JPM Gb Bd Opp ESG C EUR

LU2051033418

110,34

13/11/2025
EUR 5,99% 5,77% 13,91% 4,64% NA NA
80

Janus HH Gb Sust Eq A2

LU1984711512

20,58

13/11/2025
EUR 4,73% 2,03% 37,57% 48,48% NA NA
81

JPM Gb Bd Opp ESG A EUR

LU2081629425

106,88

13/11/2025
EUR NA NA NA NA NA NA
82

JPM US Value A (acc) EUR

LU1211166183

189,59

13/11/2025
EUR NA NA NA NA NA NA
83

JPMF Eurp Sust Small Cap Eq A

LU2076839146

140,07

13/11/2025
EUR NA NA NA NA NA NA
84

JPM Eurp Strat Grth A Eur Cap

LU0210531801

50,52

13/11/2025
EUR 14,24% 14,27% 39,36% 56,10% 81,59% 111,34%
85

JPMorgan Euroland Eq Fd A Eur

LU0210529490

33,31

13/11/2025
EUR 22,53% 26,10% 58,32% 85,40% 80,00% 109,47%
86

JPM Em Mrkts Sust Equity A EUR

LU2051469034

134,64

13/11/2025
EUR NA NA NA NA NA NA
87

JP Clim Chn Sol AC C.

LU2394008846

107,35

13/11/2025
EUR NA NA NA NA NA NA
88

JPM China A-Share Oppo Fd A

LU1255011097

25,50

13/11/2025
EUR 20,40% 16,60% -1,85% -16,56% 36,44% 45,30%
89

JPMorgan Asia Growth Fd A

LU2257583109

107,66

13/11/2025
EUR NA NA NA NA NA NA
90

Janus Henderson Horizon Gb Pro

LU0264738294

23,16

13/11/2025
EUR -3,15% -5,83% 3,04% 7,59% 33,79% 43,73%
91

JHHF Biotechnology A2 EUR

LU2441282899

NA NA NA NA NA NA
92

GS Gbl Social Impact Eq P Cap

LU0332192961

1 677,28

13/11/2025
EUR -7,16% -9,49% 11,46% 8,63% 54,88% 110,00%
93

iShares MSCI World SRI EUR Acc

IE00BYX2JD69

11,94

13/11/2025
EUR NA NA NA NA NA NA
94

Invesco Trans Global Inc A Acc

LU2530422497

12,18

13/11/2025
EUR NA NA NA NA NA NA
95

Invesco Sust Pan Eurp Syst A

LU0119750205

28,88

13/11/2025
EUR 15,24% 15,38% 45,27% 59,47% 50,10% 62,98%
96

Invesco Nip SMC Eq E Eur

LU0115142274

10,61

13/11/2025
EUR 8,44% 10,81% 10,81% -7,79% -2,11% 57,69%
97

Impax Global Equity Opportun B

IE00BLRPMQ42

1,56

13/11/2025
EUR NA NA NA NA NA NA
98

HSBC GIF Gb Inflat Link Bd YCH

LU1260751463

9,68

13/11/2025
EUR 1,33% 0,57% -1,21% -9,40% -3,97% NA
99

HRIF-Europe Eq Green Trans AC

FR0000982449

94,69

13/11/2025
EUR 8,59% 7,56% 12,20% 11,75% 25,34% 37,27%
100

GS Patrimonial Balanced P EURC

LU0119195963

2 076,72

13/11/2025
EUR 3,46% 3,75% 25,44% 22,79% 42,51% 52,34%
101

GS Green Bd Short Dur P EUR

LU1922483299

256,45

13/11/2025
EUR 3,20% 3,35% 15,01% 2,57% NA NA
102

Goldman Sachs Green Bond P Cap

LU1586216068

237,26

13/11/2025
EUR 1,58% 1,82% 9,51% -14,99% -5,83% NA
103

M&G Lux Global AI Fd EUR A Acc

LU2694841102

NA NA NA NA NA NA
104

M&G (Lux) Optimal Income A Eur

LU1670724373

10,89

13/11/2025
EUR 5,09% 4,97% 15,48% 3,50% NA NA
105

Groupama Horizon Actions Monde

FR0012882454

247,30

12/11/2025
EUR 8,93% 9,90% 48,44% 58,58% 90,10% 129,36%
106

Robeco Global SDG Credits D

LU1811861357

105,63

13/11/2025
EUR NA NA NA NA NA NA
107

Sisf Emerging Markets A Eur C

LU0248176959

20,21

13/11/2025
EUR 24,11% 24,50% 42,26% 26,22% 43,67% 93,13%
108

Schelcher Optimal Income P

FR0011034818

171,57

12/11/2025
EUR 4,48% 4,84% 12,73% 17,80% 18,23% 22,46%
109

Schelcher Flex Short Durat P

FR0010707513

188,90

12/11/2025
EUR 3,57% 4,20% 17,88% 17,79% 20,08% 24,98%
110

Robeco Healthy Living D

LU2146189407

241,68

13/11/2025
EUR NA NA NA NA NA NA
111

Robeco Sus Diversified Allocation

LU2730330177

NA NA NA NA NA NA
112

Robeco Smart Materials D

LU2145463613

343,63

13/11/2025
EUR NA NA NA NA NA NA
113

Robeco Smart Energy D

LU2145461757

71,30

13/11/2025
EUR 26,21% 23,88% 39,27% 72,90% 181,23% 284,92%
114

Robeco AS Multi Ass Sust D Eur

LU1821198576

120,90

07/03/2024
EUR NA NA NA NA NA NA
115

RCGF Indian Eq D Eur Cap

LU0491217419

349,06

13/11/2025
EUR -10,54% -9,48% 21,41% 91,97% 122,89% 162,44%
116

Robeco Global SDG Equit D EUR

LU2145460353

189,41

13/11/2025
EUR NA NA NA NA NA NA
117

Robeco Glob Gender Equal D

LU2145458969

233,93

24/06/2025
EUR NA NA NA NA NA NA
118

Schroder Gb Climat Change Eq A

LU0302446645

33,83

13/11/2025
EUR 10,58% 9,10% 24,99% 34,09% 102,02% 144,41%
119

Robeco Euro SDG Credits D

LU0503372608

137,75

13/11/2025
EUR 2,69% 2,93% 14,95% -2,18% 3,76% 10,42%
120

Robeco Chinese A-Share Eq D

LU1664415368

127,49

13/11/2025
EUR NA NA NA NA NA NA
121

Retraite Plénitude C

FR0007076575

43,77

10/11/2025
EUR 5,32% 5,55% 36,31% 50,88% 70,84% 97,07%
122

Retraite Pérennité C

FR0007076591

21,18

10/11/2025
EUR 2,02% 2,32% 12,42% -1,26% 1,05% 5,16%
123

Retraite Harmonie C

FR0007076583

30,52

10/11/2025
EUR 4,41% 4,74% 25,34% 23,61% 32,64% 50,20%
124

Regnan Sus Water Waste E A Acc

IE000GWPAZX6

NA NA NA NA NA NA
125

R-co Valor C EUR

FR0011253624

4 050,17

12/11/2025
EUR 17,20% 17,76% 54,67% 64,66% 92,14% 138,27%
126

R-co Thematic Real Estate F EU

FR0011885797

126,68

12/11/2025
EUR 7,90% 4,68% 24,91% 7,23% -6,79% 12,30%
127

R-co Thematic Real Estate C

FR0007457890

1 576,35

12/11/2025
EUR 8,47% 5,29% 25,97% 7,50% -5,36% 15,42%
128

R-co 4Chan Incl Han Eq C Eur

FR0012383743

1 568,34

13/11/2025
EUR 4,84% 5,67% 23,67% 26,53% 31,94% 49,16%
129

Sisf Euro Equity A Cap

LU0106235293

56,93

13/11/2025
EUR 21,05% 25,14% 44,09% 53,64% 47,63% 72,42%
130

Schroder Gb Energy Trans AH

LU2016064201

144,38

13/11/2025
EUR NA NA NA NA NA NA
131

Quadrige France Smallcaps C

FR0011466093

276,41

12/11/2025
EUR 16,87% 16,62% 10,32% 45,53% 8,88% 69,28%
132

Sycomore Happy @ Work R

LU1301026388

191,17

12/11/2025
EUR 13,13% 14,06% 40,86% 39,81% 52,39% 91,18%
133

Vontobel Com H Eur Hg

LU0415415636

51,01

13/11/2025
EUR 14,20% 15,81% 7,25% 66,18% 31,99% 41,92%
134

Varenne Valeur A-EUR

LU2358392376

466,39

12/11/2025
EUR 9,10% 8,21% 28,74% 34,09% 55,08% 59,82%
135

Valeurs Feminines Global R

FR0013451275

126,47

18/02/2025
EUR NA NA NA NA NA NA
136

Tobam BTC Link and Block Eq B1

FR0014002IJ4

156,46

12/11/2025
EUR NA NA NA NA NA NA
137

Tikehau Intl Cr Assets R-Acc

LU2147879543

749,91

12/11/2025
EUR 4,84% 5,53% 20,57% 13,45% 23,57% 26,04%
138

Templeton Gb Climate Change A

LU0128520375

38,33

13/11/2025
EUR 16,20% 12,14% 25,50% 46,33% 72,57% 88,65%
139

Sycomore Social Impact R

FR0010117093

456,76

12/11/2025
EUR 11,70% 13,86% 28,78% 10,03% 25,90% 37,37%
140

Sycomore Sélection Midcap R

FR0010376368

803,30

12/11/2025
EUR 9,70% 9,61% 13,54% 22,66% 1,99% 40,86%
141

Sycomore Inclusive Jobs RC

FR0014000IG4

90,81

12/11/2025
EUR 15,51% 15,97% 6,71% NA NA NA
142

Sycomore Francecap R

FR0010111732

535,06

13/12/2024
EUR NA NA NA NA NA NA
143

SISF Social Imp Cd A Acc EUR H

LU2388134335

NA NA NA NA NA NA
144

Schroder Gb Inflat Linked Bd A

LU0180781048

28,67

13/11/2025
EUR 2,92% 1,29% -1,75% -15,85% -10,47% -3,03%
145

Schroder ISF European Value A

LU0161305163

107,86

13/11/2025
EUR 24,92% 27,67% 48,17% 100,82% 62,47% 79,07%
146

SISF Em Mkt Debt Tot Ret A hdg

LU0177592218

26,24

13/11/2025
EUR 10,01% 8,94% 18,08% -4,06% -8,57% -0,42%
147

Siparex Investir en France

FR001400MDE0

NA NA NA NA NA NA
148

SFS Sycomore Global Social Impact

LU2413894051

NA NA NA NA NA NA
149

Ostrum Eur MinVol Eq R/D EUR

LU0935229582

134,15

13/11/2025
EUR NA NA NA NA NA NA
150

SISF Us Sm & Mid Cap Eq A Eur

LU0334663233

246,92

13/11/2025
EUR -2,27% -6,93% 12,34% 18,41% 26,84% 56,89%
151

SISF Dynamic Opportunities A

LU2097342146

142,17

13/11/2025
EUR NA NA NA NA NA NA
152

SISF Sustain EURO Credit A

LU2080993616

107,26

13/11/2025
EUR 3,10% 3,49% 16,63% 3,75% NA NA
153

SISF Glb Sust Value A Eur

LU2665173949

136,73

13/11/2025
EUR NA NA NA NA NA NA
154

Sisf Gb Multi-Asset Incom A Hd

LU0757360457

131,79

13/11/2025
EUR 11,04% 9,99% 24,96% 13,11% 12,54% 19,54%
155

Quadrige Multicaps Europe C

FR0013261807

124,26

12/11/2025
EUR NA NA NA NA NA NA
156

Pluvalca Initiatives PME A

FR0011315696

4 119,44

12/11/2025
EUR 22,96% 26,50% 11,37% 24,37% 31,58% 92,05%
157

M&G Pan Eurp Sust Par A EUR C

LU1670716437

34,76

13/11/2025
EUR NA NA NA NA NA NA
158

Nordea 1 Gb Clim & Envir Fd BP

LU0348926287

34,64

13/11/2025
EUR 2,43% 1,56% 18,39% 44,56% 97,93% 168,09%
159

Pictet Abs Return Fixed Inc HP

LU0988402730

103,26

13/11/2025
EUR NA NA NA NA NA NA
160

Pictet Gb Envir Opp P EUR

LU0503631714

339,46

13/11/2025
EUR -4,29% -6,62% 13,51% 26,07% 76,17% 117,85%
161

Oudart Opportunités France P

FR0010166140

634,26

12/11/2025
EUR 0,40% -0,45% -0,67% 1,98% 8,17% 26,89%
162

Omnibond R

FR0011147594

1 833,34

12/11/2025
EUR 4,97% 6,66% 29,63% 30,03% 31,92% 38,44%
163

Ofi Invest Precious Metals R

FR0011170182

1 255,13

12/11/2025
EUR 65,68% 62,77% 65,90% 47,11% 97,64% 136,23%
164

ODDO BHF Avenir CR-EUR

FR0000989899

4 473,33

12/11/2025
EUR 2,71% 2,02% 9,56% 6,88% 14,16% 50,51%
165

ODDO BHF Artific Intel CR-EUR

LU1919842267

229,21

12/11/2025
EUR 8,06% 10,44% 76,55% 71,24% NA NA
166

Norden SRI

FR0000299356

274,35

13/11/2025
EUR 7,47% 4,16% 23,41% 25,22% 38,61% 46,41%
167

N1 Global Soc Empow BP-EUR Cap

LU2257592431

103,85

13/11/2025
EUR NA NA NA NA NA NA
168

Nordea 1 Gl Div Engag Fd BP

LU1939214695

178,74

13/11/2025
EUR NA NA NA NA NA NA
169

MS INVF Asia Oppo Fd A

LU1378878430

49,06

13/11/2025
EUR -1,73% 0,63% 14,97% -20,35% 37,75% NA
170

Pictet Cl En Transition P EUR

LU0280435388

176,34

13/11/2025
EUR 9,22% 9,86% 36,79% 53,65% 120,26% 157,96%
171

Monocle Fund B EUR

LU1500599094

1 207,72

13/11/2025
EUR NA NA NA NA NA NA
172

Moneta Multi Caps (C)

FR0010298596

445,52

13/11/2025
EUR 24,17% 24,11% 28,57% 53,49% 60,18% 97,67%
173

Mirova Euro Gr S Bd R Eur C

LU0914734701

112,23

13/11/2025
EUR 1,85% 2,47% 10,78% -12,19% -4,42% -1,35%
174

Mandarine Social Leaders R

LU2052475568

934,01

13/11/2025
EUR 2,74% 2,08% 3,17% 9,72% 27,33% 29,51%
175

Mandarine Global Sport R

LU2257982228

107,77

12/11/2025
EUR NA NA NA NA NA NA
176

Mandarine Global Microcap R

LU1329694266

210,73

12/11/2025
EUR NA NA NA NA NA NA
177

Magellan C

FR0000292278

22,57

12/11/2025
EUR 12,51% 13,47% 20,12% -10,83% -11,25% 12,46%
178

ESI M&G TRCI PC C.

LU2482630675

120,65

13/11/2025
EUR NA NA NA NA NA NA
179

M&G Sust Total R Crd Inv P Acc

LU2482630832

NA NA NA NA NA NA
180

M&G (Lux) Sh Dated Corp Bd A

LU1670718219

11,81

13/11/2025
EUR NA NA NA NA NA NA
181

Pictet China Env Opp P EUR

LU2581850216

NA NA NA NA NA NA
182

Pict EUR Short Term High Yield

LU0726357527

141,76

13/11/2025
EUR 3,58% 4,18% 19,40% 15,96% 14,74% 20,18%
183

Pictet Water P EUR

LU0104884860

521,16

13/11/2025
EUR -1,85% -5,71% 16,45% 36,05% 75,32% 106,29%
184

Pictet-Em Loc Curr Db P Eur

LU0280437673

164,54

12/11/2025
EUR 6,09% 7,09% 16,22% 11,85% 16,70% 20,17%
185

Pictet-Timber-P EUR

LU0340559557

183,30

13/11/2025
EUR -19,34% -22,15% -12,24% 8,49% 18,53% 40,48%
186

Pictet - Security P EUR

LU0270904781

341,53

13/11/2025
EUR -5,09% -7,70% 25,89% 25,97% 76,79% 98,88%
187

Pictet - Qu Eur Sust Eq P EUR

LU0144509717

448,73

13/11/2025
EUR 11,38% 13,96% 43,21% 58,74% 80,38% 90,62%
188

Pictet-Premium Brands-P EUR

LU0217139020

289,21

13/11/2025
EUR -4,87% 1,81% 18,47% 39,51% 94,62% 101,71%
189

Pictet-Nutrition-P EUR

LU0366534344

216,44

13/11/2025
EUR -12,04% -12,82% -11,76% -12,24% 8,18% 23,30%
190

Pictet-Multi Asset Gb Opp P

LU0941349192

148,54

12/11/2025
EUR NA NA NA NA NA NA
191

Pictet-Jap Eq Sel-P EUR

LU0255975830

190,89

13/11/2025
EUR 6,26% 11,07% 30,41% 45,50% 56,72% 79,88%
192

Pictet-Longevity P EUR

LU0255978776

295,82

13/11/2025
EUR -12,18% -13,48% 0,64% 5,06% 39,56% 28,09%
193

Pictet Gb Megatrend Select P

LU0386882277

379,93

13/11/2025
EUR -2,07% -3,38% 24,79% 25,58% 66,95% 95,37%
194

Pictet - Family P EUR

LU0130732364

158,50

13/11/2025
EUR 2,50% 1,61% 36,33% 19,59% 31,00% 52,05%
195

Pictet - Digital P

LU0340554913

628,80

13/11/2025
EUR 6,54% 7,12% 98,37% 52,91% 117,68% 189,90%
196

Pictet Gb Sustainable Cred HP

LU0503630153

145,20

13/11/2025
EUR 3,68% 3,21% 13,36% -8,41% -1,03% 4,40%
197

Pictet-Biotech-P EUR

LU0255977455

1 062,87

13/11/2025
EUR 26,01% 12,89% 39,95% 31,27% 84,31% 54,11%
198

Pictet-Asian Eq Ex Jap-P EUR

LU0255976994

314,72

13/11/2025
EUR 11,71% 15,35% 30,57% 3,21% 26,55% 82,49%
199

Pictet TR - Atlas P EUR

LU1433232854

138,77

12/11/2025
EUR NA NA NA NA NA NA
200

Pictet TR Corto Europe P Eur C

LU0496442723

147,36

12/11/2025
EUR -0,65% -0,33% 1,49% 4,64% 5,02% 10,93%
201

Pictet SmartCity P EUR Cap

LU0503634221

211,92

13/11/2025
EUR -5,69% -8,40% 13,81% 3,86% 33,27% 40,06%
202

Pictet - Robotics P EUR

LU1279334210

404,17

13/11/2025
EUR 10,41% 12,73% 86,88% 85,23% 193,90% 321,98%
203

Pictet Japanese Equity Sel HP

LU0248317363

225,63

13/11/2025
EUR 18,31% 23,09% 72,51% 121,35% 116,53% 140,71%
204

Pictet Human P Eur

LU2247920189

78,85

13/11/2025
EUR NA NA NA NA NA NA
205

Pictet Global Thematic Opp P

LU1437676635

198,00

13/11/2025
EUR -2,28% -3,64% 30,38% 29,44% 67,85% NA
206

Pictet-Global High Yi HP EUR

LU0448623875

112,58

13/11/2025
EUR 5,89% 5,92% 22,45% 8,86% 11,74% 20,74%
207

Pictet-Global Em Debt-HP

LU0170994346

261,63

13/11/2025
EUR 10,72% 10,59% 23,80% -2,86% 0,95% 11,14%
208

Groupama Horizon Dette Emerg

FR0012881670

113,81

10/11/2025
EUR 6,09% 5,99% 20,08% -2,08% -3,06% 9,08%
209

Groupama Horizon Act Europe N

FR0012882421

190,89

12/11/2025
EUR 10,64% 11,02% 30,20% 38,76% 49,95% 72,78%
210

AB - Sust Euro Hi Yi Pf A2

LU0496384180

29,58

13/11/2025
EUR 4,34% 4,93% 24,29% 10,37% 13,77% 29,96%
211

BNPP Green Tigers Classic Eur

LU0823437925

279,71

13/11/2025
EUR 10,67% 11,38% 10,98% 12,46% 31,47% 56,97%
212

BlackR Global Event A2 Eur Hg

LU1376384878

119,23

13/11/2025
EUR NA NA NA NA NA NA
213

BSF Sys Us Equit Ab Re Fd A2

LU0725892466

145,78

13/11/2025
EUR 0,99% -0,39% 14,92% 26,42% 15,77% 16,46%
214

BNY Mellon Blockchain Innov Fd

IE00BHPRMV90

1,31

13/11/2025
EUR NA NA NA NA NA NA
215

BNPP Sust Multi-Asset Bal Cl

LU1956154386

256,86

12/11/2025
EUR NA NA NA NA NA NA
216

BNPP Climate Change Classic

LU0406802339

269,36

13/11/2025
EUR 2,56% -1,49% 6,27% 16,15% 57,79% 92,17%
217

BNP Social Bd CC C.

LU2355551313

100,45

12/11/2025
EUR NA NA NA NA NA NA
218

BNP Paribas Indice Fr ESG (C)

FR0010106831

753,83

12/11/2025
EUR 13,96% 16,18% 36,37% 63,67% 77,67% 102,82%
219

BNPP Inclusive Growth Class C

LU1165136174

171,08

13/11/2025
EUR NA NA NA NA NA NA
220

BNPP Health Care Innov Cl C

LU0823416762

1 755,86

13/11/2025
EUR 2,60% -1,54% 15,20% 41,01% 97,74% 82,47%
221

BNPP Smart Food Classic Cap

LU1165137149

114,57

13/11/2025
EUR -10,10% -11,16% -10,65% -1,69% 10,29% 23,72%
222

BNPP Global Environment Class

LU0347711466

324,83

13/11/2025
EUR 1,81% -1,52% 19,03% 34,82% 69,61% 105,31%
223

BRSF MI Cons E2C C.

LU2075911144

114,41

13/11/2025
EUR NA NA NA NA NA NA
224

BNPP Développement Humain Cla

FR0010077412

247,79

12/11/2025
EUR 8,13% 8,14% 29,15% 39,61% 57,69% 56,27%
225

BlackRock Glb Unconstr Eq A Eu

IE00BLF9YH30

177,65

13/11/2025
EUR NA NA NA NA NA NA
226

BGF European Value Fd A2 Eur

LU0072462186

123,22

13/11/2025
EUR 19,77% 19,39% 56,59% 82,82% 78,68% 89,22%
227

BlackRock European HY Bond A2

LU1191877379

NA NA NA NA NA NA
228

BGF Em Mkts Ex-China A2 H EUR

LU2719174067

82,04

13/11/2025
EUR NA NA NA NA NA NA
229

BGF World Technology A2

LU0171310443

97,08

13/11/2025
EUR 5,90% 8,99% 97,40% 67,52% 280,26% 462,78%
230

BGF World Mining H A2 EUR

LU0326424115

6,12

13/11/2025
EUR 49,75% 38,50% 28,54% 61,27% 80,95% 198,04%
231

BGF World Healthscience A2 EUR

LU0171307068

63,79

13/11/2025
EUR -0,20% -3,64% 7,34% 33,82% 94,84% 101,74%
232

BGF World Gold H A2 EUR

LU0326422689

11,33

13/11/2025
EUR 123,47% 116,22% 173,67% 83,63% 135,06% 245,43%
233

BGF World Energy H A2 EUR

LU0326422176

6,42

13/11/2025
EUR 7,90% 0,31% 4,90% 120,62% 26,13% 28,40%
234

BlackRock Man Idx Ptf Growth E

LU2075911227

147,34

13/11/2025
EUR NA NA NA NA NA NA
235

BRSF Managed In Defensive E2 C

LU2075911490

99,20

13/11/2025
EUR NA NA NA NA NA NA
236

BGF Syst Sus Gb SmallCap Fd A2

LU0171288334

159,61

13/11/2025
EUR 5,98% 4,93% 33,82% 64,94% 82,89% 105,42%
237

Carmignac Investissement A Eur

FR0010148981

2 519,56

13/11/2025
EUR 17,45% 18,93% 70,51% 56,12% 113,06% 123,51%
238

Comgest Renaissance Europe C

FR0000295230

247,31

12/11/2025
EUR -5,30% -6,25% 13,48% 27,32% 71,71% 84,81%
239

Choix Solidaire C

FR0010177899

87,66

12/11/2025
EUR 7,39% 7,92% 21,11% 16,09% 17,71% 22,70%
240

CG Nouvelle Asie C

FR0007450002

846,42

12/11/2025
EUR 10,44% 13,73% 13,89% -11,58% -6,72% 23,41%
241

Centifolia C

FR0007076930

486,22

13/11/2025
EUR 15,76% 14,14% 33,90% 58,98% 27,40% 49,79%
242

Carmig Ptf Patrimoine Europe A

LU1744628287

140,45

13/11/2025
EUR NA NA NA NA NA NA
243

Carmignac Ptf Grdchildren A

LU1966631001

192,05

13/11/2025
EUR NA NA NA NA NA NA
244

Carmignac Ptf Gran Eurp A Eur

LU0099161993

331,49

13/11/2025
EUR -3,60% -2,59% 20,85% 20,94% 65,02% 83,76%
245

Carmignac Pf Flex Bd A EUR Acc

LU0336084032

1 383,94

13/11/2025
EUR 4,61% 4,71% 16,41% 7,80% 17,73% 19,32%
246

Carmignac Clim Transit A EUR

LU0164455502

285,57

04/06/2025
EUR NA NA NA NA NA NA
247

Carmignac Patrimoine A Eur C

FR0010135103

786,73

13/11/2025
EUR 12,40% 12,42% 25,38% 13,17% 21,38% 25,88%
248

Carmignac Emergents A EUR Acc

FR0010149302

1 514,07

13/11/2025
EUR 26,75% 26,83% 42,83% 19,93% 57,36% 85,79%
249

BlackRock Man Idx Ptfs Mod A2

LU1241524708

149,40

13/11/2025
EUR NA NA NA NA NA NA
250

Candriam Sust Equity World C

LU1434527435

41,84

12/11/2025
EUR NA NA NA NA NA NA
251

Candriam Sust Eq Eurp S&MC C

LU2258565089

241,95

13/11/2025
EUR NA NA NA NA NA NA
252

Candriam Sus Def Ass All C Cap

LU1644442102

158,54

12/11/2025
EUR NA NA NA NA NA NA
253

Candriam Sust Bond Gb HY C

LU1644441120

119,56

12/11/2025
EUR 4,05% 3,98% 16,91% 8,47% 19,56% NA
254

Candriam Sust Bd Eurp C Cap

LU1313769447

95,07

12/11/2025
EUR NA NA NA NA NA NA
255

Candriam Eq L Oncology CH EUR

LU1864481624

213,52

13/11/2025
EUR 15,74% 8,07% 6,71% 0,02% NA NA
256

Candriam Bds Gb HY Classic

LU0170291933

288,38

12/11/2025
EUR 5,20% 5,10% 23,06% 21,21% 37,59% 55,02%
257

BSF Esg Euro Bond A2 EUR

LU1435395634

94,38

13/11/2025
EUR NA NA NA NA NA NA
258

BlackRock Syst Style Fac Fd E2

LU1373035150

121,92

13/11/2025
EUR NA NA NA NA NA NA
259

BRSF MI Moder Moderate E2 C

LU2075911573

122,41

13/11/2025
EUR NA NA NA NA NA NA
260

BGF US Midcap Value Funds A2

LU0171298648

351,51

13/11/2025
EUR -0,77% -3,28% 16,75% 67,75% 93,15% 102,44%
261

BGF Sustainable Energy Fund A2

LU0171289902

17,60

13/11/2025
EUR 17,10% 14,36% 17,18% 41,25% 124,78% 156,93%
262

CPR Invest Education A

LU1861294319

109,85

26/06/2025
EUR NA NA NA NA NA NA
263

Amplegest Pricing Power AC

FR0010375600

285,55

12/11/2025
EUR 0,89% 4,46% 23,79% 8,61% 25,66% 42,62%
264

BFT France Emploi ISR PC

FR00140039G6

116,57

13/11/2025
EUR NA NA NA NA NA NA
265

Best Business Models SRI RC

FR0013079761

352,64

12/11/2025
EUR 16,65% 18,27% 30,68% 39,46% 53,72% 61,82%
266

BDL Rempart C

FR0010174144

246,27

12/11/2025
EUR 15,78% 10,15% 21,79% 64,63% 43,35% 50,99%
267

Amundi Social Bonds P-C

FR0013531266

96,66

12/11/2025
EUR 2,11% 2,44% 9,58% NA NA NA
268

Amundi Fds LatAmEq AEur AD

LU0552029406

104,55

13/11/2025
EUR 36,59% 27,05% 40,28% 73,49% 49,03% 84,10%
269

Amundi M-A Conservative Resp A

LU1941681956

109,39

13/11/2025
EUR NA NA NA NA NA NA
270

Amundi MultiAssetSusFut IEur

LU1941682178

1 151,42

13/11/2025
EUR NA NA NA NA NA NA
271

Amundi US Pioneer A Eur

LU1883872332

25,68

13/11/2025
EUR NA NA NA NA NA NA
272

Amundi Fds Eur Eqty Sm Cap A

LU1883306497

212,32

13/11/2025
EUR NA NA NA NA NA NA
273

Amundi Euro Corp Bd Sel A2 EUR

LU0839528907

102,65

13/11/2025
EUR 3,39% 4,07% 14,81% -0,32% NA NA
274

Amplegest PME AC

FR0011631050

214,51

12/11/2025
EUR 16,14% 16,89% -1,51% 9,22% 5,94% 59,14%
275

BGF Circular Economy Fd A2 EUR

LU2041044178

11,51

13/11/2025
EUR NA NA NA NA NA NA
276

Groupama America Active Eq ZD

FR0000099939

6 285,82

12/11/2025
EUR 9,59% 10,55% 61,97% 113,39% 183,14% 218,97%
277

Aleph Monde R

FR001400LB16

134,64

12/11/2025
EUR 7,82% 8,66% NA NA NA NA
278

abrdn II GRM BHC C.

LU2462141743

6,40

28/01/2025
EUR NA NA NA NA NA NA
279

AS Global Impact Equity AUHC

LU2534880344

14,04

13/11/2025
EUR NA NA NA NA NA NA
280

AB I-Sus US Th Ptf C EUR C

LU0232467836

39,65

13/11/2025
EUR -3,61% -5,71% 24,44% 42,18% 126,29% 172,90%
281

AB I - Sus US Thematic A

LU0232464734

42,60

13/11/2025
EUR -4,74% -5,96% 25,11% 42,19% 130,89% 186,10%
282

AB I Sust Inc Ptf AT EUR H Dis

LU2339505484

12,66

13/11/2025
EUR NA NA NA NA NA NA
283

AB Sust Glb Thematic Pft A Eur

LU0252218267

37,97

13/11/2025
EUR -3,39% -5,54% 14,76% 23,54% 85,05% 118,20%
284

AB I Sus Gb Thematic Credit A2

LU2056363588

14,58

13/11/2025
EUR NA NA NA NA NA NA
285

AB I Sust All Mkt Ptf A Capit

LU2211954693

17,74

13/11/2025
EUR NA NA NA NA NA NA
286

BGF - Asian Dragon Fund A2 Eur

LU1279613365

15,92

13/11/2025
EUR NA NA NA NA NA NA
287

BGF CL AC MU AS A2C C.

LU2377032862

10,84

13/11/2025
EUR NA NA NA NA NA NA
288

BlackRock Sustain Energy A2H

LU1822773807

17,40

13/11/2025
EUR NA NA NA NA NA NA
289

BGF Global Allocation E2 EUR

LU0171283533

70,16

13/11/2025
EUR 2,84% 3,48% 23,56% 31,53% 58,88% 63,77%
290

BGF Sus Gl All A2C C.

LU2488121331

12,43

13/11/2025
EUR NA NA NA NA NA NA
291

BGF Sus Gl All A2HC C.

LU2488121414

13,43

13/11/2025
EUR NA NA NA NA NA NA
292

Sustainable Gl Dyn Eq Fd A2

LU0238689623

35,19

13/11/2025
EUR 5,65% 5,52% 37,87% 61,79% 109,37% 129,52%
293

BGF Next Generation Techno E2

LU1917164938

28,05

13/11/2025
EUR NA NA NA NA NA NA
294

BGF Nxt Gen HCF A2C C.

LU2310090944

8,24

13/11/2025
EUR NA NA NA NA NA NA
295

BGF Next Gen Technology A2 EUR

LU2400291972

NA NA NA NA NA NA
296

BGF Gb Multi-Asset Income Fd

LU0784383399

12,09

13/11/2025
EUR NA NA NA NA NA NA
297

BGF Gb Multi-Asset Inc A2 Eur

LU1162516477

15,30

13/11/2025
EUR NA NA NA NA NA NA
298

BGF Gb Eq Income Fd A2 Eur Cap

LU0880975056

23,82

13/11/2025
EUR 2,22% 1,61% 27,36% 47,17% 65,49% 80,20%
299

BGF Global Allocation H A2 EUR

LU0212925753

50,51

13/11/2025
EUR 13,30% 11,97% 31,71% 18,93% 34,41% 49,22%
300

BGF Gb Alloc Fd A2 Eur Cap

LU0171283459

78,94

13/11/2025
EUR 4,15% 5,07% 25,81% 35,54% 66,21% 72,07%
301

BGF Em Mkts Eq Inc E2 Eur Hed

LU0653880657

16,74

13/11/2025
EUR 36,30% 33,89% 47,61% 13,06% 19,78% 65,94%
302

BGF Future Of Transp E2 EUR C

LU1917164342

16,70

13/11/2025
EUR NA NA NA NA NA NA
303

BGF Future of Transport A2 EUR

LU2400292194

NA NA NA NA NA NA
304

BGF Fix Incom Gb Opp Fd A2 Eur

LU1005243255

15,03

13/11/2025
EUR NA NA NA NA NA NA
305

BGF European A2

LU0011846440

194,95

13/11/2025
EUR 4,31% 4,86% 29,53% 31,53% 71,57% 69,21%
306

BGF Euro-Markets Fd A2 EUR

LU0093502762

51,16

13/11/2025
EUR 13,59% 14,73% 46,84% 55,98% 69,40% 92,91%
307

BGF Euro Short Durat Bd A2

LU0093503810

16,39

13/11/2025
EUR 3,21% 3,47% 10,82% 3,21% 2,44% 3,34%
308

BGF ESG Multi-Asset A2

LU0093503497

21,34

13/11/2025
EUR 8,61% 8,45% 17,67% 21,54% 44,96% 51,73%
309

BGF ESG Em Mkts Bd A2 EUR Hdg

LU1817795278

10,77

13/11/2025
EUR NA NA NA NA NA NA
310

BGF ESG EM Bl Bd A2 EUR Hdg C

LU1817795781

9,77

13/11/2025
EUR NA NA NA NA NA NA
311

BGF Emerging Markets A2 EUR

LU0171275786

39,65

13/11/2025
EUR 13,28% 11,82% 21,01% 3,88% 31,19% 74,70%
312

CPR Croissance Réactive P

FR0010097683

573,17

12/11/2025
EUR 6,58% 6,28% 15,53% 20,23% 19,89% 24,68%
313

CPR Inv Globl Disruptive Opp A

LU1530899142

2 137,79

13/11/2025
EUR 0,50% 0,84% 52,13% 18,20% 93,06% NA
314

Groupama Horizon Actions Em NC

FR0012882413

167,22

11/11/2025
EUR 14,76% 17,21% 31,64% 9,71% 19,66% 47,90%
315

Groupama Dynamic Bond NC

LU1226626759

104,18

12/11/2025
EUR NA NA NA NA NA NA
316

Groupama Euro Credit NC

FR0010702175

692,52

12/11/2025
EUR 3,02% 3,46% 16,15% -1,15% 3,37% 9,22%
317

Group Euro Cred Sh Dur ZC

FR0000171837

3 436,62

12/11/2025
EUR 3,22% 3,73% 14,56% 8,20% 8,53% 10,95%
318

Group Euro Cred Sh Dur NC

FR0010288332

641,73

12/11/2025
EUR 3,17% 3,66% 14,41% 7,54% 6,43% 7,86%
319

Groupama Euro Convertible NC

FR0010301317

706,76

12/11/2025
EUR 10,38% 11,42% 22,46% 7,34% 13,82% 18,54%
320

Groupama Euro Bond NC

FR0010292268

553,38

12/11/2025
EUR 1,87% 2,60% 8,70% -9,87% -2,48% 1,41%
321

Groupama Euro Active Equity ZC

FR0010013987

300,78

12/11/2025
EUR 17,95% 20,85% 48,27% 58,51% 76,89% 99,70%
322

Groupama Euro Active Equity NC

FR0010271528

248,14

12/11/2025
EUR 19,56% 20,43% 49,41% 58,09% 72,80% 95,11%
323

Groupama Eurp Act Immo ND

FR0011051655

142,09

12/11/2025
EUR 4,71% 0,92% 10,94% -13,91% -6,10% -6,93%
324

Groupama Equilibre NC

FR0010013961

237,82

10/11/2025
EUR 3,28% 3,41% 22,46% 16,85% 23,79% 39,01%
325

Groupama Dynamisme NC

FR0010013912

235,06

10/11/2025
EUR 3,45% 3,47% 33,00% 45,97% 63,34% 86,18%
326

Groupama Dyna Bond Med Term NC

FR001400NNK4

106,90

12/11/2025
EUR NA NA NA NA NA NA
327

Groupama Euro Financi Debt NC

FR0013259181

1 194,09

12/11/2025
EUR NA NA NA NA NA NA
328

Groupama Corporate Hybrid NC

LU2023296242

107,18

12/11/2025
EUR NA NA NA NA NA NA
329

Groupama Convictions NC

FR0000029902

464,11

10/11/2025
EUR 3,95% 4,20% 23,52% 23,02% 37,34% 48,78%
330

Group Avenir PME Europe NC

LU1611031870

102,91

12/11/2025
EUR 9,55% 11,19% 11,99% -5,93% 4,84% NA
331

Groupama Avenir Europe NC

LU0675297237

223,74

12/11/2025
EUR 0,39% 2,57% 2,57% -6,18% 21,70% 56,65%
332

Groupama Avenir Euro NC

FR0010288308

1 851,22

12/11/2025
EUR 1,77% 3,84% 3,42% -6,16% 23,56% 70,20%
333

Groupama Avenir Euro ZC

FR0000990038

14 444,73

12/11/2025
EUR 0,62% 4,54% 2,74% -6,17% 25,48% 73,63%
334

Groupama Asia Stock ZC

FR0010298331

3 845,65

12/11/2025
EUR 7,06% 5,42% 20,13% 11,81% 26,22% 61,82%
335

Groupama America Active Eq NC

FR0010953497

500,38

12/11/2025
EUR 8,83% 10,13% 57,01% 103,59% 165,71% 203,15%
336

Groupama AM Active Equity H NC

FR0012243756

154,70

12/11/2025
EUR 19,17% 17,21% NA NA NA NA
337

Group Alpha Fixed Inc Plus NC

LU1891750868

113,80

12/11/2025
EUR NA NA NA NA NA NA
338

Groupama Euro Diversifié NC

FR0007019930

3 437,09

10/11/2025
EUR 8,47% 12,50% 28,36% 35,76% 48,79% 66,41%
339

Groupama Euro Govies NC

FR0012726511

426,76

12/11/2025
EUR 0,63% 1,20% 4,44% -15,42% NA NA
340

Groupama Actions Retraite

FR0010086470

3 582,51

14/10/2025
EUR NA NA NA NA NA NA
341

G Gan Pierre 1 G

FR001400E573

1 012,73

31/10/2025
EUR NA NA NA NA NA NA
342

Group Horiz Actions Emerg IC

FR001400QXG4

1 156,80

11/11/2025
EUR NA NA NA NA NA NA
343

Groupama Health And Wellness N

FR001400C1T9

106,77

12/11/2025
EUR NA NA NA NA NA NA
344

Groupama Gl Inflation Linkd ZC

FR0013045317

986,28

12/11/2025
EUR 3,31% 2,50% -0,13% NA NA NA
345

Groupama Gl Inflation Linkd NC

FR0010696617

653,85

12/11/2025
EUR 3,16% 2,27% -0,68% -13,02% -7,99% -1,28%
346

Group Global Disruption NC

LU1897556517

315,29

12/11/2025
EUR NA NA NA NA NA NA
347

Groupama Global Convert NC

LU1856264822

121,99

10/11/2025
EUR NA NA NA NA NA NA
348

Groupama Global Bond NC

LU1501413972

96,27

12/11/2025
EUR 2,45% 2,37% 6,62% -9,54% -5,12% NA
349

Groupama Global Active Eq ZC

FR0010318121

81,83

12/11/2025
EUR 11,57% 12,72% 57,34% 100,22% 150,26% 189,81%
350

Group Glob Infl Sh Duration NC

LU1717592262

106,46

12/11/2025
EUR NA NA NA NA NA NA
351

Groupama Gan Pierre 1 A

FR0012413607

1 040,10

31/10/2025
EUR 3,09% 3,52% 5,33% 9,22% 20,72% 28,06%
352

Groupama Future For Gen Bal NC

FR0010289660

1 016,86

12/11/2025
EUR 3,08% 2,62% 23,51% 13,12% 41,48% 59,30%
353

Groupama Euro High Yield NC

LU0571101558

177,01

12/11/2025
EUR 4,32% 5,51% 28,29% 19,58% 24,51% 39,41%
354

Groupama France Active Eq NC

FR0000989782

1 259,39

12/11/2025
EUR 10,06% 12,55% 27,73% 49,50% 77,64% 106,40%
355

Groupama FP Flexible Piano NC

FR0011405000

476,38

10/11/2025
EUR 1,75% 2,24% 8,13% 5,53% -1,55% -3,24%
356

Groupama FP Flexibl Allocat IC

FR0010646299

11 726,68

10/11/2025
EUR 1,41% 2,00% 6,31% 3,62% -7,13% -4,99%
357

Groupama FP Flexibl Allegro NC

FR0011407535

535,17

10/11/2025
EUR 1,00% 0,77% 13,25% 8,83% 0,97% 5,36%
358

Groupama Fut For Gen Modera NC

FR001400S573

103,60

12/11/2025
EUR NA NA NA NA NA NA
359

Groupama Fut For Gen Equity NC

FR001400S6Z7

110,20

12/11/2025
EUR NA NA NA NA NA NA
360

Groupama Fut For Ge Dynamic NC

FR001400S649

107,73

10/11/2025
EUR NA NA NA NA NA NA
361

Groupama Eurostratégie

FR0007020003

3 647,85

12/11/2025
EUR 17,06% 22,27% 50,17% 70,48% 92,22% 119,57%
362

Group Europe Convertible NC

LU0571100824

171,84

10/11/2025
EUR 9,65% 10,42% 22,81% 10,35% 18,01% 27,70%
363

Group Europ Active Equity NC

LU0857959612

282,83

12/11/2025
EUR 12,93% 13,41% 36,77% 52,13% 72,56% 77,78%
364

Group Alpha Fixed Income NC

LU0571102010

116,41

12/11/2025
EUR 2,24% 2,59% 10,83% 10,25% 9,79% 11,66%
365

Groupama Actions Monde

FR0010013938

657,22

14/10/2025
EUR NA NA NA NA NA NA
366

CPR Invest Hydrogen A Acc

LU2389405080

119,05

13/11/2025
EUR 18,89% 19,97% 26,82% NA NA NA
367

DNCA Inv SRI Norden Eur A EUR

LU1490785091

203,58

13/11/2025
EUR NA NA NA NA NA NA
368

EdR Tricolore Convictions AEUR

FR0010588343

502,92

12/11/2025
EUR 14,03% 14,96% 36,08% 56,08% 31,06% 50,54%
369

EdR - European Catalysts A EUR

FR001400FUB4

126,79

12/11/2025
EUR NA NA NA NA NA NA
370

EdR Euro Sustainable Eq A EUR

FR0010505578

636,35

12/11/2025
EUR 12,81% 12,77% 34,04% 41,18% 59,34% 82,58%
371

Echiquier Space B EUR

LU2466448532

162,07

12/11/2025
EUR NA NA NA NA NA NA
372

Echiquier Qme A

FR0012815876

1 086,08

11/09/2025
EUR NA NA NA NA NA NA
373

Echiquier Posit Impact Europ A

FR0010863688

280,69

13/11/2025
EUR -2,19% -2,00% 17,85% 12,54% 45,68% 76,11%
374

Echiquier Arty SRI A

FR0010611293

1 879,42

13/11/2025
EUR 4,70% 4,86% 17,18% 13,98% 15,52% 24,91%
375

DPAM L Bds Em Mkts Sust B

LU0907927338

154,51

13/11/2025
EUR 5,35% 5,05% 23,36% 18,88% 28,22% 46,20%
376

DPAM L Bds Clim Trend Sust B

LU1996436223

99,56

13/11/2025
EUR NA NA NA NA NA NA
377

DNCA Opportunités Zone Euro C

FR0012316180

178,30

13/11/2025
EUR 16,31% 17,49% 41,10% 62,40% 41,19% 50,60%
378

DNCA I Global New World A

LU2194926775

107,39

13/11/2025
EUR 7,55% 9,19% 66,28% NA NA NA
379

EdR Bond Allocation A

LU1161527038

237,61

13/11/2025
EUR 2,94% 3,38% 14,24% 4,02% 8,56% 18,62%
380

DNCA INVEST Evolutif A

LU0284394664

222,18

13/11/2025
EUR 6,21% 6,52% 38,00% 41,91% 41,67% 49,85%
381

DNCA Invest - Eurose A EUR

LU0284394235

192,74

13/11/2025
EUR 7,68% 7,47% 21,17% 25,62% 20,29% 27,15%
382

DNCA Invest Beyond Sempe A EUR

LU1907595398

164,21

13/11/2025
EUR 4,73% 3,77% 19,00% 21,33% NA NA
383

DNCA Invest Beyond Alt A EUR C

LU1907594748

115,07

13/11/2025
EUR 1,66% 0,61% 13,41% 3,14% NA NA
384

DNCA Invest Alpha Bonds N D.

LU1744459667

116,04

13/11/2025
EUR 5,49% 5,88% 10,20% 20,77% NA NA
385

DNCA Invest Alpha Bonds A EUR

LU1694789451

129,88

13/11/2025
EUR 5,20% 5,56% 16,27% 27,88% NA NA
386

DNCA Beyond Gb Leaders A

LU0383783841

217,29

17/07/2025
EUR NA NA NA NA NA NA
387

DNCA INV Archer Mid-Cap Eurp A

LU1366712435

258,34

13/11/2025
EUR 15,59% 18,72% 40,73% 56,78% 88,89% NA
388

CPR Silver Age P

FR0010836163

2 969,63

12/11/2025
EUR 8,07% 9,13% 28,01% 32,14% 38,48% 41,78%
389

CPR Invest - Social Equities A

LU2036821663

148,03

13/11/2025
EUR NA NA NA NA NA NA
390

EdR Big Data A Eur Cap

LU1244893696

337,44

12/11/2025
EUR 6,67% 8,23% 46,24% 88,37% 145,16% 215,04%
391

EdR Fd Healthcare A EUR Cap

LU1160356009

1 346,83

13/11/2025
EUR -1,37% -2,02% -5,94% 16,06% 51,53% 38,31%
392

Groupama Actions France ND

FR0000290124

11 160,87

12/11/2025
EUR 10,50% 13,07% 29,59% 52,82% 81,49% 110,78%
393

GAN Dynamisme ID

FR0010277780

5 112,57

06/10/2025
EUR NA NA NA NA NA NA
394

Groupama Actions France NC

FR0010263822

2 362,73

12/11/2025
EUR 10,51% 13,08% 29,60% 52,83% 81,50% 110,79%
395

Groupama Actions Europe NA

FR0013379328

157,99

12/11/2025
EUR 14,74% 14,00% 38,23% 51,99% NA NA
396

Groupama Absolute Return NC

FR0013397874

106,62

12/11/2025
EUR NA NA NA NA NA NA
397

Goldman Sachs Soc Bd P EUR Cap

LU2489471016

NA NA NA NA NA NA
398

Ginjer Detox European Equity A

FR0014001FO2

157,02

13/11/2025
EUR NA NA NA NA NA NA
399

Ginjer Actifs 360 A

FR0011153014

234,92

13/11/2025
EUR 20,97% 23,42% 41,98% 72,08% 56,37% 80,81%
400

GAN Prudence ID

FR0007010244

2 011,20

06/10/2025
EUR NA NA NA NA NA NA
401

Gan Equilibre NC

FR0010271387

920,71

06/10/2025
EUR NA NA NA NA NA NA
402

GAN Equilibre IC

FR0010271395

1 974,05

06/10/2025
EUR NA NA NA NA NA NA
403

GAN Dynamisme NC

FR0010271478

1 064,08

06/10/2025
EUR NA NA NA NA NA NA
404

GAN Dynamisme IC

FR0010271460

2 336,63

06/10/2025
EUR NA NA NA NA NA NA
405

EdR Human Capital A

LU2221884310

113,90

13/11/2025
EUR -2,30% -2,34% 17,81% NA NA NA
406

Flornoy Valeurs Familiales V

FR001400ODK3

1 109,24

12/11/2025
EUR 19,04% 18,48% NA NA NA NA
407

Flornoy Valeurs Familiales R

FR0011208297

2 110,15

12/11/2025
EUR 18,67% 18,06% 31,54% 35,39% 40,43% 57,35%
408

Flornoy Allocat V C.

FR001400ODC0

1 073,74

12/11/2025
EUR 6,64% 6,99% NA NA NA NA
409

Flornoy Allocation R

FR0011208271

1 256,23

12/11/2025
EUR 5,67% 5,87% 16,18% 5,79% 2,91% 7,45%
410

FF America Fd A Eur Cap

LU0251127410

41,49

13/11/2025
EUR -5,14% -7,33% 12,93% 62,71% 71,38% 80,78%
411

Ff Emerging Markets A Eur Dis

LU0307839646

18,97

13/11/2025
EUR 18,42% 17,61% 31,38% 7,81% 27,18% 60,93%
412

FF Sust Hth Care A-ACC-Euro

LU0261952419

40,40

13/11/2025
EUR -6,85% -11,01% -1,32% 19,88% 69,75% 62,97%
413

FF - Sust Eurozone Eq Fd A Eur

LU0238202427

27,48

13/11/2025
EUR 14,09% 17,17% 34,09% 44,64% 74,11% 82,58%
414

FF - Nordic Fd A Eur Cap

LU0922334643

33,37

13/11/2025
EUR 24,13% 24,78% 45,50% 86,96% 88,13% 156,03%
415

Eurazeo Private Val Europe 3 C

FR0013301553

150,52

31/10/2025
EUR 4,16% 5,05% 22,85% 41,11% NA NA
416

EdR Fd US Value A EUR HE

LU1103303670

182,87

13/11/2025
EUR NA NA NA NA NA NA
417

Vontobel II Gb Imp Eq B

LU2294186296

103,31

12/08/2024
EUR NA NA NA NA NA NA