🔵 La sélection de fonds pour les Entreprises

Actualités

Tous les fonds pour les Entreprises

Actualisé le 09/09/2016 (4)

Libellé
Performances (3)
Depuis 01/01 Depuis 1 an Depuis 3 ans Depuis 5 ans
Durée de placement
minimum recommandée
Indicateur Synthétique
de Risque
(2)

Allocation Pilotée Equillibre

FR0012333201
  • Assurance vie
  • CTO
+0.94% +8.92% +4.41% +21.99% 3 ans 3

Allocation Pilotée Offensive

FR0012333219
  • Assurance vie
  • CTO
+3.25% +12.75% +12.21% +39.90% 5 ans 4

Centifolia - Part C

FR0007076930
  • Assurance vie
  • PEA
  • CTO
+6.15% +11.62% +29.97% +26.49% 5 ans 4

Centifolia - Part I

FR0013176211
  • Assurance vie
  • PEA
  • CTO
+6.54% +12.81% +34.50% +34.05% 5 ans 4

DNCA Actions Euro Micro Caps - Part R/C

FR0010042176
  • Assurance vie
  • PEA
  • PEA-PME
  • CTO
-2.05% -11.18% -37.06% -7.19% 5 ans 4

DNCA Actions Euro PME - Part R

FR0011891506
  • Assurance vie
  • PEA
  • PEA-PME
  • CTO
-4.24% -4.66% -15.42% +20.11% 5 ans 4

DNCA Actions Européennes - Part I/C

FR0010662817
  • PEA
  • CTO
-22.57% -18.37% -6.22% -1.34% 5 mois N/A

DNCA Actions Européennes - Part R/C

FR0010662791
  • Assurance vie
  • PEA
  • CTO
-22.95% -18.86% -7.90% -4.16% 5 mois N/A

DNCA Actions Global Emergents I (C)

FR0010711051
  • Assurance vie
  • CTO
+3.46% +2.96% -11.24% +13.13% 5 mois 4

DNCA Actions Global Emergents R (C)

FR0010706960
  • Assurance vie
  • CTO
+2.80% +2.24% -13.25% +8.89% 5 mois 4

DNCA Actions Small&Mid Cap Euro - Part I

FR0010144634
  • Assurance vie
  • PEA
  • CTO
+7.40% +15.47% +6.35% +40.39% 5 ans 4

DNCA Actions Small & Mid Cap Euro - Part R EUR Cap

FR0010666560
  • Assurance vie
  • PEA
  • CTO
+6.73% +14.12% +3.55% +34.89% 5 ans 4

DNCA Beyond Engage - Part I

FR0013248424
  • PEA
  • CTO
+7.43% +13.48% +33.49% +43.14% 5 ans 4

DNCA Convertibles Euro - Part I/C

FR0010658963
  • Assurance vie
  • CTO
-13.11% -14.88% -7.13% -10.22% 4 mois N/A

DNCA Convertibles Euro - Part R/C

FR0010660142
  • Assurance vie
  • CTO
-13.38% -15.52% -9.21% -13.40% 4 mois N/A

DNCA Convertibles Europe - Part I-NPF

FR0010171678
  • Assurance vie
  • CTO
+1.91% +4.46% -9.81% -1.77% 4 ans 3

DNCA Convertibles Europe - Part R/C

FR0010678359
  • Assurance vie
  • CTO
+1.71% +3.83% -11.47% -4.73% 4 ans 3

DNCA Europe Smaller Companies Fund - I/C

LU0095827381
  • Assurance vie
  • CTO
+9.09% +8.49% +18.20% +8.23% 5 mois 5

DNCA Europe Smaller Companies Fund - Part R

LU0064070138
  • Assurance vie
  • CTO
+8.58% +7.38% +14.58% +2.76% 5 mois 5

DNCA Invest Beyond Alterosa - Part A

LU1907594748
  • Assurance vie
  • CTO
+1.61% +5.75% -2.33% +4.08% 3 ans 3

DNCA Invest Beyond Alterosa - Part I

LU1907594664
  • CTO
+1.86% +6.55% -0.17% +7.96% 3 ans 3

DNCA Invest Credit Conviction - Part A

LU0284393930
  • Assurance vie
  • CTO
+1.86% +7.46% -0.06% +1.74% 2 ans 2

DNCA Invest Credit Conviction - Part I

LU0284393773
  • CTO
+2.10% +8.05% +1.99% +4.95% 2 ans 2

DNCA Invest Beyond Global Leaders - Part A

LU0383783841
  • Assurance vie
  • CTO
+4.70% +5.64% -21.52% +11.24% 5 ans 4

DNCA Invest Beyond Infrastructure & Transition - Part A

LU0309082369
  • Assurance vie
  • PEA
  • CTO
-4.85% -1.42% +9.80% +7.18% 5 mois N/A

DNCA Invest Beyond Infrastructure & Transition - Part I

LU0309082104
  • Assurance vie
  • PEA
  • CTO
-4.56% -0.61% +13.03% +12.46% 5 mois N/A

DNCA Invest Beyond Semperosa - Part A

LU1907595398
  • Assurance vie
  • PEA
  • CTO
+3.27% +8.54% +9.23% +39.78% 5 ans 4

DNCA Invest Beyond Semperosa - Part I

LU1907595125
  • PEA
  • CTO
+3.54% +9.44% +12.11% +45.25% 5 mois 4

DNCA Invest Euro Dividend Grower A2

LU2343999004
  • Assurance vie
  • PEA
  • CTO
+3.76% +6.87% - - 5 ans 4

DNCA Global New World - Part R/C

FR0010083519
  • Assurance vie
  • CTO
+4.21% +29.88% +69.39% +170.76% 5 mois N/A

DNCA Invest - Global New World I EUR

LU2194926346
  • Assurance vie
  • CTO
+7.62% +35.47% - - 5 ans 5

DNCA Invest Global Sport - Part A

LU2595412391
  • Assurance vie
  • CTO
-0.52% -4.73% -16.18% - 5 ans 4

DNCA Invest Global Sport - Part I

LU2595411823
  • Assurance vie
  • CTO
-0.28% -4.01% -14.27% - 5 ans 4

DNCA Invest SRI Europe Growth - Part I

LU0870552998
  • PEA
  • CTO
+2.64% +3.05% +6.35% +51.54% 5 mois 4

DNCA Invest SRI Europe Growth - Part A

LU0870553020
  • Assurance vie
  • PEA
  • CTO
+2.30% +1.98% +3.25% +44.65% 5 ans 4

DNCA Invest SRI Norden Europe - Part A

LU1490785091
  • Assurance vie
  • PEA
  • CTO
+4.93% +8.61% -4.65% +61.97% 5 ans 4

DNCA Invest SRI Norden Europe - Part I/C

LU1490784953
  • PEA
  • CTO
+5.21% +9.54% -2.34% +68.89% 5 ans 4

DNCA Opportunités Zone Euro - Part C

FR0012316180
  • Assurance vie
  • PEA
  • CTO
+4.27% +13.18% +22.33% +50.62% 5 ans 5

DNCA Opportunités Zone Euro - Part I

FR0012316198
  • Assurance vie
  • PEA
  • CTO
+4.61% +14.11% +25.55% +56.90% 5 ans 5

DNCA SRI Euro Quality - Part I/C

FR0010948463
  • PEA
  • CTO
+2.76% +6.44% +14.32% +43.63% 5 ans 4

DNCA SRI Euro Quality - Part R/C

FR0010021733
  • Assurance vie
  • PEA
  • CTO
+2.56% +5.82% +12.31% +39.45% 5 ans 4

DNCA Value Europe - Part C

FR0010058008
  • Assurance vie
  • PEA
  • CTO
+8.52% +14.21% +28.71% +30.20% 5 ans 4

DNCA Value Europe - Part I

FR0010884361
  • Assurance vie
  • PEA
  • CTO
+8.64% +15.25% +33.21% +37.99% 5 ans 4

Dorval Convictions - Part I

FR0010565457
  • Assurance vie
  • CTO
+5.72% +8.90% +12.53% +15.08% 3 ans 4

Dorval Convictions - Part R

FR0010557967
  • Assurance vie
  • CTO
+5.45% +8.03% +9.98% +10.92% 3 ans 4

Dorval Global Conservative - Part I

FR0013333846
  • Assurance vie
  • CTO
+1.50% +4.02% +1.51% +10.79% 3 ans 2

Dorval Global Conservative - Part R

FR0013333838
  • Assurance vie
  • CTO
+0.79% +3.40% -0.33% +7.75% 3 ans 2

Dorval Manageurs - Part I

FR0010840629
  • Assurance vie
  • PEA
  • CTO
+6.17% +11.22% +17.96% +16.66% 5 ans 4

Dorval Manageurs - Part R/C

FR0010158048
  • Assurance vie
  • PEA
  • CTO
+5.83% +10.11% +14.44% +10.88% 5 ans 4

Dorval Manageurs Europe - Part I

FR0011059302
  • Assurance vie
  • PEA
  • CTO
+5.90% +12.63% +16.15% +8.04% 5 ans 5

Dorval Manageurs Europe - Part R/C

FR0011038785
  • Assurance vie
  • PEA
  • CTO
+5.60% +11.89% +13.35% +3.63% 5 ans 5

Dorval Manageurs Small Cap Euro - Part R / C

FR0011645621
  • Assurance vie
  • PEA
  • PEA-PME
  • CTO
-8.09% -12.56% -21.35% -8.20% 5 ans 4

Dorval Manageurs Smid Cap Euro - Part I/C

FR0013247764
  • Assurance vie
  • PEA
  • CTO
-4.72% -6.06% -23.53% -22.48% 5 ans 5

Dorval Manageurs Smid Cap Euro - Part R/C

FR0013247749
  • Assurance vie
  • PEA
  • CTO
-5.02% -6.99% -25.83% -26.32% 5 ans 5

Eurose

FR0007051040
  • Assurance vie
  • CTO
+1.27% +6.62% +10.12% +12.19% 3 ans 3

H2O Euro Aggregate - Part R

FR0011007418
  • Assurance vie
  • CTO
-1.17% +2.17% +5.19% +10.82% 2 ans 3

H2O Moderato - Part SR

FR0013393295
  • Assurance vie
  • CTO
-1.19% +4.01% +16.44% - 2 ans 5

H2O Multibonds - Part SR

FR0013393329
  • Assurance vie
  • CTO
-9.10% +1.86% +30.31% - 3 ans 6

DNCA Invest Eurose - Part I

LU0284394151
  • Assurance vie
  • CTO
+1.51% +7.34% +12.30% +15.92% 3 mois 3

Harris Associates Global Equity Fund - Part I

LU0147943954
  • Assurance vie
  • CTO
+3.60% +9.70% +13.45% +40.95% 3 ans 5

Harris Associates Global Equity Fund - Part (R/A)

LU0147944259
  • Assurance vie
  • CTO
+3.24% +8.50% +9.78% +33.46% 3 ans 5

Insertion Emplois Dynamique - Part I / C

FR0013018801
  • Assurance vie
  • PEA
  • CTO
+0.17% +2.39% +2.48% +32.36% 5 ans 4

Insertion Emplois Dynamique - Part R / C

FR0010702084
  • Assurance vie
  • PEA
  • CTO
-0.02% +1.78% +0.66% +28.48% 5 ans 4

Mirova Actions Europe - Part C

FR0000976292
  • Assurance vie
  • PEA
  • CTO
+1.26% +0.23% -4.97% +28.24% 5 ans 4

Mirova Actions Europe - Part I

FR0010160507
  • Assurance vie
  • PEA
  • CTO
+1.66% +1.49% -1.32% +36.51% 5 ans 4

Mirova Actions Monde - Part C

FR0010091173
  • Assurance vie
  • CTO
+9.42% +20.25% +17.31% +65.38% 5 ans 4

Mirova Emploi France - Part C

FR0010609552
  • Assurance vie
  • PEA
  • CTO
-0.05% +1.71% +0.36% +27.85% 5 ans 4

Mirova Euro Green and Sustainable Bond fund - Part I / A

LU0914734537
  • Assurance vie
  • CTO
-1.89% +3.75% -15.79% -9.26% 2 ans 3

Mirova Euro Green and Sustainable Bond Fund - Part R / A

LU0914734701
  • Assurance vie
  • CTO
-2.03% +3.30% -16.89% -11.26% 2 ans 3

Mirova Euro Green and Sustainable Corporate Bond - Part R / A

LU0552643842
  • Assurance vie
  • CTO
-0.75% +4.74% -11.58% -8.17% 3 ans 2

Mirova Euro Green and Sustainable Corporate Bond - Part I / A

LU0552643685
  • CTO
-0.62% +5.20% -10.41% -6.12% 3 ans 2

Mirova Euro Sustainable Equity Fund - Part I/A

LU0914731780
  • PEA
  • CTO
+5.07% +8.02% +10.51% +35.27% 5 ans 4

Mirova Euro Sustainable Equity Fund - Part R / A

LU0914731947
  • Assurance vie
  • PEA
  • CTO
+4.79% +7.12% +7.77% +30.13% 5 ans 4

Mirova Europe Environmental Equity - Part I/A

LU0914732671
  • PEA
  • CTO
-2.56% -5.13% -14.26% +29.14% 5 ans 4

Mirova Europe Environmental Equity - Part R/A

LU0914733059
  • Assurance vie
  • PEA
  • CTO
-2.82% -5.93% -16.38% +24.11% 5 ans 4

Mirova Europe Environnement - Part C

FR0010521575
  • Assurance vie
  • PEA
  • CTO
-2.79% -5.80% -16.03% +24.96% 5 ans 4

Mirova Europe Sustainable Economy R / A EUR

LU1911611140
  • Assurance vie
  • CTO
+1.05% +3.26% -8.03% +9.63% 3 ans 3

Mirova Europe Sustainable Economy I / A EUR

LU1911610845
  • Assurance vie
  • CTO
+1.29% +4.02% -5.95% +13.59% 3 ans 3

Mirova Europe Sustainable Equity Fund - Part I / A

LU0552643099
  • Assurance vie
  • PEA
  • CTO
+1.67% +1.50% -1.35% +30.76% 5 ans 4

Mirova Europe Sustainable Equity Fund - Part R / A

LU0552643339
  • Assurance vie
  • PEA
  • CTO
+1.40% +0.66% -3.78% +25.79% 5 ans 4

Mirova Global Green Bond Fund - Part R / A

LU1472740767
  • Assurance vie
  • CTO
-2.91% +1.01% -19.35% -14.12% 3 ans 2

Mirova Global Green Bond Fund - Part I / A

LU1472740502
  • CTO
-2.77% +1.46% -18.28% -12.20% 3 ans 2

Mirova Global Sustainable Equity - Part R / A

LU0914729966
  • Assurance vie
  • CTO
+9.46% +20.24% +17.26% +64.90% 5 ans 4

Mirova Global Sustainable Equity Fund - Part I / A

LU0914729453
  • CTO
+9.82% +21.50% +20.91% +72.88% 5 ans 4

Mirova Obli Euro - Part R(C)

FR0010028985
  • Assurance vie
  • CTO
-1.75% +4.20% -16.55% -10.93% 2 ans 3

Mirova Women Leaders and Diversity Equity Fund - Part R/A

LU1956003765
  • Assurance vie
  • CTO
+8.56% +20.42% +16.51% +50.61% 5 ans 4

Mirova Women Leaders and Diversity Equity Fund - Part I/A

LU1956003500
  • CTO
+8.92% +21.67% +20.20% +58.26% 5 ans 4

Natixis Actions US Growth - Part H/R

FR0011010149
  • Assurance vie
  • CTO
+4.92% +30.82% +11.30% +61.43% 5 ans 5

Natixis Actions US Growth I USD

FR0010256404
  • Assurance vie
  • CTO
+5.72% +33.51% +22.27% +86.57% 5 ans 5

Natixis Conservative Risk Parity I/A EUR

LU0935227370
  • Assurance vie
  • CTO
+0.23% +2.80% -5.11% -1.45% 3 ans 2

Natixis Conservative Risk Parity

LU0935227537
  • Assurance vie
  • CTO
+0.00% +2.07% -7.18% -5.02% 3 ans 2

Natixis Diversified Solution - Part I

FR0007480389
  • Assurance vie
  • CTO
-0.36% +4.76% -7.64% +0.24% 3 ans 2

Natixis Diversified Solution - Part R

FR0013300910
  • Assurance vie
  • CTO
-0.53% +4.24% -9.11% -2.25% 3 ans 2

Natixis ESG Conservative R/A (EUR)

LU2169557654
  • Assurance vie
  • CTO
+0.12% +6.00% -3.73% - 3 ans 2

Natixis ESG Dynamic Fund R/A(EUR)

LU2169559270
  • Assurance vie
  • CTO
+3.61% +10.71% +8.86% - 5 ans 3

Natixis ESG Moderate Fund R/A EUR

LU2169558389
  • Assurance vie
  • CTO
+1.78% +8.32% +2.88% - 5 ans 3

Ostrum SRI Credit Euro 1-3- Part I / C

FR0011068642
  • Assurance vie
  • CTO
+0.61% +5.00% +0.83% +1.33% 2 ans 2

Ostrum SRI Crédit Euro 1-3 - Part R / C

FR0011071778
  • Assurance vie
  • CTO
+0.52% +4.69% -0.07% -0.18% 2 ans 2

Ostrum SRI Credit Ultra Short Plus - Part I/C

FR0013231453
  • Assurance vie
  • CTO
+1.65% +4.64% +6.49% +7.16% 2 ans 2

Ostrum SRI Credit Ultra Short Plus - Part SI

FR0007053749
  • Assurance vie
  • CTO
+1.62% +4.59% +6.38% +7.06% 2 ans 2

Ostrum Euro ABS IG - Part I EUR Cap

FR0012100311
  • Assurance vie
  • CTO
+1.69% +5.11% +5.48% +5.83% 1 an 2

Ostrum SRI Total Return Sovereign - Part I / A

LU0935219609
  • CTO
-2.27% -1.40% -4.58% -4.38% 1 an 2

Ostrum SRI Total Return Sovereign - Part R / A

LU0935220284
  • CTO
-2.36% -1.69% -5.40% -5.74% 1 an 2

Ostrum Euro High Income Fund - ¨Part I/A

LU0556616935
  • Assurance vie
  • CTO
+1.50% +10.54% +0.66% +9.96% 3 ans 3

Ostrum Euro High Income Fund - ¨Part R/A

LU0556617156
  • Assurance vie
  • CTO
+1.27% +9.72% -1.56% +5.97% 3 ans 3

Ostrum Euro Inflation - Part I (A)

LU0935222652
  • Assurance vie
  • CTO
-1.01% +1.18% +5.64% +14.77% 2 ans 3

Ostrum Euro Inflation - Part R/A

LU0935222900
  • Assurance vie
  • CTO
-1.12% +0.79% +4.40% +12.56% 2 ans 3

Ostrum SRI Credit Short Duration - Part I / A

LU0935221761
  • Assurance vie
  • CTO
+0.62% +5.34% +1.23% +1.96% 2 ans 2

Ostrum SRI Credit Short Duration - Part R / C

LU0935222066
  • Assurance vie
  • CTO
+0.48% +4.88% -0.11% -0.26% 2 ans 2

Ostrum Global Emerging Bonds I/A EUR Cap

LU0935235043
  • Assurance vie
  • CTO
-7.11% -0.93% +2.15% - 3 ans N/A

Ostrum Global Emerging Bonds - Part R/A

LU0935235639
  • Assurance vie
  • CTO
+2.38% +10.72% +2.32% +3.54% 3 ans 3

Natixis Actions US Growth R USD

FR0010236877
  • Assurance vie
  • CTO
+5.50% +32.99% +19.86% +80.22% 5 ans 5

Natixis Equity Capital Optim

FR0013126869
  • CTO
+1.34% +4.17% +2.13% -4.72% 3 ans 4

Natixis Intl Funds(Lux) I Ostrum Global Inflation Fd I/A Eur C

LU0255251166
  • Assurance vie
  • CTO
-3.24% -3.57% -14.81% -7.65% 2 ans 3

Ostrum Global Inflation Fund - Part R(C) EUR

LU0255251679
  • Assurance vie
  • CTO
-3.42% -4.15% -16.30% -10.14% 2 ans 3

Ostrum SRI Crossover

FR0011350677
  • Assurance vie
  • CTO
+1.03% +7.28% +0.19% +3.22% 3 ans 2

Ostrum SRI Crossover - Part L

FR0011350685
  • Assurance vie
  • CTO
+0.97% +7.07% -0.41% +2.19% 3 ans 2

Ostrum SRI Euro Sovereign Bonds - Part I

FR0010655456
  • Assurance vie
  • CTO
-2.56% +1.48% -16.55% -11.04% 3 ans 3

Ostrum SRI Euro Sovereign Bonds - Part R (C)

FR0000003196
  • Assurance vie
  • CTO
-2.63% +1.23% -17.17% -12.14% 3 ans 3

Ostrum SRI Euro Bonds 1-3 - Part I

FR0010208421
  • CTO
-0.37% +2.42% -2.85% -3.45% 2 ans 2

Ostrum SRI Euro Bonds 1-3 - Part R (C)

FR0010657387
  • Assurance vie
  • CTO
-0.47% +2.10% -3.79% -4.87% 2 ans 2

Ostrum Euro Sovereign 1-3 EUR - Part C

FR0007477625
  • Assurance vie
  • CTO
-0.51% +1.65% -3.47% -4.47% 1 an 2

Ostrum SRI Euro Minvol Equity R (C) EUR

FR0000003188
  • Assurance vie
  • PEA
  • CTO
+2.80% +0.45% +4.86% +10.52% 5 mois 4

Seeyond SRI Europe MinVol - Part R/A

LU0935229400
  • Assurance vie
  • CTO
+3.10% +1.12% +9.75% +15.02% 5 ans 4

Seeyond SRI Europe MinVol - Part I/A

LU0935229152
  • Assurance vie
  • CTO
+3.46% +2.23% +13.38% +21.42% 5 ans 4

Seeyond SRI Global MinVol - Part R/C

LU0935231216
  • Assurance vie
  • CTO
+1.89% +5.01% +11.31% +14.34% 5 ans 3

Seeyond SRI Global MinVol - Part I/A EUR

LU0935230671
  • Assurance vie
  • CTO
+2.22% +6.15% +14.95% +20.67% 5 ans 3

Seeyond Multi Asset Diversified Growth Fund - Part R/A (EUR)

LU1335435464
  • Assurance vie
  • CTO
-2.62% -0.05% -9.76% +0.10% 5 ans 3

Seeyond Multi Asset Diversified Growth Fund - Part I/A

LU1335434814
  • Assurance vie
  • CTO
-2.37% +0.80% -7.45% +4.32% 5 ans 3

Thematics Europe Selection - Part I / C

FR0010152967
  • Assurance vie
  • PEA
  • CTO
+1.79% +3.55% -3.10% +3.74% 5 ans 4

Thematics Europe Selection - Part C

FR0010058529
  • Assurance vie
  • PEA
  • CTO
+1.62% +3.03% -4.55% +1.18% 5 ans 4

Thematics AI and Robotics - Part H / R

LU1951198644
  • Assurance vie
  • CTO
+1.23% +21.50% +2.25% - 5 ans 5

Thematics AI and Robotics - Part H / I

LU1951197596
  • Assurance vie
  • CTO
+1.44% +22.41% +4.78% - 5 ans 5

Thematics Meta Fund - Part H / R

LU1951202693
  • Assurance vie
  • CTO
+0.18% +11.66% -14.10% - 5 ans 5

Thematics Meta Fund - Part H / I

LU1951201612
  • Assurance vie
  • CTO
+0.49% +12.69% -12.04% - 5 mois 5

Thematics Safety Fund - Part H / R

LU1951224077
  • Assurance vie
  • CTO
+3.27% +24.06% -17.42% - 5 ans 5

Thematics Safety Fund - Part H / I

LU1951223004
  • Assurance vie
  • CTO
+3.49% +25.06% -15.28% - 5 ans 5

Thematics Water Fund - Part H / R

LU1951227419
  • Assurance vie
  • CTO
+1.71% +10.41% +0.89% - 5 ans 4

Thematics Water Fund - Part H / I

LU1951226445
  • Assurance vie
  • CTO
+1.99% +11.35% +3.47% - 5 ans 4

Thematics Wellness Fund H-R/A EUR

LU2326558017
  • Assurance vie
  • CTO
-2.16% -4.72% -33.69% - 5 ans 4

Thematics Wellness Fund - Part H-I/A

LU2326556581
  • Assurance vie
  • CTO
-1.94% -3.89% - - 5 ans 4

VEGA Alpha Opportunités ISR - Part I

FR0013200250
  • PEA
  • CTO
+2.22% +6.57% -2.06% - 3 ans 3

Vega Alpha Opportunités ISR - Part R

FR0013200243
  • PEA
  • CTO
+2.09% +6.14% -3.23% -3.37% 3 ans 2

VEGA Court Terme Dynamique - Part R

FR0010078279
  • Assurance vie
  • CTO
+0.87% +3.63% +0.71% +1.82% 1 an 2

VEGA Court Terme Dynamique - Part I

FR0012260545
  • CTO
+0.96% +3.92% +1.58% +3.28% 1 an 2

VEGA Euro Opportunités ISR - Part I/C

FR0011965169
  • PEA
  • CTO
+4.99% +5.19% -0.19% +23.95% 5 ans 5

VEGA Euro Opportunités ISR - Part R

FR0010242461
  • Assurance vie
  • PEA
  • CTO
+4.60% +3.84% -4.10% +16.61% 5 ans 5

VEGA Euro Rendement ISR - Part R

FR0011037894
  • Assurance vie
  • CTO
+0.72% +5.38% -1.53% +7.41% 3 ans 3

VEGA Euro Rendement ISR - Part I/C

FR0012006971
  • CTO
+0.81% +5.89% +0.09% +10.29% 3 ans 3

VEGA Europe Convictions ISR - Part I

FR0013179892
  • Assurance vie
  • PEA
  • CTO
+6.87% +7.54% +10.62% +35.89% 5 ans 4

VEGA Europe Convictions ISR - Part R

FR0010626796
  • Assurance vie
  • PEA
  • CTO
+6.47% +6.26% +6.70% +28.75% 5 ans 4

VEGA France Convictions - Part R / C

FR0007479365
  • Assurance vie
  • PEA
+4.57% +8.54% +8.29% +29.96% 5 ans 5

VEGA France Opportunités ISR - Part I/C

FR0012006989
  • PEA
  • CTO
+7.97% +11.63% +20.68% +42.99% 5 ans 4

VEGA France Opportunités ISR - Part R/C

FR0010458190
  • Assurance vie
  • PEA
  • CTO
+7.57% +10.27% +16.26% +36.17% 5 ans 5

VEGA Grande Amerique - Part R

FR0010767624
  • CTO
+6.68% +23.56% +16.61% +58.09% 8 ans 5

VEGA Grande Amérique - Part I

FR0010216432
  • CTO
+7.21% +25.49% +22.17% +70.09% 8 ans 5

VEGA Grande Asie - Part I

FR0010541433
  • Assurance vie
  • CTO
+2.76% +3.68% -18.93% +4.40% 8 ans 4

VEGA Grande Asie - Part R

FR0010295212
  • Assurance vie
  • CTO
+2.68% +2.53% -22.27% -1.50% 8 ans 4

VEGA Grande Europe - Part I

FR0000449878
  • Assurance vie
  • PEA
  • CTO
+4.99% +7.10% +3.86% +29.00% 7 ans 4

VEGA Grande Europe - Part R

FR0011493444
  • Assurance vie
  • PEA
  • CTO
+5.06% +6.20% +0.21% +23.13% 7 ans 4

VEGA Monde Patrimoine - Part I

FR0013279551
  • Assurance vie
  • CTO
+4.11% -2.57% +15.95% +17.41% 5 mois 3

VEGA Monde Patrimoine - Part R

FR0010289827
  • Assurance vie
  • CTO
+2.59% +9.05% +3.55% +18.15% 5 ans 3

VEGA Patrimoine ISR - Part R/C

FR0007371810
  • Assurance vie
  • CTO
+3.16% +7.56% +5.71% +21.44% 3 ans 3

Aucuns fonds ne correspond à vos critères dans cette liste.

  1. (1) Ce sélecteur de fonds ne constitue aucunement une recommandation personnalisée. Il vous est recommandé de contacter votre conseiller habituel avant toute souscription pour bénéficier d’une information ou d’un conseil adapté à votre situation personnelle.
  2. (2) Le calcul de l'Indicateur Synthétique de Risque (ISR), tel que défini par le règlement PRIIP, s'appuie à la fois sur la mesure du risque de marché et du risque de crédit. Il part de l'hypothèse que vous conserverez le produit pendant la période de détention recommandée. Il est calculé périodiquement et peut évoluer dans le temps. L'indicateur de risque est présenté sur une échelle numérique de 1 (le moins risqué) à 7 (le plus risqué).
  3. (3) Les performances présentées sont des performances cumulées.
    Les performances passées ne sont pas un indicateur fiable des performances futures. Les performances citées sont nettes de frais de gestion mais hors commission de souscription dans le PEA et le CTO, et hors frais d'entrée, d'arbitrage, et de gestion du contrat dans le cadre d'un contrat d'assurance-vie et de capitalisation.
  4. (4) La date affichée correspond à l'actualisation la plus récente. Elle peut différer d'un fonds à l'autre. Consultez le détail d'un fonds pour consulter la date précise d'actualisation de ses performances.