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 | LU1934454031 | 18,28 03/07/2025 |
EUR | -6,16% | 6,16% | -20,14% | -5,72% | NA | NA |
2 |
JPMF Emerg Mk Local Cur Debt A LU0332400232 |
15,83 03/07/2025 |
EUR | -0,31% | 4,08% | 10,47% | 9,17% | 9,70% | 12,75% |
3 | LU0853555380 | 11,57 03/07/2025 |
EUR | 3,12% | 3,21% | 5,76% | -7,14% | -1,28% | 4,05% |
4 | LU0157178582 | 245,38 03/07/2025 |
EUR | -5,81% | -1,76% | 39,17% | 88,55% | 127,84% | 156,35% |
5 | LU0281483569 | 331,55 03/07/2025 |
EUR | -7,07% | 2,04% | 54,40% | 107,76% | 180,55% | 214,00% |
6 |
JPMorgan Us Eq Al Cap Fd A Eur LU1033933703 |
278,76 03/07/2025 |
EUR | -8,01% | 3,61% | 34,20% | 89,80% | 146,63% | 172,95% |
7 | LU1033934008 | 127,68 03/07/2025 |
EUR | 3,49% | 10,97% | 45,47% | NA | NA | 25,68% |
8 | LU2293888199 | 133,29 03/07/2025 |
EUR | -5,67% | -1,82% | 36,40% | NA | NA | NA |
9 | LU0210534227 | 62,42 03/07/2025 |
EUR | -5,21% | -1,28% | 42,15% | 93,31% | 124,29% | 146,14% |
10 | LU1529808336 | 190,30 03/07/2025 |
EUR | 10,47% | 6,63% | 43,68% | 70,50% | 74,99% | NA |
11 | LU0210530746 | 32,08 03/07/2025 |
EUR | 11,47% | 7,22% | 47,49% | 81,14% | 76,75% | 91,75% |
12 |
JPM Europe Eq Abs Alpha A perf LU1001747408 |
189,07 03/07/2025 |
EUR | 5,61% | 12,78% | 31,70% | 57,36% | 61,86% | 52,97% |
13 | LU0599213559 | 85,75 03/07/2025 |
EUR | 7,43% | 9,85% | 21,36% | 4,53% | 0,47% | 6,22% |
14 |
La Française Carbon Imp Fl R O FR0012890333 |
110,46 03/07/2025 |
EUR | 1,78% | 4,23% | 15,75% | 13,48% | 9,42% | NA |
15 | LU0159052710 | 1 016,10 03/07/2025 |
EUR | -3,59% | 7,05% | 79,62% | 88,88% | 333,10% | 457,16% |
16 | LU2785473294 | NA | NA | NA | NA | NA | NA | ||
17 | LU0281482918 | 32,60 03/07/2025 |
EUR | 4,55% | 9,32% | 67,52% | 96,39% | 143,28% | 177,21% |
18 | LU0679000579 | 76,25 03/07/2025 |
EUR | 2,08% | 2,68% | -0,56% | -13,48% | -7,53% | -6,06% |
19 |
JP Mid East Afri and Em Eu Opp LU2539333562 |
133,30 03/07/2025 |
EUR | 4,30% | 13,76% | NA | NA | NA | NA |
20 |
JPMF Latin America Eq Fd A Eur LU0831102792 |
95,39 03/07/2025 |
EUR | 15,00% | 7,49% | 30,03% | 49,73% | 27,85% | 37,57% |
21 |
JPMIF JPM Jap Sus Eq A acc EUR LU0828244052 |
237,19 03/07/2025 |
EUR | -0,94% | 4,31% | 23,99% | 34,38% | 43,44% | 47,89% |
22 | LU0955081897 | 102,27 17/06/2025 |
EUR | NA | NA | NA | NA | NA | NA |
23 | LU2539336748 | 108,85 03/07/2025 |
EUR | 1,98% | 4,74% | NA | NA | NA | NA |
24 | LU0740858229 | 159,26 03/07/2025 |
EUR | 3,69% | 5,98% | 15,38% | 18,82% | 16,67% | 24,66% |
25 | FR0012020774 | 109,73 02/07/2025 |
EUR | -3,29% | -3,30% | -8,21% | -22,03% | -19,10% | -1,09% |
26 |
Lazard Credit Opportunities RC FR0010230490 |
691,42 03/07/2025 |
EUR | 0,93% | 4,50% | 8,28% | 22,89% | 28,67% | 36,79% |
27 | LU0289215948 | 28,66 03/07/2025 |
EUR | 3,62% | 3,65% | 54,09% | 89,05% | 105,60% | 128,91% |
28 | LU2482631053 | NA | NA | NA | NA | NA | NA | ||
29 | LU1670628491 | 16,73 03/07/2025 |
EUR | -0,51% | 3,45% | 12,29% | 52,94% | NA | NA |
30 | LU1670715207 | 50,47 03/07/2025 |
EUR | -6,40% | -3,18% | 23,04% | 64,10% | 96,13% | 111,81% |
31 |
M&G (Lux) Episode Macro Fd THA LU1670714499 |
17,42 03/07/2025 |
EUR | 5,08% | 5,73% | 17,54% | 30,70% | 35,15% | 46,71% |
32 |
M&G (Lux) Japan Fund EUR A Acc LU1670626446 |
26,95 03/07/2025 |
EUR | -2,30% | -0,04% | 30,70% | 77,80% | 55,43% | 69,87% |
33 |
M&G (Lux) Global Macro Bond AH LU1670719886 |
9,41 03/07/2025 |
EUR | 6,24% | 5,16% | -1,01% | -19,11% | -15,22% | -13,36% |
34 | LU1670618690 | 40,43 03/07/2025 |
EUR | 5,45% | 5,01% | 23,10% | 65,17% | 46,82% | 61,13% |
35 | LU1670710075 | 17,11 03/07/2025 |
EUR | -4,73% | 4,79% | 25,23% | 80,00% | NA | NA |
36 | LU1670713335 | NA | NA | NA | NA | NA | NA | ||
37 | LU1670708335 | 19,82 03/07/2025 |
EUR | -1,53% | 5,64% | 11,20% | 12,70% | 18,70% | 24,26% |
38 | LU1670707527 | 18,23 03/07/2025 |
EUR | 17,47% | 19,40% | 59,06% | 124,33% | NA | NA |
39 |
M&G Europ Cdt Invest P Acc EUR LU2482630162 |
NA | NA | NA | NA | NA | NA | ||
40 | FR0014009F89 | 119,29 03/07/2025 |
EUR | -2,49% | -0,95% | NA | NA | NA | NA |
41 | LU1670631016 | 12,77 03/07/2025 |
EUR | -4,63% | 1,66% | 16,64% | 11,79% | NA | NA |
42 |
M&G (Lux) Asian Fund EUR A Acc LU1670618187 |
62,88 03/07/2025 |
EUR | 1,85% | 10,16% | 26,85% | 64,52% | 54,89% | 67,68% |
43 | LU1900799617 | 11,83 03/07/2025 |
EUR | 1,80% | 3,55% | 8,44% | 13,51% | NA | NA |
44 | LU1854107221 | 14,68 03/07/2025 |
EUR | -6,34% | -3,39% | 4,28% | 24,45% | NA | NA |
45 | LU1665237704 | 15,20 03/07/2025 |
EUR | -2,65% | 0,77% | -4,05% | 25,38% | NA | NA |
46 |
M&G(Lux) Sust Gl HY Bd A-H EUR LU1665235914 |
10,76 03/07/2025 |
EUR | 2,74% | 7,54% | 20,22% | 9,59% | NA | NA |
47 | LU1582988058 | 11,35 03/07/2025 |
EUR | 5,23% | 4,45% | 17,15% | 27,44% | 17,81% | 29,61% |
48 | LU2379752517 | 10,91 03/07/2025 |
EUR | -1,34% | 3,24% | 23,49% | NA | NA | NA |
49 | FR0000286304 | 72,50 02/07/2025 |
EUR | 8,96% | 5,07% | 36,96% | 72,13% | 69,74% | 92,45% |
50 | FR0000285884 | 161,48 02/07/2025 |
EUR | 10,57% | 8,66% | 53,97% | 71,06% | 68,10% | 80,62% |
51 | LU0880062913 | 242,17 03/07/2025 |
EUR | -12,70% | -15,99% | -14,55% | 9,80% | 53,49% | 36,05% |
52 | LU0070212591 | 2 284,34 03/07/2025 |
EUR | 2,21% | 4,00% | 14,43% | 17,29% | 28,81% | 36,94% |
53 | LU1670626792 | 33,88 03/07/2025 |
EUR | -6,70% | -0,28% | 19,52% | 80,35% | 71,11% | 99,04% |
54 | FR0000282956 | 3 646,46 07/09/2022 |
EUR | NA | NA | NA | NA | NA | NA |
55 | FR0000989626 | 43 439,61 03/07/2025 |
EUR | 1,33% | 3,11% | 9,28% | 8,29% | 7,48% | 7,53% |
56 | FR001400T7J8 | NA | NA | NA | NA | NA | NA | ||
57 | FR001400T1T0 | NA | NA | NA | NA | NA | NA | ||
58 | FR001400T7K6 | NA | NA | NA | NA | NA | NA | ||
59 | FR001400SU16 | NA | NA | NA | NA | NA | NA | ||
60 | FR0010013953 | 146,95 01/07/2025 |
EUR | -0,02% | 3,45% | 6,62% | -2,25% | -2,00% | -0,17% |
61 | FR0010631275 | 3 629,89 02/07/2025 |
EUR | 17,98% | 19,10% | 51,96% | 83,90% | 79,86% | 95,43% |
62 | FR0010627851 | 1 618,18 02/07/2025 |
EUR | 17,50% | 18,44% | 49,98% | 80,47% | 74,60% | 88,25% |
63 | FR0010290585 | 620,76 02/07/2025 |
EUR | 1,41% | 2,67% | 3,59% | -8,09% | -3,54% | -1,36% |
64 | FR0010295980 | 402,47 02/07/2025 |
EUR | 1,65% | 3,15% | 5,08% | -5,87% | 0,07% | 2,61% |
65 | LU0987164596 | 100,13 01/07/2025 |
EUR | 0,64% | -0,57% | 10,67% | -1,17% | -3,39% | -0,35% |
66 | FR001400STZ8 | NA | NA | NA | NA | NA | NA | ||
67 | FR0013383726 | 112,63 01/07/2025 |
EUR | 2,95% | 3,59% | 14,53% | 11,18% | NA | NA |
68 | FR001400SW63 | NA | NA | NA | NA | NA | NA | ||
69 | FR001400T7V3 | NA | NA | NA | NA | NA | NA | ||
70 | FR0010693085 | 552,45 03/07/2025 |
EUR | 1,22% | 2,91% | 8,88% | 7,97% | 7,22% | 7,17% |
71 |
GROUPAMA MATURITY EUROPE HY 28 FR001400S7Z5 |
NA | NA | NA | NA | NA | NA | ||
72 | FR0010014019 | 1 588,65 02/07/2025 |
EUR | -2,62% | 0,12% | 26,85% | 40,00% | 51,22% | 54,80% |
73 | FR0010014001 | 1 929,57 02/07/2025 |
EUR | -2,62% | 0,12% | 26,84% | 39,99% | 51,21% | 54,79% |
74 | FR0010271536 | 648,01 02/07/2025 |
EUR | -2,98% | -0,60% | 24,09% | 34,95% | 42,68% | 43,98% |
75 | FR001400NGY9 | NA | NA | NA | NA | NA | NA | ||
76 | FR0012881688 | 97,39 02/07/2025 |
EUR | 2,12% | 4,83% | 5,10% | -7,39% | -3,69% | NA |
77 | FR0012599645 | 10 958,59 02/07/2025 |
EUR | 1,66% | 3,62% | 10,99% | 9,74% | 9,10% | 9,63% |
78 | LU0577843187 | 388,28 03/07/2025 |
EUR | 1,60% | 4,97% | 9,22% | -1,32% | 3,16% | 8,88% |
79 | LU2051033418 | 108,14 03/07/2025 |
EUR | 3,88% | 6,11% | 11,43% | 5,75% | NA | NA |
80 | LU1984711512 | 19,86 03/07/2025 |
EUR | 1,07% | 1,48% | 31,52% | 59,39% | NA | NA |
81 | LU2081629425 | 104,96 03/07/2025 |
EUR | 3,59% | 5,53% | 9,61% | 2,90% | NA | NA |
82 | LU1211166183 | 179,87 03/07/2025 |
EUR | -7,99% | 1,93% | 17,91% | 79,05% | 85,72% | 99,66% |
83 | LU2076839146 | 140,87 03/07/2025 |
EUR | 8,34% | 5,45% | 29,17% | 59,73% | NA | NA |
84 | LU0210531801 | 48,11 03/07/2025 |
EUR | 8,40% | 3,37% | 35,79% | 53,95% | 79,18% | 105,86% |
85 | LU0210529490 | 30,92 03/07/2025 |
EUR | 13,47% | 12,60% | 60,37% | 82,10% | 72,93% | 97,95% |
86 |
JPM Em Mrkts Sust Equity A EUR LU2051469034 |
117,06 03/07/2025 |
EUR | 0,65% | 7,71% | 5,53% | 13,72% | NA | NA |
87 | LU2394008846 | 99,23 03/07/2025 |
EUR | -1,16% | 1,46% | 25,61% | NA | NA | NA |
88 | LU1255011097 | 19,30 03/07/2025 |
EUR | -8,88% | 6,69% | -38,50% | -31,95% | 21,00% | NA |
89 | LU2257583109 | 90,17 03/07/2025 |
EUR | -1,91% | -1,37% | -3,65% | NA | NA | NA |
90 |
Janus Henderson Horizon Gb Pro LU0264738294 |
22,30 03/07/2025 |
EUR | -7,70% | -0,58% | -11,08% | 10,45% | 29,95% | 42,40% |
91 | LU2441282899 | NA | NA | NA | NA | NA | NA | ||
92 | LU0332192961 | 1 763,95 03/07/2025 |
EUR | -3,68% | 1,24% | 16,49% | 17,23% | 72,19% | 134,48% |
93 |
iShares MSCI World SRI EUR Acc IE00BYX2JD69 |
11,41 03/07/2025 |
EUR | -4,20% | 3,09% | 30,82% | 71,90% | NA | NA |
94 |
Invesco Trans Global Inc A Acc LU2530422497 |
12,03 03/07/2025 |
EUR | 2,58% | 5,25% | NA | NA | NA | NA |
95 | LU0119750205 | 27,74 03/07/2025 |
EUR | 10,69% | 11,67% | 36,92% | 58,88% | 47,95% | 61,19% |
96 | LU0115142274 | 10,37 03/07/2025 |
EUR | 5,49% | 18,24% | 12,35% | 4,22% | 10,32% | 46,68% |
97 |
Impax Global Equity Opportun B IE00BLRPMQ42 |
1,56 03/07/2025 |
EUR | -3,53% | 0,58% | 19,60% | 48,90% | NA | NA |
98 |
HSBC GIF Gb Inflat Link Bd YCH LU1260751463 |
9,62 03/07/2025 |
EUR | 0,67% | 0,17% | -4,25% | -8,59% | -1,83% | NA |
99 | FR0000982449 | 95,61 03/07/2025 |
EUR | 10,24% | 2,26% | 15,95% | 30,90% | 31,12% | 31,22% |
100 |
GS Patrimonial Balanced P EURC LU0119195963 |
1 981,82 03/07/2025 |
EUR | -1,98% | 2,62% | 16,02% | 21,98% | 36,82% | 44,55% |
101 | LU1922483299 | 253,96 03/07/2025 |
EUR | 2,22% | 5,23% | 12,17% | NA | NA | NA |
102 |
Goldman Sachs Green Bond P Cap LU1586216068 |
235,92 03/07/2025 |
EUR | 0,76% | 4,36% | 3,95% | -13,35% | NA | 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 |
10,71 03/07/2025 |
EUR | 3,34% | 3,61% | 12,66% | 5,64% | NA | NA |
105 |
Groupama Horizon Actions Monde FR0012882454 |
213,87 02/07/2025 |
EUR | -3,94% | 0,15% | 31,09% | 55,53% | 78,31% | NA |
106 | LU1811861357 | 103,84 03/07/2025 |
EUR | 2,51% | 3,59% | 6,68% | -8,63% | NA | NA |
107 | LU0248176959 | 16,64 03/07/2025 |
EUR | 1,58% | 1,83% | 10,91% | 15,02% | 29,31% | 44,86% |
108 | FR0011034818 | 169,50 02/07/2025 |
EUR | 3,27% | 6,44% | 13,32% | 20,74% | 17,17% | 19,83% |
109 | FR0010707513 | 186,31 02/07/2025 |
EUR | 2,15% | 5,94% | 19,31% | 19,12% | 18,72% | 23,37% |
110 | LU2146189407 | 243,32 03/07/2025 |
EUR | -11,36% | -8,80% | -5,88% | 8,11% | 32,79% | 31,30% |
111 |
Robeco Sus Diversified Allocation LU2730330177 |
NA | NA | NA | NA | NA | NA | ||
112 | LU2145463613 | 288,33 03/07/2025 |
EUR | -9,09% | -14,00% | -4,55% | 21,58% | 24,19% | 56,35% |
113 | LU2145461757 | 60,17 03/07/2025 |
EUR | 2,59% | 2,43% | 23,70% | 78,92% | 161,27% | 192,09% |
114 |
Robeco AS Multi Ass Sust D Eur LU1821198576 |
120,90 07/03/2024 |
EUR | NA | NA | NA | NA | NA | NA |
115 | LU0491217419 | 365,44 03/07/2025 |
EUR | -6,80% | -5,44% | 31,65% | 126,49% | 132,63% | 158,75% |
116 | LU2145460353 | 183,45 03/07/2025 |
EUR | -3,05% | 2,10% | 26,89% | 54,39% | NA | NA |
117 | LU2145458969 | 233,93 24/06/2025 |
EUR | NA | NA | NA | NA | NA | NA |
118 |
Schroder Gb Climat Change Eq A LU0302446645 |
29,87 03/07/2025 |
EUR | -2,37% | -1,03% | 11,54% | 40,88% | 89,41% | 111,36% |
119 | LU0503372608 | 136,60 03/07/2025 |
EUR | 1,67% | 5,21% | 10,51% | -0,23% | 4,65% | 10,22% |
120 | LU1664415368 | 101,51 03/07/2025 |
EUR | -10,41% | -0,16% | -45,58% | -40,42% | NA | NA |
121 | FR0007076575 | 40,07 01/07/2025 |
EUR | -3,59% | 2,32% | 23,79% | 51,15% | 63,48% | 78,96% |
122 | FR0007076591 | 20,79 01/07/2025 |
EUR | 0,14% | 3,79% | 7,55% | -0,62% | 0,43% | 2,82% |
123 | FR0007076583 | 28,64 01/07/2025 |
EUR | -2,02% | 2,18% | 16,05% | 21,56% | 29,18% | 35,35% |
124 |
Regnan Sus Water Waste E A Acc IE000GWPAZX6 |
NA | NA | NA | NA | NA | NA | ||
125 | FR0011253624 | 3 568,66 02/07/2025 |
EUR | 3,27% | 10,72% | 35,23% | 55,85% | 75,29% | 111,57% |
126 |
R-co Thematic Real Estate F EU FR0011885797 |
127,50 02/07/2025 |
EUR | 8,60% | 6,52% | 15,82% | 4,19% | -2,05% | 16,51% |
127 | FR0007457890 | 1 583,00 02/07/2025 |
EUR | 8,92% | 7,03% | 16,94% | 4,45% | -0,55% | 19,74% |
128 | FR0012383743 | 1 571,40 02/07/2025 |
EUR | 7,14% | 5,77% | 30,60% | 40,07% | 35,40% | 56,54% |
129 | LU0106235293 | 55,17 03/07/2025 |
EUR | 17,30% | 17,61% | 41,36% | 54,71% | 45,32% | 66,13% |
130 | LU2016064201 | 125,42 03/07/2025 |
EUR | 16,38% | -6,38% | -22,31% | -0,44% | NA | NA |
131 | FR0011466093 | 286,26 02/07/2025 |
EUR | 22,35% | 8,03% | 24,35% | 68,52% | 8,85% | 84,18% |
132 | LU1301026388 | 181,86 02/07/2025 |
EUR | 7,62% | 4,87% | 39,41% | 42,79% | 41,89% | NA |
133 | LU0415415636 | 48,35 03/07/2025 |
EUR | 8,80% | 5,31% | -1,25% | 61,17% | 32,98% | 13,66% |
134 | LU2358392376 | 448,03 02/07/2025 |
EUR | 4,80% | 3,55% | 19,93% | 39,90% | 49,77% | 55,06% |
135 | FR0013451275 | 126,47 18/02/2025 |
EUR | NA | NA | NA | NA | NA | NA |
136 |
Tobam BTC Link and Block Eq B1 FR0014002IJ4 |
165,09 01/07/2025 |
EUR | 39,21% | 85,79% | 231,31% | NA | NA | NA |
137 | LU2147879543 | 731,47 02/07/2025 |
EUR | 2,26% | 4,96% | 10,44% | 13,58% | 20,82% | 26,37% |
138 | LU0128520375 | 34,48 03/07/2025 |
EUR | 3,05% | -5,01% | 20,77% | 52,16% | 54,90% | 58,38% |
139 | FR0010117093 | 442,46 02/07/2025 |
EUR | 8,64% | 7,00% | 19,12% | 10,85% | 18,31% | 36,36% |
140 | FR0010376368 | 805,02 03/07/2025 |
EUR | 11,21% | 3,85% | 18,97% | 38,81% | 9,09% | 47,01% |
141 | FR0014000IG4 | 87,53 02/07/2025 |
EUR | 12,20% | 2,94% | 1,44% | NA | NA | NA |
142 | 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 |
28,25 03/07/2025 |
EUR | 1,35% | -0,12% | -7,55% | -16,45% | -10,30% | -5,44% |
145 | LU0161305163 | 100,31 03/07/2025 |
EUR | 16,30% | 14,42% | 42,00% | 109,76% | 51,09% | 67,38% |
146 |
SISF Em Mkt Debt Tot Ret A hdg LU0177592218 |
25,65 03/07/2025 |
EUR | 7,56% | 7,34% | 16,93% | -3,38% | -11,33% | -5,82% |
147 | FR001400MDE0 | NA | NA | NA | NA | NA | NA | ||
148 |
SFS Sycomore Global Social Impact LU2413894051 |
NA | NA | NA | NA | NA | NA | ||
149 | LU0935229582 | 134,36 03/07/2025 |
EUR | 6,70% | 7,36% | 15,32% | 30,04% | 32,52% | NA |
150 | LU0334663233 | 239,71 03/07/2025 |
EUR | -5,88% | 0,11% | 12,02% | 39,55% | 26,57% | 46,94% |
151 | LU2097342146 | 131,81 03/07/2025 |
EUR | 6,30% | 9,31% | 21,83% | 29,52% | NA | NA |
152 | LU2080993616 | 106,00 03/07/2025 |
EUR | 1,88% | 5,49% | 13,21% | 7,45% | NA | NA |
153 | LU2665173949 | 130,43 03/07/2025 |
EUR | 15,84% | 13,93% | NA | NA | NA | NA |
154 |
Sisf Gb Multi-Asset Incom A Hd LU0757360457 |
125,71 03/07/2025 |
EUR | 6,04% | 6,44% | 18,73% | 15,59% | 7,89% | 9,99% |
155 | FR0013261807 | 124,54 02/07/2025 |
EUR | 2,02% | -6,98% | 7,04% | 9,86% | NA | NA |
156 | FR0011315696 | 4 095,05 02/07/2025 |
EUR | 23,57% | 18,74% | 6,15% | 41,61% | 31,80% | 109,77% |
157 | LU1670716437 | 35,15 03/07/2025 |
EUR | 7,99% | 7,55% | 48,13% | 81,48% | 78,31% | 92,59% |
158 |
Nordea 1 Gb Clim & Envir Fd BP LU0348926287 |
32,93 03/07/2025 |
EUR | -2,61% | 1,31% | 15,76% | 57,88% | 99,12% | 147,44% |
159 |
Pictet Abs Return Fixed Inc HP LU0988402730 |
101,79 03/07/2025 |
EUR | 3,14% | 4,91% | 6,31% | -3,56% | -2,38% | -0,97% |
160 | LU0503631714 | 337,38 03/07/2025 |
EUR | -4,88% | -5,73% | 17,11% | 41,58% | 85,46% | 110,82% |
161 | FR0010166140 | 678,97 02/07/2025 |
EUR | 9,01% | 3,95% | 8,21% | 21,41% | 17,22% | 39,29% |
162 | FR0011147594 | 1 804,37 02/07/2025 |
EUR | 3,31% | 9,04% | 28,15% | 35,36% | 32,31% | 34,80% |
163 | FR0011170182 | 995,31 02/07/2025 |
EUR | 31,38% | 27,09% | 33,84% | 29,17% | 68,42% | 62,19% |
164 | FR0000989899 | 4 504,58 02/07/2025 |
EUR | 3,43% | -5,27% | 8,92% | 20,26% | 17,15% | 59,91% |
165 | LU1919842267 | 201,72 02/07/2025 |
EUR | -4,90% | -0,03% | 43,09% | 55,94% | NA | NA |
166 | FR0000299356 | 266,63 02/07/2025 |
EUR | 3,83% | -2,58% | 16,85% | 35,43% | 29,57% | 42,30% |
167 |
N1 Global Soc Empow BP-EUR Cap LU2257592431 |
96,11 03/07/2025 |
EUR | -4,47% | 0,38% | 22,79% | NA | NA | NA |
168 | LU1939214695 | 162,93 03/07/2025 |
EUR | -2,45% | 2,74% | 38,16% | 75,61% | NA | NA |
169 |
MS INVF Asia Oppo Fd A Usd Cap LU1378878430 |
56,06 03/07/2025 |
USD | -5,51% | 9,90% | 2,08% | -13,74% | 57,20% | NA |
170 | LU0280435388 | 156,39 03/07/2025 |
EUR | -3,13% | -1,61% | 29,68% | 60,09% | 106,32% | 96,25% |
171 | LU1500599094 | 1 208,02 02/07/2025 |
EUR | 2,03% | 1,49% | 6,51% | 16,50% | 23,51% | NA |
172 | FR0010298596 | 415,46 02/07/2025 |
EUR | 15,64% | 12,33% | 23,93% | 60,82% | 50,67% | 86,91% |
173 | LU0914734701 | 111,46 03/07/2025 |
EUR | 1,06% | 5,08% | 6,02% | -9,33% | -3,41% | 0,37% |
174 | LU2052475568 | 953,18 03/07/2025 |
EUR | 4,45% | -3,30% | 7,30% | 18,57% | 30,44% | 33,79% |
175 | LU2257982228 | 110,47 02/07/2025 |
EUR | -5,86% | 4,29% | 14,46% | NA | NA | NA |
176 | LU1329694266 | 191,89 02/07/2025 |
EUR | 0,68% | 11,90% | 18,57% | 54,99% | 59,01% | NA |
177 | FR0000292278 | 19,94 03/07/2025 |
EUR | -0,60% | -0,89% | 2,52% | -15,19% | -16,50% | -10,66% |
178 | LU2482630675 | 119,98 03/07/2025 |
EUR | 1,38% | 4,34% | 22,13% | NA | NA | NA |
179 |
M&G Sust Total R Crd Inv P Acc LU2482630832 |
NA | NA | NA | NA | NA | NA | ||
180 | LU1670718219 | 11,70 03/07/2025 |
EUR | 1,96% | 4,39% | 11,85% | 9,39% | 10,37% | 13,69% |
181 | LU2581850216 | NA | NA | NA | NA | NA | NA | ||
182 |
Pict EUR Short Term High Yield LU0726357527 |
140,60 03/07/2025 |
EUR | 2,43% | 5,57% | 21,23% | 18,39% | 14,01% | 19,44% |
183 | LU0104884860 | 513,18 03/07/2025 |
EUR | -3,36% | 0,54% | 14,45% | 48,75% | 77,07% | 106,01% |
184 | LU0280437673 | 156,97 02/07/2025 |
EUR | 1,20% | 5,92% | 8,57% | 8,38% | 7,78% | 11,37% |
185 | LU0340559557 | 193,59 03/07/2025 |
EUR | -14,81% | -11,32% | -9,79% | 37,28% | 32,21% | 42,02% |
186 | LU0270904781 | 349,22 03/07/2025 |
EUR | -2,95% | 4,65% | 19,42% | 38,17% | 85,02% | 105,00% |
187 | LU0144509717 | 428,17 03/07/2025 |
EUR | 5,53% | 6,96% | 37,33% | 61,32% | 70,15% | 84,41% |
188 | LU0217139020 | 279,72 03/07/2025 |
EUR | -7,99% | 2,45% | 19,09% | 62,06% | 97,68% | 91,13% |
189 | LU0366534344 | 229,29 03/07/2025 |
EUR | -6,82% | -4,77% | -11,36% | 3,93% | 18,09% | 15,85% |
190 | LU0941349192 | 142,68 02/07/2025 |
EUR | 2,36% | 5,80% | 15,30% | 14,26% | 20,24% | 24,65% |
191 | LU0255975830 | 173,00 03/07/2025 |
EUR | -4,59% | -2,02% | 16,15% | 46,80% | 55,10% | 58,06% |
192 | LU0255978776 | 292,81 03/07/2025 |
EUR | -13,22% | -8,78% | -3,57% | 6,72% | 31,33% | 16,45% |
193 | LU0386882277 | 361,73 03/07/2025 |
EUR | -6,77% | -1,37% | 16,07% | 31,02% | 65,93% | 77,77% |
194 | LU0130732364 | 150,88 03/07/2025 |
EUR | -3,44% | 2,66% | 23,42% | 23,02% | 26,84% | 47,86% |
195 | LU0340554913 | 596,17 03/07/2025 |
EUR | 1,01% | 4,50% | 66,67% | 49,96% | 119,53% | 185,02% |
196 | LU0503630153 | 143,57 03/07/2025 |
EUR | 2,52% | 3,92% | 8,30% | -6,98% | -0,64% | 3,57% |
197 | LU0255977455 | 732,17 03/07/2025 |
EUR | -14,03% | -14,44% | -1,40% | -11,30% | 18,45% | -2,89% |
198 | LU0255976994 | 275,61 03/07/2025 |
EUR | -2,49% | -0,12% | -0,39% | 2,37% | 24,41% | 49,46% |
199 | LU1433232854 | 133,94 02/07/2025 |
EUR | 2,73% | 4,67% | 14,48% | 21,65% | 29,40% | NA |
200 |
Pictet TR Corto Europe P Eur C LU0496442723 |
147,14 02/07/2025 |
EUR | -0,94% | -1,47% | 0,15% | 3,74% | 6,32% | 12,85% |
201 | LU0503634221 | 216,10 03/07/2025 |
EUR | -4,48% | 3,01% | 14,30% | 12,78% | 33,98% | 41,89% |
202 | LU1279334210 | 351,07 03/07/2025 |
EUR | -4,10% | 0,05% | 58,18% | 78,91% | 191,44% | NA |
203 | LU0248317363 | 193,49 03/07/2025 |
EUR | 0,70% | -2,75% | 52,59% | 115,47% | 106,41% | 93,55% |
204 | LU2247920189 | 86,56 03/07/2025 |
EUR | -9,29% | 2,72% | 9,79% | NA | NA | NA |
205 | LU1437676635 | 192,93 03/07/2025 |
EUR | -4,78% | -3,82% | 21,13% | 35,34% | 71,22% | NA |
206 | LU0448623875 | 110,54 03/07/2025 |
EUR | 3,53% | 8,00% | 19,01% | 14,38% | 9,47% | 16,21% |
207 | LU0170994346 | 247,32 03/07/2025 |
EUR | 4,57% | 8,55% | 14,76% | -3,74% | -3,04% | 6,95% |
208 | FR0012881670 | 109,21 01/07/2025 |
EUR | 2,08% | 5,80% | 14,48% | -2,68% | -6,33% | NA |
209 | FR0012882421 | 181,87 02/07/2025 |
EUR | 8,87% | 5,27% | 32,57% | 45,86% | 50,33% | NA |
210 | LU0496384180 | 29,11 03/07/2025 |
EUR | 2,68% | 6,98% | 26,07% | 14,47% | 14,65% | 27,28% |
211 | LU0823437925 | 246,18 03/07/2025 |
EUR | -3,21% | 0,17% | -7,61% | 12,36% | 21,03% | 26,67% |
212 | LU1376384878 | 117,67 03/07/2025 |
EUR | 4,72% | 5,21% | 7,81% | 8,75% | 13,78% | NA |
213 | LU0725892466 | 147,10 03/07/2025 |
EUR | 2,18% | 1,48% | 20,29% | 18,41% | 20,56% | 25,18% |
214 |
BNY Mellon Blockchain Innov Fd IE00BHPRMV90 |
1,26 02/07/2025 |
EUR | 10,33% | 14,81% | 41,65% | 7,50% | NA | NA |
215 | LU1956154386 | 241,96 02/07/2025 |
EUR | -2,16% | 1,71% | 7,58% | 15,01% | 19,53% | 23,27% |
216 | LU0406802339 | 262,16 03/07/2025 |
EUR | -1,55% | 0,00% | 1,39% | 32,74% | 55,11% | 82,45% |
217 | LU2355551313 | 99,37 02/07/2025 |
EUR | 1,92% | 4,74% | 7,22% | NA | NA | NA |
218 | FR0010106831 | 707,53 02/07/2025 |
EUR | 9,43% | 6,57% | 41,43% | 74,00% | 74,17% | 98,82% |
219 | LU1165136174 | 165,84 03/07/2025 |
EUR | -2,73% | -0,19% | 30,82% | 59,42% | 73,73% | 75,79% |
220 | LU0823416762 | 1 468,16 03/07/2025 |
EUR | -14,32% | -14,60% | -6,16% | 17,86% | 54,14% | 38,60% |
221 | LU1165137149 | 120,86 03/07/2025 |
EUR | -5,19% | -0,23% | -5,45% | 18,09% | 16,20% | 26,33% |
222 | LU0347711466 | 319,79 03/07/2025 |
EUR | -1,12% | 0,90% | 23,26% | 49,53% | 68,50% | 92,26% |
223 | LU2075911144 | 108,96 03/07/2025 |
EUR | 1,56% | 5,23% | 13,55% | 12,57% | NA | NA |
224 | FR0010077412 | 241,77 02/07/2025 |
EUR | 5,50% | 1,88% | 30,59% | 39,91% | 50,89% | 55,22% |
225 |
BlackRock Glb Unconstr Eq A Eu IE00BLF9YH30 |
170,54 03/07/2025 |
EUR | -4,41% | -4,79% | 35,13% | NA | NA | NA |
226 | LU0072462186 | 114,09 03/07/2025 |
EUR | 10,90% | 13,81% | 50,81% | 88,49% | 64,61% | 71,31% |
227 | LU1191877379 | NA | NA | NA | NA | NA | NA | ||
228 | LU2719174067 | 75,50 03/07/2025 |
EUR | 9,87% | -0,15% | NA | NA | NA | NA |
229 | LU0171310443 | 86,81 03/07/2025 |
EUR | -5,30% | 2,00% | 64,04% | 65,70% | 296,21% | 420,76% |
230 | LU0326424115 | 4,75 03/07/2025 |
EUR | 17,00% | 1,50% | 15,01% | 42,22% | 56,77% | 66,67% |
231 |
BGF World Healthscience A2 EUR LU0171307068 |
56,25 03/07/2025 |
EUR | -12,00% | -13,95% | -7,48% | 19,00% | 67,91% | 67,46% |
232 | LU0326422689 | 7,72 03/07/2025 |
EUR | 52,27% | 48,75% | 88,75% | 15,05% | 60,83% | 94,46% |
233 | LU0326422176 | 6,20 03/07/2025 |
EUR | 4,20% | -3,58% | 21,33% | 121,43% | 31,91% | 7,83% |
234 |
BlackRock Man Idx Ptf Growth E LU2075911227 |
135,39 03/07/2025 |
EUR | 0,62% | 6,06% | 23,93% | 37,54% | NA | NA |
235 |
BRSF Managed In Defensive E2 C LU2075911490 |
96,54 03/07/2025 |
EUR | 1,85% | 4,38% | 5,19% | -0,95% | NA | NA |
236 |
BGF Syst Sus Gb SmallCap Fd A2 LU0171288334 |
149,12 03/07/2025 |
EUR | -0,99% | 9,34% | 28,51% | 77,67% | 76,56% | 80,80% |
237 |
Carmignac Investissement A Eur FR0010148981 |
2 249,96 03/07/2025 |
EUR | 3,23% | 5,18% | 48,68% | 55,20% | 81,89% | 78,31% |
238 | FR0000295230 | 253,27 02/07/2025 |
EUR | -3,01% | -9,76% | 18,34% | 36,90% | 76,70% | 97,48% |
239 | FR0010177899 | 85,32 02/07/2025 |
EUR | 4,52% | 6,19% | 18,85% | 16,37% | 14,83% | 20,44% |
240 | FR0007450002 | 734,08 03/07/2025 |
EUR | -4,22% | -1,57% | -12,25% | -18,27% | -12,93% | 1,80% |
241 | FR0007076930 | 497,90 02/07/2025 |
EUR | 19,33% | 12,68% | 40,89% | 77,33% | 33,01% | 55,74% |
242 |
Carmig Ptf Patrimoine Europe A LU1744628287 |
138,73 03/07/2025 |
EUR | 3,05% | 4,54% | 10,19% | 17,05% | NA | NA |
243 | LU1966631001 | 194,23 03/07/2025 |
EUR | -4,22% | -0,96% | 33,66% | 59,15% | NA | NA |
244 | LU0099161993 | 334,72 03/07/2025 |
EUR | -1,37% | -2,72% | 26,98% | 35,27% | 69,79% | 76,02% |
245 |
Carmignac Pf Flex Bd A EUR Acc LU0336084032 |
1 374,74 03/07/2025 |
EUR | 4,00% | 5,92% | 20,53% | 11,95% | 17,43% | 17,23% |
246 | LU0164455502 | 285,57 04/06/2025 |
EUR | NA | NA | NA | NA | NA | NA |
247 | FR0010135103 | 752,87 03/07/2025 |
EUR | 6,96% | 6,59% | 20,10% | 13,95% | 13,52% | 13,33% |
248 | FR0010149302 | 1 272,45 03/07/2025 |
EUR | 5,65% | 3,90% | 14,48% | 19,20% | 38,69% | 49,47% |
249 | LU1241524708 | 141,03 03/07/2025 |
EUR | 1,69% | 6,35% | 17,79% | 24,65% | 32,25% | 42,24% |
250 | LU1434527435 | 37,86 02/07/2025 |
EUR | -3,93% | 2,13% | 27,35% | 65,01% | 92,26% | NA |
251 | LU2258565089 | 256,86 03/07/2025 |
EUR | 4,44% | 1,12% | 1,01% | 20,34% | 39,50% | NA |
252 |
Candriam Sus Def Ass All C Cap LU1644442102 |
154,33 02/07/2025 |
EUR | -0,09% | 2,56% | 6,32% | 1,97% | 4,12% | 3,48% |
253 | LU1644441120 | 117,97 02/07/2025 |
EUR | 2,66% | 5,16% | 16,22% | 12,28% | NA | NA |
254 | LU1313769447 | 94,21 02/07/2025 |
EUR | 0,73% | 3,94% | 3,05% | -10,59% | -5,08% | NA |
255 | LU1864481624 | 180,28 03/07/2025 |
EUR | -2,67% | -11,43% | -9,61% | -8,17% | NA | NA |
256 | LU0170291933 | 283,30 02/07/2025 |
EUR | 3,43% | 6,49% | 24,40% | 25,93% | 36,46% | 52,52% |
257 | LU1435395634 | 93,63 03/07/2025 |
EUR | 1,00% | 4,07% | 3,04% | -10,83% | -3,58% | NA |
258 |
BlackRock Syst Style Fac Fd E2 LU1373035150 |
111,34 03/07/2025 |
EUR | -9,13% | -0,19% | 19,04% | 38,52% | 3,59% | NA |
259 | LU2075911573 | 115,76 03/07/2025 |
EUR | 1,43% | 5,81% | 16,03% | 21,57% | NA | NA |
260 | LU0171298648 | 335,94 03/07/2025 |
EUR | -5,84% | 2,49% | 13,77% | 89,79% | 83,46% | 87,82% |
261 |
BGF Sustainable Energy Fund A2 LU0171289902 |
15,28 03/07/2025 |
EUR | 1,66% | -1,42% | 13,94% | 50,54% | 89,34% | 114,91% |
262 | LU1861294319 | 109,85 26/06/2025 |
EUR | NA | NA | NA | NA | NA | NA |
263 | FR0010375600 | 281,38 02/07/2025 |
EUR | 1,14% | 0,42% | 26,64% | 15,03% | 27,89% | 47,20% |
264 | FR00140039G6 | 117,38 03/07/2025 |
EUR | 10,86% | 7,80% | 20,77% | NA | NA | NA |
265 | FR0013079761 | 334,73 02/07/2025 |
EUR | 10,73% | 6,21% | 32,56% | 42,15% | 46,36% | 55,73% |
266 | FR0010174144 | 248,41 02/07/2025 |
EUR | 16,79% | 12,39% | 40,68% | 80,83% | 45,36% | 53,09% |
267 | FR0013531266 | 95,73 02/07/2025 |
EUR | 1,25% | 4,03% | 5,75% | NA | NA | NA |
268 | LU0552029406 | 92,13 03/07/2025 |
EUR | 19,06% | 6,28% | 29,78% | 57,59% | 32,26% | 33,08% |
269 |
Amundi M-A Conservative Resp A LU1941681956 |
107,43 03/07/2025 |
EUR | 0,21% | 3,06% | 7,80% | 5,88% | NA | NA |
270 | LU1941682178 | 1 127,24 03/07/2025 |
EUR | 0,65% | 3,96% | 10,45% | 10,29% | NA | NA |
271 | LU1883872332 | 23,70 03/07/2025 |
EUR | -2,39% | 2,11% | 42,86% | 95,38% | 171,79% | 204,63% |
272 | LU1883306497 | 211,44 03/07/2025 |
EUR | 11,21% | 6,36% | 24,68% | 36,40% | 22,94% | 24,68% |
273 |
Amundi Euro Corp Bd Sel A2 EUR LU0839528907 |
101,38 03/07/2025 |
EUR | 1,96% | 6,68% | 11,15% | 1,94% | NA | NA |
274 | FR0011631050 | 216,27 02/07/2025 |
EUR | 17,90% | 13,15% | -10,57% | 23,21% | 6,38% | 79,61% |
275 |
BGF Circular Economy Fd A2 EUR LU2041044178 |
11,77 03/07/2025 |
EUR | -8,12% | -6,81% | 10,21% | 30,05% | NA | NA |
276 | FR0000099939 | 5 370,95 02/07/2025 |
EUR | -6,48% | 0,74% | 37,17% | 95,84% | 149,20% | 175,46% |
277 | FR001400LB16 | 120,22 02/07/2025 |
EUR | -3,73% | 0,14% | NA | NA | NA | NA |
278 | LU2462141743 | 6,40 28/01/2025 |
EUR | NA | NA | NA | NA | NA | NA |
279 | LU2534880344 | 13,49 03/07/2025 |
EUR | -6,06% | -5,36% | NA | NA | NA | NA |
280 | LU0232467836 | 38,16 03/07/2025 |
EUR | -8,69% | -4,29% | 17,09% | 48,54% | 123,42% | 159,06% |
281 | LU0232464734 | 40,94 03/07/2025 |
EUR | -8,45% | -3,83% | 18,70% | 51,91% | 131,69% | 170,95% |
282 |
AB I Sust Inc Ptf AT EUR H Dis LU2339505484 |
12,56 03/07/2025 |
EUR | 3,62% | 4,69% | 9,06% | NA | NA | NA |
283 |
AB Sust Glb Thematic Pft A Eur LU0252218267 |
37,87 03/07/2025 |
EUR | -5,54% | -2,50% | 12,34% | 34,39% | 89,82% | 109,34% |
284 |
AB I Sus Gb Thematic Credit A2 LU2056363588 |
14,34 03/07/2025 |
EUR | 2,58% | 4,37% | 7,17% | -8,25% | NA | NA |
285 | LU2211954693 | 17,42 03/07/2025 |
EUR | 1,81% | 3,26% | 14,76% | NA | NA | NA |
286 |
BGF - Asian Dragon Fund A2 Eur LU1279613365 |
14,10 03/07/2025 |
EUR | 12,35% | 9,81% | 8,63% | 2,77% | 6,82% | NA |
287 | LU2377032862 | 9,76 03/07/2025 |
EUR | 0,41% | 4,05% | 7,02% | NA | NA | NA |
288 | LU1822773807 | 15,44 03/07/2025 |
EUR | 13,78% | 4,82% | 21,29% | 38,97% | NA | NA |
289 | LU0171283533 | 65,80 03/07/2025 |
EUR | -3,55% | 1,57% | 14,22% | 30,92% | 48,57% | 52,24% |
290 | LU2488121331 | 11,57 03/07/2025 |
EUR | -4,93% | -0,60% | NA | NA | NA | NA |
291 | LU2488121414 | 12,78 03/07/2025 |
EUR | 6,59% | 6,06% | NA | NA | NA | NA |
292 | LU0238689623 | 31,90 03/07/2025 |
EUR | -5,14% | 0,06% | 26,79% | 63,51% | 91,36% | 103,83% |
293 | LU1917164938 | 23,36 03/07/2025 |
EUR | -10,19% | -2,75% | 25,32% | 11,98% | NA | NA |
294 | LU2310090944 | 6,94 03/07/2025 |
EUR | -12,92% | -7,59% | -8,44% | NA | NA | NA |
295 |
BGF Next Gen Technology A2 EUR LU2400291972 |
NA | NA | NA | NA | NA | NA | ||
296 | LU0784383399 | 11,80 03/07/2025 |
EUR | 4,80% | 6,98% | 15,57% | 12,06% | 10,69% | 17,65% |
297 | LU1162516477 | 14,60 03/07/2025 |
EUR | -6,65% | 0,21% | 6,80% | 18,41% | 28,98% | 35,94% |
298 |
BGF Gb Eq Income Fd A2 Eur Cap LU0880975056 |
22,15 03/07/2025 |
EUR | -5,38% | -0,27% | 16,33% | 50,27% | 52,13% | 74,27% |
299 |
BGF Global Allocation H A2 EUR LU0212925753 |
48,36 03/07/2025 |
EUR | 8,48% | 8,94% | 24,99% | 26,17% | 31,88% | 37,90% |
300 | LU0171283459 | 73,90 03/07/2025 |
EUR | -3,31% | 2,09% | 15,94% | 34,24% | 54,63% | 60,06% |
301 | LU0653880657 | 14,58 03/07/2025 |
EUR | 18,92% | 11,98% | 27,78% | 14,62% | 12,33% | 30,18% |
302 | LU1917164342 | 15,07 03/07/2025 |
EUR | -2,90% | -6,57% | -6,51% | 36,38% | 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 |
14,43 03/07/2025 |
EUR | -8,15% | -1,30% | -0,48% | 9,15% | 20,15% | 20,75% |
305 | LU0011846440 | 192,00 03/07/2025 |
EUR | 2,17% | -3,26% | 32,21% | 46,35% | 68,02% | 64,23% |
306 | LU0093502762 | 49,56 03/07/2025 |
EUR | 10,04% | 9,11% | 54,34% | 66,92% | 67,15% | 89,02% |
307 | LU0093503810 | 16,23 03/07/2025 |
EUR | 2,20% | 4,64% | 7,84% | 3,11% | 1,56% | 2,53% |
308 | LU0093503497 | 19,98 03/07/2025 |
EUR | 1,22% | 3,36% | 7,07% | 18,86% | 38,27% | 40,11% |
309 | LU1817795278 | 10,30 03/07/2025 |
EUR | 3,83% | 6,96% | 18,94% | -2,28% | NA | NA |
310 | LU1817795781 | 9,42 03/07/2025 |
EUR | 7,53% | 9,66% | 20,15% | -8,10% | NA | NA |
311 | LU0171275786 | 34,59 03/07/2025 |
EUR | -1,84% | -3,86% | -1,23% | -1,79% | 22,36% | 32,78% |
312 | FR0010097683 | 536,22 02/07/2025 |
EUR | -0,29% | 1,96% | 8,70% | 13,72% | 14,12% | 13,82% |
313 |
CPR Inv Globl Disruptive Opp A LU1530899142 |
1 973,48 02/07/2025 |
EUR | -9,64% | -1,71% | 23,74% | 19,64% | 79,42% | NA |
314 |
Groupama Horizon Actions Em NC FR0012882413 |
145,21 01/07/2025 |
EUR | -0,28% | 5,11% | 4,52% | 2,70% | 9,87% | NA |
315 | LU1226626759 | 102,33 02/07/2025 |
EUR | 1,07% | 4,45% | 12,44% | 6,98% | 1,22% | 3,03% |
316 | FR0010702175 | 683,73 02/07/2025 |
EUR | 1,72% | 5,35% | 11,75% | 0,82% | 3,81% | 8,57% |
317 | FR0000171837 | 3 403,44 02/07/2025 |
EUR | 2,24% | 5,32% | 12,09% | 8,63% | 7,91% | 10,06% |
318 | FR0010288332 | 635,67 02/07/2025 |
EUR | 2,21% | 5,25% | 11,95% | 7,81% | 5,69% | 6,86% |
319 | FR0010301317 | 698,54 02/07/2025 |
EUR | 9,57% | 12,08% | 24,70% | 11,58% | 13,82% | 19,74% |
320 | FR0010292268 | 545,98 02/07/2025 |
EUR | 0,67% | 3,69% | 4,81% | -8,21% | -1,92% | 1,80% |
321 |
Groupama Euro Active Equity ZC FR0010013987 |
279,57 02/07/2025 |
EUR | 11,56% | 8,28% | 50,95% | 62,72% | 72,31% | 88,00% |
322 |
Groupama Euro Active Equity NC FR0010271528 |
231,01 02/07/2025 |
EUR | 11,31% | 7,79% | 48,87% | 58,90% | 65,80% | 79,09% |
323 | FR0011051655 | 143,20 02/07/2025 |
EUR | 5,53% | -0,25% | -1,20% | -6,18% | -2,89% | -3,10% |
324 | FR0010013961 | 224,37 01/07/2025 |
EUR | -1,61% | 3,10% | 14,83% | 15,98% | 21,95% | 27,14% |
325 | FR0010013912 | 215,45 01/07/2025 |
EUR | -3,80% | 1,92% | 22,32% | 47,50% | 58,24% | 72,39% |
326 |
Groupama Dyna Bond Med Term NC FR001400NNK4 |
105,33 02/07/2025 |
EUR | 2,18% | 4,98% | NA | NA | NA | NA |
327 | FR0013259181 | 1 151,40 02/07/2025 |
EUR | 3,84% | 8,84% | 19,38% | 16,60% | 15,14% | NA |
328 | LU2023296242 | 104,86 02/07/2025 |
EUR | 2,31% | 6,58% | 20,18% | 6,22% | NA | NA |
329 | FR0000029902 | 436,01 01/07/2025 |
EUR | -2,34% | 1,62% | 14,20% | 19,81% | 32,78% | 41,99% |
330 | LU1611031870 | 107,00 02/07/2025 |
EUR | 13,90% | 7,94% | 3,91% | 11,04% | 10,61% | NA |
331 | LU0675297237 | 223,65 02/07/2025 |
EUR | 0,35% | -3,11% | -2,31% | 5,94% | 28,69% | 66,84% |
332 | FR0010288308 | 1 974,57 02/07/2025 |
EUR | 8,55% | 0,20% | 7,71% | 13,77% | 38,90% | 97,95% |
333 | FR0000990038 | 15 386,46 02/07/2025 |
EUR | 8,75% | 0,57% | 8,90% | 15,86% | 43,05% | 105,43% |
334 | FR0010298331 | 3 632,23 02/07/2025 |
EUR | 0,97% | 7,62% | 6,15% | 14,39% | 27,61% | 39,19% |
335 | FR0010953497 | 428,16 02/07/2025 |
EUR | -6,88% | -0,10% | 33,84% | 88,05% | 133,86% | 154,61% |
336 |
Groupama AM Active Equity H NC FR0012243756 |
135,66 02/07/2025 |
EUR | 4,78% | 6,85% | NA | NA | NA | NA |
337 | LU1891750868 | 112,77 02/07/2025 |
EUR | 1,67% | 3,81% | 17,48% | NA | NA | NA |
338 | FR0007019930 | 3 338,95 02/07/2025 |
EUR | 5,37% | 6,79% | 27,25% | 39,75% | 46,22% | 65,24% |
339 | FR0012726511 | 423,60 02/07/2025 |
EUR | 0,12% | 3,32% | -0,13% | -13,89% | NA | NA |
340 | FR0010086470 | 3 415,38 02/07/2025 |
EUR | 17,65% | 18,47% | 49,55% | 79,08% | 72,94% | 85,91% |
341 | FR001400E573 | 1 000,67 15/06/2025 |
EUR | NA | NA | NA | NA | NA | NA |
342 | FR001400QXG4 | 1 002,55 01/07/2025 |
EUR | -0,01% | NA | NA | NA | NA | NA |
343 |
Groupama Health And Wellness N FR001400C1T9 |
93,40 02/07/2025 |
EUR | -12,13% | -15,90% | NA | NA | NA | NA |
344 |
Groupama Gl Inflation Linkd ZC FR0013045317 |
967,63 02/07/2025 |
EUR | 1,61% | 0,29% | NA | NA | NA | NA |
345 |
Groupama Gl Inflation Linkd NC FR0010696617 |
642,55 02/07/2025 |
EUR | 1,38% | -0,15% | -6,93% | -14,23% | -7,85% | -3,85% |
346 | LU1897556517 | 265,31 02/07/2025 |
EUR | -5,65% | -1,41% | 42,14% | 98,76% | NA | NA |
347 | LU1856264822 | 113,10 02/07/2025 |
EUR | 5,24% | 5,83% | 13,95% | 6,65% | NA | NA |
348 | LU1501413972 | 95,12 02/07/2025 |
EUR | 1,22% | 2,25% | 2,80% | -9,43% | -5,53% | NA |
349 | FR0010318121 | 70,61 02/07/2025 |
EUR | -3,47% | 1,00% | 36,81% | 85,86% | 124,94% | 156,67% |
350 |
Group Glob Infl Sh Duration NC LU1717592262 |
105,24 02/07/2025 |
EUR | 3,14% | 4,16% | 5,88% | 9,91% | NA | NA |
351 | FR0012413607 | 1 026,74 15/06/2025 |
EUR | 1,76% | 3,99% | 4,56% | 9,17% | 18,69% | 27,40% |
352 |
Groupama Future For Gen Bal NC FR0010289660 |
964,23 02/07/2025 |
EUR | -2,25% | 0,84% | 15,14% | 11,95% | 33,82% | 55,21% |
353 | LU0571101558 | 173,06 02/07/2025 |
EUR | 2,07% | 7,16% | 28,72% | 24,18% | 24,90% | 35,50% |
354 | FR0000989782 | 1 197,59 02/07/2025 |
EUR | 7,00% | 3,57% | 33,76% | 60,94% | 76,59% | 104,48% |
355 | FR0011405000 | 473,82 01/07/2025 |
EUR | 1,20% | 2,76% | 7,37% | 4,59% | -1,68% | -5,31% |
356 |
Groupama FP Flexibl Allocat IC FR0010646299 |
11 699,71 01/07/2025 |
EUR | 1,18% | 1,84% | 5,89% | 3,64% | -6,48% | -8,04% |
357 |
Groupama FP Flexibl Allegro NC FR0011407535 |
524,04 01/07/2025 |
EUR | -1,10% | 1,58% | 11,05% | 8,65% | 0,60% | 0,09% |
358 |
Groupama Fut For Gen Modera NC FR001400S573 |
101,64 02/07/2025 |
EUR | NA | NA | NA | NA | NA | NA |
359 |
Groupama Fut For Gen Equity NC FR001400S6Z7 |
100,36 02/07/2025 |
EUR | NA | NA | NA | NA | NA | NA |
360 |
Groupama Fut For Ge Dynamic NC FR001400S649 |
100,61 02/07/2025 |
EUR | NA | NA | NA | NA | NA | NA |
361 | FR0007020003 | 3 392,86 02/07/2025 |
EUR | 11,09% | 11,33% | 51,74% | 75,10% | 84,84% | 112,20% |
362 | LU0571100824 | 170,64 02/07/2025 |
EUR | 8,88% | 11,68% | 24,86% | 15,47% | 18,98% | 30,15% |
363 | LU0857959612 | 268,58 02/07/2025 |
EUR | 9,27% | 6,03% | 37,24% | 57,28% | 64,82% | 75,98% |
364 | LU0571102010 | 115,52 02/07/2025 |
EUR | 1,46% | 3,10% | 9,83% | 10,00% | 9,06% | 11,24% |
365 | FR0010013938 | 589,73 02/07/2025 |
EUR | -3,61% | 0,69% | 35,54% | 82,87% | 119,23% | 146,98% |
366 | LU2389405080 | 100,38 02/07/2025 |
EUR | -1,71% | 6,08% | 5,47% | NA | NA | NA |
367 | LU1490785091 | 215,62 03/07/2025 |
EUR | -0,75% | -4,46% | 11,78% | 31,00% | 75,82% | NA |
368 |
EdR Tricolore Convictions AEUR FR0010588343 |
491,69 03/07/2025 |
EUR | 11,48% | 10,09% | 40,53% | 60,51% | 26,81% | 46,42% |
369 |
EdR - European Catalysts A EUR FR001400FUB4 |
123,93 03/07/2025 |
EUR | 11,86% | 15,58% | NA | NA | NA | NA |
370 | FR0010505578 | 610,74 02/07/2025 |
EUR | 8,27% | 5,49% | 31,64% | 44,04% | 55,44% | 73,58% |
371 | LU2466448532 | 146,59 02/07/2025 |
EUR | 8,35% | 53,53% | 112,88% | NA | NA | NA |
372 | FR0012815876 | 1 041,59 02/07/2025 |
EUR | -11,28% | -14,78% | -8,36% | -0,59% | 0,49% | NA |
373 |
Echiquier Posit Impact Europ A FR0010863688 |
290,16 03/07/2025 |
EUR | 0,72% | -2,80% | 20,80% | 24,88% | 55,39% | 77,24% |
374 | FR0010611293 | 1 854,21 03/07/2025 |
EUR | 3,09% | 4,57% | 15,85% | 16,66% | 14,50% | 22,22% |
375 | LU0907927338 | 146,00 02/07/2025 |
EUR | -0,60% | 2,21% | 16,81% | 14,05% | 18,22% | 34,01% |
376 | LU1996436223 | 98,23 03/07/2025 |
EUR | 1,54% | 5,43% | 14,15% | -2,10% | NA | NA |
377 | FR0012316180 | 176,52 03/07/2025 |
EUR | 15,32% | 9,92% | 46,60% | 85,15% | 37,27% | 52,42% |
378 | LU2194926775 | 100,03 03/07/2025 |
EUR | -2,23% | 3,02% | 45,14% | NA | NA | NA |
379 | LU1161527038 | 234,00 03/07/2025 |
EUR | 1,19% | 5,24% | 10,35% | 6,91% | 7,93% | 19,72% |
380 | LU0284394664 | 215,14 03/07/2025 |
EUR | 2,04% | 4,82% | 35,56% | 33,36% | 35,14% | 42,62% |
381 | LU0284394235 | 190,07 02/07/2025 |
EUR | 6,09% | 7,08% | 20,86% | 29,44% | 19,52% | 25,48% |
382 |
DNCA Invest Beyond Sempe A EUR LU1907595398 |
160,32 02/07/2025 |
EUR | 1,40% | -4,38% | 15,27% | 26,01% | NA | NA |
383 |
DNCA Invest Beyond Alt A EUR C LU1907594748 |
112,54 03/07/2025 |
EUR | -1,14% | -0,41% | 10,17% | 4,20% | NA | NA |
384 | LU1744459667 | 115,92 02/07/2025 |
EUR | 3,37% | 4,35% | 12,27% | 23,08% | NA | NA |
385 | LU1694789451 | 127,51 02/07/2025 |
EUR | 3,16% | 3,89% | 18,39% | 30,45% | NA | NA |
386 | LU0383783841 | 212,77 03/07/2025 |
EUR | -4,14% | -7,03% | -7,31% | -9,15% | 14,80% | 27,89% |
387 |
DNCA INV Archer Mid-Cap Eurp A LU1366712435 |
258,68 02/07/2025 |
EUR | 15,13% | 15,11% | 40,66% | 74,21% | 88,90% | NA |
388 | FR0010836163 | 2 794,95 03/07/2025 |
EUR | 1,71% | 4,21% | 19,79% | 27,84% | 29,25% | 33,87% |
389 |
CPR Invest - Social Equities A LU2036821663 |
138,71 02/07/2025 |
EUR | -5,39% | -2,02% | 20,39% | 39,24% | NA | NA |
390 | LU1244893696 | 314,60 03/07/2025 |
EUR | -0,55% | 9,88% | 37,52% | 93,18% | 133,23% | 124,43% |
391 | LU1160356009 | 1 226,36 03/07/2025 |
EUR | -11,11% | -11,19% | -16,36% | 3,72% | 25,56% | 20,02% |
392 | FR0000290124 | 10 597,04 02/07/2025 |
EUR | 7,26% | 4,09% | 35,72% | 64,22% | 80,12% | 108,49% |
393 | FR0010277780 | 4 773,89 01/07/2025 |
EUR | -3,47% | 2,30% | 22,99% | 49,43% | 60,92% | 75,00% |
394 | FR0010263822 | 2 243,37 02/07/2025 |
EUR | 7,27% | 4,09% | 35,73% | 64,23% | 80,12% | 108,49% |
395 | FR0013379328 | 150,13 02/07/2025 |
EUR | 9,03% | 5,56% | 35,38% | 53,13% | NA | NA |
396 | FR0013397874 | 105,75 02/07/2025 |
EUR | 1,60% | 1,28% | 9,86% | 9,95% | NA | NA |
397 |
Goldman Sachs Soc Bd P EUR Cap LU2489471016 |
NA | NA | NA | NA | NA | NA | ||
398 |
Ginjer Detox European Equity A FR0014001FO2 |
141,64 03/07/2025 |
EUR | 19,09% | 16,80% | 54,65% | NA | NA | NA |
399 | FR0011153014 | 217,69 03/07/2025 |
EUR | 13,77% | 13,14% | 44,29% | 84,86% | 52,14% | 65,37% |
400 | FR0007010244 | 1 990,11 01/07/2025 |
EUR | 0,03% | 3,55% | 6,95% | -1,67% | -1,22% | 0,73% |
401 | FR0010271387 | 881,59 01/07/2025 |
EUR | -1,60% | 3,10% | 14,78% | 16,42% | 22,50% | 27,37% |
402 | FR0010271395 | 1 889,65 01/07/2025 |
EUR | -1,56% | 3,20% | 15,14% | 17,04% | 23,55% | 28,72% |
403 | FR0010271478 | 993,59 01/07/2025 |
EUR | -3,47% | 2,30% | 22,99% | 49,43% | 60,93% | 75,01% |
404 | FR0010271460 | 2 181,84 01/07/2025 |
EUR | -3,47% | 2,30% | 22,99% | 49,43% | 60,92% | 75,00% |
405 | LU2221884310 | 114,08 03/07/2025 |
EUR | -3,24% | 0,92% | 14,02% | NA | NA | NA |
406 | FR001400ODK3 | NA | NA | NA | NA | NA | NA | ||
407 | FR0011208297 | 1 910,09 02/07/2025 |
EUR | 7,42% | 0,54% | 18,95% | 32,84% | 30,41% | 38,33% |
408 | FR001400ODC0 | NA | NA | NA | NA | NA | NA | ||
409 | FR0011208271 | 1 206,77 02/07/2025 |
EUR | 1,51% | 1,78% | 9,42% | 6,10% | -0,68% | 3,47% |
410 | LU0251127410 | 39,41 03/07/2025 |
EUR | -9,90% | -3,57% | 6,23% | 68,20% | 60,01% | 72,17% |
411 | LU0307839646 | 16,34 03/07/2025 |
EUR | 2,38% | 0,99% | 5,38% | 7,49% | 21,61% | 32,01% |
412 | LU0261952419 | 36,94 03/07/2025 |
EUR | -14,83% | -18,96% | -12,84% | 13,98% | 51,83% | 43,29% |
413 |
FF - Sust Eurozone Eq Fd A Eur LU0238202427 |
26,31 03/07/2025 |
EUR | 8,09% | 3,75% | 35,34% | 47,98% | 66,10% | 69,20% |
414 | LU0922334643 | 29,91 03/07/2025 |
EUR | 12,06% | 5,32% | 39,12% | 102,78% | 65,25% | 125,23% |
415 |
Eurazeo Private Val Europe 3 C FR0013301553 |
147,43 27/06/2025 |
EUR | 2,02% | 5,25% | 22,58% | 40,48% | NA | NA |
416 | LU1103303670 | 191,83 03/07/2025 |
EUR | 5,80% | 1,07% | 18,46% | 74,79% | 25,16% | 28,41% |
417 | LU2294186296 | 103,31 12/08/2024 |
EUR | NA | NA | NA | NA | NA | NA |