Allocation Pilotée Equillibre
FR0012333201
19/08/2025
|
+0.90%
|
+5.50%
|
+12.53%
|
+29.37%
|
3 ans
3 ans
700
|
3
|
Allocation Pilotée Offensive
FR0012333219
19/08/2025
|
+0.91%
|
+7.90%
|
+19.52%
|
+49.70%
|
5 ans
5 ans
700
|
4
|
Centifolia - Part C
FR0007076930
19/08/2025
|
+19.38%
|
+15.98%
|
+38.43%
|
+77.84%
|
5 ans
5 ans
300
|
4
|
Centifolia - Part I
FR0013176211
19/08/2025
|
+20.08%
|
+17.33%
|
+43.18%
|
+88.36%
|
5 ans
5 ans
300
|
4
|
DNCA Actions Euro PME - Part R
FR0011891506
19/08/2025
|
+18.17%
|
+10.77%
|
-2.18%
|
+24.77%
|
5 ans
5 ans
320
|
4
|
DNCA Actions Européennes - Part I/C
FR0010662817
20/10/2022
|
-22.57%
|
-18.37%
|
-6.22%
|
-1.34%
|
5 mois
5 mois
360
|
N/A
|
DNCA Actions Européennes - Part R/C
FR0010662791
20/10/2022
|
-22.95%
|
-18.86%
|
-7.90%
|
-4.16%
|
5 mois
5 mois
360
|
N/A
|
DNCA Actions Global Emergents I (C)
FR0010711051
16/11/2023
|
+3.46%
|
+2.96%
|
-11.24%
|
+13.13%
|
5 mois
5 mois
360
|
4
|
DNCA Actions Global Emergents R (C)
FR0010706960
16/11/2023
|
+2.80%
|
+2.24%
|
-13.25%
|
+8.89%
|
5 mois
5 mois
360
|
4
|
DNCA Beyond Engage - Part I
FR0013248424
19/08/2025
|
+12.91%
|
+9.81%
|
+42.64%
|
+80.76%
|
5 ans
5 ans
700
|
4
|
DNCA Convertibles Euro - Part I/C
FR0010658963
02/06/2022
|
-13.11%
|
-14.88%
|
-7.13%
|
-10.22%
|
4 mois
4 mois
700
|
N/A
|
DNCA Convertibles Euro - Part R/C
FR0010660142
02/06/2022
|
-13.38%
|
-15.52%
|
-9.21%
|
-13.40%
|
4 mois
4 mois
700
|
N/A
|
DNCA INVEST Archer Mid-Cap Europe - Part A
LU1366712435
19/08/2025
|
+18.05%
|
+18.51%
|
+39.42%
|
+75.19%
|
5 ans
5 ans
null
|
4
|
DNCA INVEST Archer Mid-Cap Europe - Part I
LU1366712351
19/08/2025
|
+18.48%
|
+19.23%
|
+41.70%
|
+80.00%
|
5 ans
5 ans
null
|
4
|
DNCA Invest Beyond Alterosa - Part A
LU1907594748
19/08/2025
|
-0.29%
|
-1.14%
|
+7.03%
|
+3.90%
|
3 ans
3 ans
null
|
3
|
DNCA Invest Beyond Alterosa - Part I
LU1907594664
19/08/2025
|
+0.18%
|
-0.40%
|
+9.45%
|
+7.77%
|
3 ans
3 ans
null
|
3
|
DNCA Invest Beyond Climate - Part A2
LU2703654348
19/08/2025
|
+16.17%
|
+10.72%
|
-
|
-
|
5 ans
5 ans
null
|
4
|
DNCA Invest Beyond Climate - Part AD2
LU2703654421
19/08/2025
|
+16.17%
|
+10.72%
|
-
|
-
|
5 ans
5 ans
null
|
4
|
DNCA Invest Beyond Climate - Part WI
LU2703654009
19/08/2025
|
+16.50%
|
+11.20%
|
-
|
-
|
5 ans
5 ans
null
|
4
|
DNCA Invest Credit Conviction - Part A
LU0284393930
19/08/2025
|
+3.38%
|
+5.47%
|
+18.32%
|
+14.65%
|
2 ans
2 ans
null
|
2
|
DNCA Invest Credit Conviction - Part I
LU0284393773
19/08/2025
|
+3.66%
|
+5.93%
|
+20.92%
|
+18.11%
|
2 mois
2 mois
null
|
2
|
DNCA Invest Beyond Infrastructure & Transition - Part A
LU0309082369
05/05/2022
|
-4.85%
|
-1.42%
|
+9.80%
|
+7.18%
|
5 mois
5 mois
null
|
N/A
|
DNCA Invest Beyond Infrastructure & Transition - Part I
LU0309082104
05/05/2022
|
-4.56%
|
-0.61%
|
+13.03%
|
+12.46%
|
5 mois
5 mois
null
|
N/A
|
DNCA Invest Beyond Semperosa - Part A
LU1907595398
19/08/2025
|
+2.97%
|
-3.07%
|
+11.96%
|
+25.04%
|
5 ans
5 ans
null
|
4
|
DNCA Invest Beyond Semperosa - Part I
LU1907595125
19/08/2025
|
+3.52%
|
-2.25%
|
+14.77%
|
+31.14%
|
5 mois
5 mois
null
|
4
|
DNCA Invest Euro Dividend Grower A2
LU2343999004
19/08/2025
|
+11.99%
|
+11.18%
|
+34.61%
|
-
|
5 ans
5 ans
null
|
4
|
DNCA Global New World - Part R/C
FR0010083519
27/05/2021
|
+4.21%
|
+29.88%
|
+69.39%
|
+170.76%
|
5 mois
5 mois
360
|
N/A
|
DNCA Invest - Global New World I EUR
LU2194926346
19/08/2025
|
-0.13%
|
+12.41%
|
+39.92%
|
-
|
5 ans
5 ans
null
|
5
|
DNCA Invest SRI Europe Growth - Part I
LU0870552998
19/08/2025
|
+1.43%
|
-4.21%
|
+1.81%
|
+23.79%
|
5 mois
5 mois
null
|
4
|
DNCA Invest SRI Europe Growth - Part A
LU0870553020
19/08/2025
|
+0.77%
|
-5.20%
|
-1.30%
|
+17.93%
|
5 ans
5 ans
null
|
4
|
DNCA Invest SRI Norden Europe - Part A
LU1490785091
19/08/2025
|
-4.25%
|
-7.28%
|
+4.44%
|
+21.02%
|
5 ans
5 ans
null
|
4
|
DNCA Invest SRI Norden Europe - Part I/C
LU1490784953
19/08/2025
|
-3.74%
|
-6.50%
|
+7.10%
|
+25.90%
|
5 ans
5 ans
null
|
4
|
DNCA Opportunités Zone Euro - Part C
FR0012316180
19/08/2025
|
+18.15%
|
+17.37%
|
+45.48%
|
+86.96%
|
5 ans
5 ans
320
|
5
|
DNCA Opportunités Zone Euro - Part I
FR0012316198
19/08/2025
|
+18.90%
|
+18.55%
|
+49.53%
|
+95.02%
|
5 ans
5 ans
320
|
5
|
DNCA SRI Euro Quality - Part I/C
FR0010948463
19/08/2025
|
+12.32%
|
+12.18%
|
+29.70%
|
+52.25%
|
5 ans
5 ans
320
|
4
|
DNCA SRI Euro Quality - Part R/C
FR0010021733
19/08/2025
|
+11.90%
|
+11.52%
|
+27.42%
|
+47.82%
|
5 ans
5 ans
320
|
4
|
DNCA Value Europe - Part C
FR0010058008
19/08/2025
|
+18.09%
|
+20.24%
|
+56.92%
|
+95.18%
|
5 ans
5 ans
700
|
4
|
DNCA Value Europe - Part I
FR0010884361
19/08/2025
|
+18.83%
|
+21.44%
|
+62.01%
|
+106.54%
|
5 ans
5 ans
700
|
4
|
Dorval Convictions - Part I
FR0010565457
19/08/2025
|
+11.14%
|
+12.00%
|
+30.72%
|
+45.47%
|
3 ans
3 ans
700
|
3
|
Dorval Convictions - Part R
FR0010557967
19/08/2025
|
+10.58%
|
+11.11%
|
+27.62%
|
+40.24%
|
3 ans
3 ans
700
|
3
|
Dorval Global Conservative - Part I
FR0013333846
19/08/2025
|
+3.26%
|
+4.46%
|
+9.59%
|
+14.09%
|
3 ans
3 ans
700
|
2
|
Dorval Global Conservative - Part R
FR0013333838
19/08/2025
|
+2.87%
|
+3.94%
|
+7.78%
|
+10.84%
|
3 ans
3 ans
700
|
2
|
Dorval Drivers Europe - Part I
FR0010840629
19/08/2025
|
+8.48%
|
+4.69%
|
+27.07%
|
+57.73%
|
5 ans
5 ans
700
|
4
|
Dorval Manageurs Europe - Part I
FR0011059302
26/06/2025
|
+5.89%
|
-1.03%
|
+29.41%
|
+52.94%
|
5 ans
60 mois
340
|
4
|
Dorval Drivers Smid Continental Europe - Part R / C
FR0011645621
19/08/2025
|
+8.53%
|
-2.05%
|
-21.30%
|
-3.43%
|
5 ans
5 ans
700
|
4
|
Dorval Manageurs Smid Cap Euro - Part I/C
FR0013247764
26/06/2025
|
+8.59%
|
+0.35%
|
-6.41%
|
-3.23%
|
5 mois
5 mois
320
|
4
|
Dorval Manageurs Smid Cap Euro - Part R/C
FR0013247749
26/06/2025
|
+8.06%
|
-0.65%
|
-9.18%
|
-7.95%
|
5 mois
5 mois
320
|
5
|
Eurose
FR0007051040
19/08/2025
|
+7.14%
|
+7.82%
|
+19.55%
|
+30.47%
|
3 ans
3 ans
700
|
3
|
DNCA Invest Eurose - Part I
LU0284394151
19/08/2025
|
+7.48%
|
+8.41%
|
+21.80%
|
+34.67%
|
3 mois
3 mois
null
|
3
|
Harris Associates Global Equity Fund - Part I
LU0147943954
19/08/2025
|
+1.43%
|
+6.11%
|
+15.78%
|
+71.44%
|
3 ans
3 ans
null
|
5
|
Harris Associates Global Equity Fund - Part (R/A)
LU0147944259
19/08/2025
|
+0.74%
|
+4.96%
|
+12.05%
|
+62.34%
|
3 ans
36 mois
null
|
5
|
Insertion Emplois Dynamique - Part I / C
FR0013018801
19/08/2025
|
+1.16%
|
-4.42%
|
+0.12%
|
+16.27%
|
5 ans
5 ans
360
|
4
|
Insertion Emplois Dynamique - Part R / C
FR0010702084
19/08/2025
|
+0.78%
|
-4.98%
|
-1.65%
|
+12.87%
|
5 ans
5 ans
360
|
4
|
Mirova Actions Europe - Part C
FR0000976292
19/08/2025
|
+7.53%
|
+4.91%
|
+13.43%
|
+32.35%
|
5 ans
5 ans
360
|
4
|
Mirova Actions Europe - Part I
FR0010160507
19/08/2025
|
+8.38%
|
+6.23%
|
+17.76%
|
+40.87%
|
5 ans
5 ans
360
|
4
|
Mirova Actions Monde - Part C
FR0010091173
19/08/2025
|
-1.69%
|
+0.57%
|
+19.70%
|
+50.03%
|
5 ans
5 ans
360
|
4
|
Mirova Emploi France - Part C
FR0010609552
19/08/2025
|
+0.72%
|
-5.08%
|
-1.95%
|
+12.30%
|
5 ans
5 ans
360
|
4
|
Mirova Euro Green and Sustainable Bond fund - Part I / A
LU0914734537
19/08/2025
|
+1.12%
|
+3.14%
|
+5.56%
|
-8.92%
|
2 ans
24 mois
null
|
3
|
Mirova Euro Green and Sustainable Bond Fund - Part R / A
LU0914734701
19/08/2025
|
+0.83%
|
+2.69%
|
+4.18%
|
-10.90%
|
2 ans
2 ans
null
|
3
|
Mirova Euro Green and Sustainable Corporate Bond - Part R / A
LU0552643842
19/08/2025
|
+1.81%
|
+3.89%
|
+7.84%
|
-4.05%
|
3 ans
3 ans
null
|
2
|
Mirova Euro Green and Sustainable Corporate Bond - Part I / A
LU0552643685
19/08/2025
|
+2.09%
|
+4.34%
|
+9.25%
|
-1.92%
|
3 ans
3 ans
null
|
2
|
Mirova Euro Sustainable Equity - Part I/A
LU0914731780
19/08/2025
|
+12.42%
|
+13.37%
|
+42.08%
|
+59.95%
|
5 ans
60 mois
null
|
4
|
Mirova Euro Sustainable Equity - Part R / A
LU0914731947
19/08/2025
|
+11.69%
|
+12.41%
|
+38.55%
|
+53.49%
|
5 ans
60 mois
null
|
4
|
Mirova Europe Environmental Equity - Part I/A
LU0914732671
19/08/2025
|
+9.53%
|
+3.82%
|
-2.68%
|
+11.78%
|
5 ans
5 ans
null
|
4
|
Mirova Europe Environmental Equity - Part R/A
LU0914733059
19/08/2025
|
+8.94%
|
+2.96%
|
-5.09%
|
+7.19%
|
5 ans
5 ans
null
|
4
|
Mirova Europe Environnement - Part C
FR0010521575
19/08/2025
|
+9.03%
|
+3.09%
|
-4.69%
|
+7.92%
|
5 ans
5 ans
360
|
4
|
Mirova Europe Sustainable Economy R / A EUR
LU1911611140
19/08/2025
|
+5.88%
|
+5.07%
|
+11.12%
|
+12.94%
|
3 ans
3 ans
null
|
3
|
Mirova Europe Sustainable Economy I / A EUR
LU1911610845
19/08/2025
|
+6.37%
|
+5.85%
|
+13.60%
|
+17.20%
|
3 ans
3 ans
null
|
3
|
Mirova Europe Sustainable Equity - Part I / A
LU0552643099
19/08/2025
|
+8.39%
|
+6.24%
|
+17.73%
|
+38.13%
|
5 ans
60 mois
null
|
4
|
Mirova Europe Sustainable Equity - Part R / A
LU0552643339
19/08/2025
|
+7.81%
|
+5.34%
|
+14.81%
|
+32.47%
|
5 ans
60 mois
null
|
4
|
Mirova Global Green Bond Fund - Part R / A
LU1472740767
19/08/2025
|
+0.76%
|
+1.37%
|
+0.56%
|
-15.23%
|
3 ans
3 ans
null
|
3
|
Mirova Global Green Bond Fund - Part I / A
LU1472740502
19/08/2025
|
+1.04%
|
+1.81%
|
+1.89%
|
-13.35%
|
3 ans
3 ans
null
|
3
|
Mirova Global Sustainable Equity - Part R / A
LU0914729966
19/08/2025
|
-1.69%
|
+0.54%
|
+19.63%
|
+49.80%
|
5 ans
5 ans
null
|
4
|
Mirova Global Sustainable Equity - Part I / A
LU0914729453
19/08/2025
|
-1.04%
|
+1.60%
|
+23.42%
|
+57.51%
|
5 ans
5 ans
null
|
4
|
Mirova Obli Euro - Part R(C)
FR0010028985
19/08/2025
|
+0.86%
|
+2.73%
|
+4.32%
|
-10.71%
|
2 ans
2 ans
700
|
2
|
Mirova Women Leaders and Diversity Equity - Part R/A
LU1956003765
19/08/2025
|
-1.23%
|
+1.03%
|
+24.23%
|
+48.87%
|
5 ans
5 ans
null
|
4
|
Mirova Women Leaders and Diversity Equity - Part I/A
LU1956003500
19/08/2025
|
-0.58%
|
+2.16%
|
+28.07%
|
+56.63%
|
5 ans
5 ans
null
|
4
|
Natixis Actions US Growth - Part H/R
FR0011010149
19/08/2025
|
+6.89%
|
+18.44%
|
+75.60%
|
+74.56%
|
5 ans
5 ans
360
|
5
|
Natixis Actions US Growth R USD
FR0010236877
19/08/2025
|
+8.57%
|
+19.90%
|
+87.08%
|
+91.07%
|
5 ans
5 ans
360
|
5
|
Natixis Actions US Growth I USD
FR0010256404
19/08/2025
|
+9.00%
|
+20.65%
|
+90.35%
|
+97.52%
|
5 ans
5 ans
360
|
5
|
Natixis Conservative Risk Parity I/A EUR
LU0935227370
19/08/2025
|
+2.83%
|
+3.79%
|
+5.63%
|
+3.00%
|
3 ans
3 ans
null
|
2
|
Natixis Conservative Risk Parity
LU0935227537
19/08/2025
|
+2.35%
|
+3.04%
|
+3.37%
|
-0.72%
|
3 ans
3 ans
null
|
2
|
Natixis Diversified Solution - Part I
FR0007480389
19/08/2025
|
+2.23%
|
+3.97%
|
+7.49%
|
+4.90%
|
3 ans
3 ans
700
|
3
|
Natixis Diversified Solution - Part R
FR0013300910
19/08/2025
|
+1.90%
|
+3.44%
|
+5.87%
|
+2.30%
|
3 ans
3 ans
700
|
3
|
Natixis Equity Capital Optim
FR0013126869
19/08/2025
|
-5.22%
|
-3.20%
|
-0.92%
|
+0.90%
|
3 ans
36 mois
700
|
4
|
Natixis ESG Conservative R/A (EUR)
LU2169557654
19/08/2025
|
+1.62%
|
+3.47%
|
+9.67%
|
+7.75%
|
3 ans
3 ans
null
|
2
|
Natixis ESG Dynamic Fund R/A(EUR)
LU2169559270
19/08/2025
|
+2.99%
|
+4.46%
|
+16.24%
|
+37.38%
|
5 ans
5 ans
null
|
4
|
Natixis ESG Moderate Fund R/A EUR
LU2169558389
19/08/2025
|
+2.34%
|
+4.11%
|
+13.39%
|
+22.58%
|
5 ans
5 ans
null
|
3
|
Ostrum SRI Credit Euro 1-3- Part I / C
FR0011068642
19/08/2025
|
+2.45%
|
+4.54%
|
+11.20%
|
+9.07%
|
2 ans
2 ans
200
|
2
|
Ostrum SRI Crédit Euro 1-3 - Part R / C
FR0011071778
19/08/2025
|
+2.25%
|
+4.23%
|
+10.20%
|
+7.44%
|
2 ans
2 ans
200
|
2
|
Ostrum Credit Ultra Short Plus - Part I/C
FR0013231453
19/08/2025
|
+2.10%
|
+3.54%
|
+12.02%
|
+12.20%
|
2 ans
2 ans
200
|
2
|
Ostrum Credit Ultra Short Plus - Part SI
FR0007053749
19/08/2025
|
+2.06%
|
+3.51%
|
+11.89%
|
+12.12%
|
2 ans
2 ans
200
|
2
|
Ostrum Euro ABS IG - Part I EUR Cap
FR0012100311
19/08/2025
|
+2.05%
|
+3.52%
|
+12.86%
|
+11.24%
|
1 an
1 an
200
|
2
|
Ostrum Total Return Sovereign - Part I / A
LU0935219609
19/08/2025
|
+0.86%
|
+1.41%
|
+0.15%
|
-1.10%
|
1 an
1 an
null
|
2
|
Ostrum Total Return Sovereign - Part R / A
LU0935220284
19/08/2025
|
+0.67%
|
+1.12%
|
-0.72%
|
-2.53%
|
1 an
1 an
null
|
2
|
Ostrum Euro High Income Fund - ¨Part I/A
LU0556616935
19/08/2025
|
+4.59%
|
+7.74%
|
+24.64%
|
+18.30%
|
3 ans
3 ans
null
|
3
|
Ostrum Euro High Income Fund - ¨Part R/A
LU0556617156
19/08/2025
|
+4.12%
|
+6.97%
|
+21.93%
|
+14.04%
|
3 ans
3 ans
null
|
3
|
Ostrum Euro Inflation - Part I (A)
LU0935222652
19/08/2025
|
+1.94%
|
+2.92%
|
+0.26%
|
+13.24%
|
2 ans
2 ans
null
|
3
|
Ostrum Euro Inflation - Part R/A
LU0935222900
19/08/2025
|
+1.69%
|
+2.50%
|
-0.92%
|
+11.07%
|
2 ans
2 ans
null
|
3
|
Ostrum Global Emerging Bonds I/A EUR Cap
LU0935235043
09/03/2022
|
-7.11%
|
-0.93%
|
+2.15%
|
-
|
3 ans
3 ans
null
|
N/A
|
Ostrum Global Emerging Bonds - Part R/A
LU0935235639
19/08/2025
|
-4.85%
|
+2.00%
|
+7.80%
|
+6.88%
|
3 ans
3 ans
null
|
3
|
Natixis Intl Funds(Lux) I Ostrum Global Inflation Fd I/A Eur C
LU0255251166
19/08/2025
|
+0.30%
|
-2.30%
|
-11.19%
|
-13.95%
|
2 ans
2 ans
null
|
3
|
Ostrum Global Inflation Fund - Part R(C) EUR
LU0255251679
19/08/2025
|
-0.07%
|
-2.87%
|
-12.75%
|
-16.45%
|
2 ans
2 ans
null
|
3
|
Ostrum Credit Short Duration - Part R / C
LU0935222066
19/08/2025
|
+2.29%
|
+4.33%
|
+10.54%
|
+7.62%
|
2 ans
2 ans
null
|
2
|
Ostrum Credit Short Duration - Part I / A
LU0935221761
19/08/2025
|
+2.60%
|
+4.85%
|
+12.10%
|
+10.12%
|
2 ans
2 ans
null
|
2
|
Ostrum SRI Credit 6M - Part R/C
FR0014009DB7
19/08/2025
|
+2.15%
|
+3.68%
|
-
|
-
|
6 mois
6 mois
200
|
1
|
Ostrum SRI Credit 6M - Part I/C
FR0014009DC5
19/08/2025
|
+2.16%
|
+3.69%
|
-
|
-
|
6 mois
6 mois
200
|
1
|
Ostrum SRI Credit 12M - Part L
FR0011405026
19/08/2025
|
+2.65%
|
+4.36%
|
+13.66%
|
+11.67%
|
1 an
1 an
200
|
2
|
Ostrum SRI Credit 12M - Part I
FR0011375989
19/08/2025
|
+2.76%
|
+4.54%
|
+14.28%
|
+12.73%
|
1 an
1 an
200
|
2
|
Ostrum SRI Crossover
FR0011350677
19/08/2025
|
+3.50%
|
+5.90%
|
+16.05%
|
+12.50%
|
3 ans
3 ans
200
|
2
|
Ostrum SRI Crossover - Part L
FR0011350685
19/08/2025
|
+3.25%
|
+5.57%
|
+15.23%
|
+11.25%
|
3 ans
3 ans
200
|
2
|
Ostrum Euro Bonds 1-3 - Part R (C)
FR0010657387
19/08/2025
|
+1.45%
|
+2.91%
|
+4.24%
|
-0.01%
|
2 ans
2 ans
200
|
2
|
Ostrum Euro Bonds 1-3 - Part I
FR0010208421
19/08/2025
|
+1.66%
|
+3.24%
|
+5.25%
|
+1.57%
|
2 ans
2 ans
200
|
2
|
Ostrum SRI Euro Bonds 3-5 - Part E
FR0011311414
19/08/2025
|
+1.71%
|
+3.17%
|
+3.08%
|
-3.75%
|
3 ans
3 ans
200
|
2
|
Ostrum SRI Euro Bonds 3-5 - Part I
FR0011314798
19/08/2025
|
+1.90%
|
+3.48%
|
+4.01%
|
-2.43%
|
3 ans
3 ans
200
|
2
|
Ostrum Europe MinVol Equity R
FR0000003188
19/08/2025
|
+11.40%
|
+11.36%
|
+20.70%
|
+31.04%
|
5 ans
5 ans
320
|
4
|
Ostrum Europe MinVol Equity- Part R/A
LU0935229400
19/08/2025
|
+8.92%
|
+7.93%
|
+18.03%
|
+33.87%
|
5 ans
5 ans
null
|
4
|
Ostrum SRI Euro Sovereign Bonds - Part I
FR0010655456
19/08/2025
|
-0.10%
|
+0.88%
|
-2.36%
|
-14.35%
|
3 ans
3 ans
200
|
3
|
Ostrum SRI Euro Sovereign Bonds - Part R (C)
FR0000003196
19/08/2025
|
-0.25%
|
+0.63%
|
-3.09%
|
-15.42%
|
3 ans
3 ans
200
|
3
|
Ostrum Europe MinVol Equity - Part I/A
LU0935229152
19/08/2025
|
+9.67%
|
+9.11%
|
+21.95%
|
+41.33%
|
5 ans
5 ans
null
|
4
|
Ostrum Global MinVol Equity- Part R/C
LU0935231216
19/08/2025
|
+1.99%
|
+5.46%
|
+9.44%
|
+32.53%
|
5 ans
5 ans
null
|
3
|
Ostrum Global MinVol Equity - Part I/A EUR
LU0935230671
19/08/2025
|
+2.70%
|
+6.62%
|
+13.05%
|
+39.87%
|
5 ans
5 ans
null
|
3
|
Ostrum Total Return Dynamic - Part R/A (EUR)
LU1335435464
19/08/2025
|
+1.43%
|
+2.02%
|
+9.26%
|
+8.46%
|
5 ans
60 mois
null
|
3
|
Ostrum Total Return Dynamic - Part I/A
LU1335434814
19/08/2025
|
+2.26%
|
+3.66%
|
+12.07%
|
+13.11%
|
5 ans
5 ans
null
|
4
|
Thematics Europe Selection - Part I / C
FR0010152967
19/08/2025
|
-3.45%
|
-3.61%
|
-1.07%
|
+7.02%
|
5 ans
5 ans
360
|
4
|
Thematics Europe Selection - Part C
FR0010058529
19/08/2025
|
-3.76%
|
-4.09%
|
-2.55%
|
+4.38%
|
5 ans
5 ans
360
|
4
|
Thematics AI and Robotics - Part H / R
LU1951198644
19/08/2025
|
+9.11%
|
+8.43%
|
+36.35%
|
+52.72%
|
5 ans
5 ans
null
|
5
|
Thematics AI and Robotics - Part H / I
LU1951197596
19/08/2025
|
+9.74%
|
+9.41%
|
+39.77%
|
+59.12%
|
5 ans
5 ans
null
|
5
|
Thematics Meta Fund - Part H / R
LU1951202693
19/08/2025
|
+5.92%
|
+4.57%
|
+17.58%
|
+17.73%
|
5 ans
5 ans
null
|
5
|
Thematics Meta Fund - Part H / I
LU1951201612
19/08/2025
|
+6.45%
|
+5.39%
|
+20.62%
|
+22.59%
|
5 mois
5 mois
null
|
5
|
Thematics Safety Fund - Part H / R
LU1951224077
19/08/2025
|
+7.06%
|
+7.06%
|
+22.31%
|
+13.81%
|
5 ans
5 ans
null
|
5
|
Thematics Safety Fund - Part H / I
LU1951223004
19/08/2025
|
+7.60%
|
+7.91%
|
+25.39%
|
+18.70%
|
5 ans
5 ans
null
|
5
|
Thematics Water Fund - Part H / R
LU1951227419
19/08/2025
|
+11.57%
|
+2.67%
|
+15.95%
|
+33.03%
|
5 ans
5 ans
null
|
4
|
Thematics Water Fund - Part H / I
LU1951226445
19/08/2025
|
+12.09%
|
+3.55%
|
+18.91%
|
+38.86%
|
5 ans
5 ans
null
|
4
|
VEGA Alpha Opportunités ISR - Part I
FR0013200250
18/08/2025
|
-1.78%
|
-0.58%
|
+7.51%
|
-1.64%
|
3 ans
3 ans
700
|
2
|
Vega Alpha Opportunités ISR - Part R
FR0013200243
19/08/2025
|
-1.81%
|
-0.75%
|
+6.61%
|
-2.96%
|
3 ans
3 ans
700
|
2
|
VEGA Court Terme Dynamique - Part R
FR0010078279
19/08/2025
|
+2.35%
|
+3.85%
|
+9.68%
|
+7.76%
|
1 an
1 an
700
|
2
|
VEGA Court Terme Dynamique - Part I
FR0012260545
19/08/2025
|
+2.50%
|
+4.12%
|
+10.60%
|
+9.25%
|
1 an
1 an
700
|
2
|
VEGA Euro Opportunités ISR - Part I/C
FR0011965169
19/08/2025
|
+5.55%
|
+1.59%
|
+15.70%
|
+24.21%
|
5 ans
5 ans
340
|
5
|
VEGA Euro Opportunités ISR - Part R
FR0010242461
19/08/2025
|
+4.91%
|
+0.56%
|
+11.61%
|
+17.05%
|
5 ans
5 ans
340
|
5
|
VEGA Euro Rendement ISR - Part R
FR0011037894
19/08/2025
|
+2.06%
|
+3.00%
|
+11.24%
|
+9.22%
|
3 ans
3 ans
700
|
3
|
VEGA Euro Rendement ISR - Part I/C
FR0012006971
19/08/2025
|
+2.45%
|
+3.60%
|
+13.07%
|
+12.22%
|
3 ans
36 mois
700
|
3
|
VEGA Europe Convictions ISR - Part I
FR0013179892
19/08/2025
|
+1.16%
|
-1.17%
|
+19.74%
|
+34.75%
|
5 ans
5 ans
360
|
4
|
VEGA Europe Convictions ISR - Part R
FR0010626796
19/08/2025
|
+0.43%
|
-2.30%
|
+15.59%
|
+27.54%
|
5 ans
5 ans
360
|
4
|
VEGA Europe Autonomie - Part R / C
FR0007479365
19/08/2025
|
+9.63%
|
+8.58%
|
+18.44%
|
+39.03%
|
5 ans
5 ans
340
|
4
|
VEGA France Opportunités ISR - Part I/C
FR0012006989
19/08/2025
|
+3.71%
|
+3.14%
|
+24.20%
|
+45.92%
|
5 ans
5 ans
340
|
5
|
VEGA France Opportunités ISR - Part R/C
FR0010458190
19/08/2025
|
+2.98%
|
+1.97%
|
+19.84%
|
+39.17%
|
5 ans
5 ans
340
|
5
|
VEGA Grande Amerique - Part R
FR0010767624
19/08/2025
|
-7.42%
|
+2.30%
|
+14.35%
|
+53.38%
|
8 ans
8 ans
360
|
4
|
VEGA Grande Amérique - Part I
FR0010216432
19/08/2025
|
-6.51%
|
+3.88%
|
+19.75%
|
+65.48%
|
8 ans
8 ans
360
|
4
|
VEGA Grande Asie - Part I
FR0010541433
19/08/2025
|
+1.74%
|
+8.65%
|
+4.50%
|
+10.07%
|
8 ans
8 ans
360
|
4
|
VEGA Grande Asie - Part R
FR0010295212
19/08/2025
|
+1.59%
|
+8.40%
|
+1.94%
|
+4.91%
|
8 ans
8 ans
360
|
4
|
VEGA Grande Europe - Part I
FR0000449878
19/08/2025
|
+5.26%
|
+3.99%
|
+17.44%
|
+28.35%
|
7 ans
7 ans
360
|
4
|
VEGA Grande Europe - Part R
FR0011493444
19/08/2025
|
+5.40%
|
+4.21%
|
+15.70%
|
+25.25%
|
7 ans
84 mois
360
|
4
|
VEGA Monde Patrimoine - Part R
FR0010289827
19/08/2025
|
+0.91%
|
+4.50%
|
+14.19%
|
+24.39%
|
5 ans
5 ans
700
|
3
|
VEGA Monde Patrimoine - Part I
FR0013279551
04/05/2023
|
+4.11%
|
-2.57%
|
+15.95%
|
+17.41%
|
5 mois
5 mois
700
|
3
|
VEGA Patrimoine ISR - Part R/C
FR0007371810
19/08/2025
|
+7.85%
|
+7.49%
|
+20.88%
|
+28.65%
|
3 ans
3 ans
700
|
3
|