CAC40

ACCOR . +0.56%
AIR LIQUI. -0.68%
AIRBUS SE. -2.46%
ARCELORMI. -0.67%
AXA . -1.97%
BNP PARIB. -3.96%
BOUYGUES . -0.46%
BUREAU VE. -0.15%
CAP GEMIN. -0.69%
CARREFOUR. +0.26%
CREDIT AG. -2.46%
DANONE . +1.60%
DASSAULT . -0.17%
EDENRED +0.19%
ENGIE -0.36%
ESSILORLU. +12.98%
EUROFINS . -1.51%
EURONEXT -0.40%
HERMES IN. +1.34%
KERING . +0.34%
L'OREAL . +1.11%
LEGRAND -2.86%
LVMH . +0.58%
MICHELIN . -0.04%
ORANGE +1.78%
PERNOD RI. +2.72%
PUBLICIS . -0.19%
RENAULT . +1.15%
SAFRAN . -1.95%
SAINT-GOB. -1.26%
SANOFI . +0.12%
SCHNEIDER. -2.48%
SOCIETE G. -5.10%
STELLANTI. +0.90%
STMICROEL. -1.76%
THALES -3.31%
TOTALENER. +0.27%
UNIBAIL R. -0.97%
VEOLIA EN. +0.23%
VINCI . -0.33%

Dernière mise à jour: 18 oct. 2025 22:45

CAC40

8174,200 pts à -0.18%

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Sélection Sicav/FCP

Sicav/FCP

Dernière mise à jour: 18 oct. 2025 22:45
ISIN Nom Gestion Date VL Actif
FR0000299711 Abn Am Eur Sus Money Mkt C Eur Neuflize OBC Investissements 27 mars 2020 49468,960 EUR 18.779
FR0010278739 Abn Am Eur Sus Money Mkt I Eur Neuflize OBC Investissements 27 mars 2020 112191,300 EUR 2.468
FR0010094839 Afer Actions Monde Aviva Investors France 16 oct. 2025 1841,550 EUR 1823.558
FR0010821470 Afer Diversifie Durable ISR Aviva Investors France 16 oct. 2025 909,420 EUR 596.540
FR0011521525 Afer Oblig Monde Entreprises Aviva Investors France 16 oct. 2025 1141,100 EUR 23042361.120
FR0010094789 Afer Patrimoine Aviva Investors France 16 oct. 2025 594,700 EUR 255.859
FR0007024393 Afer-Actions Euro ISR A Aviva Investors France 16 oct. 2025 242,840 EUR 1546713247.990
FR0000299364 Afer-Sfer Aviva Investors France 16 oct. 2025 84,290 EUR 4793.693
FR0010446666 Am. FTSE MIB Daily (-2x) ETF Lyxor Intl AM - - - -
FR0010156604 Amundi Oblig International Eur Cpr Asset Management 16 oct. 2025 241,620 EUR 306787210.230
FR0000937435 Bellatrix C Cybèle Asset Management 16 oct. 2025 396,960 EUR 75.436
FR0000945891 Bellatrix D Cybèle Asset Management 16 oct. 2025 314,640 EUR 35.843
FR0000298721 Betelgeuse Cybèle Asset Management 16 oct. 2025 69,360 EUR 4.101
FR0010772020 Bnp Paribas Deep Value Classic CamGestion 16 oct. 2025 279,080 EUR 56500391.060
FR0010076638 Bnp Paribas Floreal 30 CamGestion 15 oct. 2025 47,540 EUR 34332640.750
LU2155806362 Bnpp Europe High Conv Bd Class CamGestion 16 oct. 2025 328,040 EUR 216222405.050
FR0010128587 Bnpp Smcap Euroland Isr C Cl CamGestion 16 oct. 2025 636,660 EUR 838.160
FR0010028902 BNPP Valeur Francaises ISR C CamGestion 16 oct. 2025 248,080 EUR 216949239.030
FR0007006929 CamGestion Active 100 CamGestion 04 juin 2025 32,210 EUR 20353010.240
FR0007006911 CamGestion Active Convictions CamGestion 24 sep. 2025 20,310 EUR 31874995.840
FR0007085436 Camgestion Club Patrimoine C CamGestion 17 sep. 2025 10,000 EUR 14397929.030
FR0010522193 CamGestion ConvertiblesEuropeI CamGestion 16 oct. 2025 203773,640 EUR 57667941.680
FR0000285629 CamGestion ConvertiblesEuropeO CamGestion 16 oct. 2025 52,020 EUR 256301984.020
FR0010149179 Carmignac Absolut Return Europ Carmignac Gestion 16 oct. 2025 407,210 EUR 123.643
FR0010149161 Carmignac Court Terme Carmignac Gestion 16 oct. 2025 3985,200 EUR 1136.874
FR0010149302 Carmignac Emergents Carmignac Gestion 16 oct. 2025 1445,140 EUR 997.805
FR0010147603 Carmignac Invest.Latitude Carmignac Gestion 16 oct. 2025 407,870 EUR 178.142
FR0010148981 Carmignac Investissement A Carmignac Gestion 16 oct. 2025 2465,930 EUR 3527.685
FR0010149203 Carmignac Multi Expert. A EUR Carmignac Gestion 16 oct. 2025 217,220 EUR 218.200
FR0010135103 Carmignac Patrimoine A Eur Carmignac Gestion 16 oct. 2025 782,260 EUR 5528691122.912
FR0010149120 Carmignac Securite AW Eur Carmignac Gestion 16 oct. 2025 1924,550 EUR 5027.202
FR0000097610 Cava-Oblig Cava Gestion 16 oct. 2025 4317,750 EUR 133.738
FR0007497425 Chaussier Croissance Chaussier Gestion SA 10 oct. 2025 1495,640 EUR 41.407
FR0007006457 Chaussier International Chaussier Gestion SA 10 oct. 2025 277,590 EUR 8.996
FR0007023304 Chaussier PME Croissance Chaussier Gestion SA 10 oct. 2025 164,610 EUR 4.924
FR0010345769 CNP-Assur-Pierre Natixis Asset Management 16 oct. 2025 335,020 EUR 90.672
FR0010345793 CNP-Assur-Valeurs Natixis Asset Management 06 mai 2019 184,680 EUR 21888861.970
FR0011749613 Cogefi Chrysalide P Cogefi Gestion 18 juin 2019 113,110 EUR 4307440.630
FR0010790444 Cogefi Equilibre P Cogefi Gestion 18 juin 2019 28,130 EUR 11181509.350
FR0010319418 Cogefi Europe I Cogefi Gestion 18 juin 2019 1324,550 EUR 145701.170
FR0007079132 Cogefi Europe P Cogefi Gestion 18 juin 2019 38,680 EUR 27342284.060
FR0010762518 Cogefi Prospective Cogefi Gestion 18 juin 2019 101,990 EUR 22202294.870
FR0007389002 Cogefi Rendement P Cogefi Gestion 19 juin 2019 504,730 EUR 29280800.700
LU0928190510 Convertible Bonds Global Mirabaud & Cie 16 fév. 2018 122,100 USD 48041498.180
FR0010097667 CPR Croissance Défensive P Cpr Asset Management 16 oct. 2025 355,780 EUR 113873970.640
FR0010097683 CPR Croissance Reactive P Cpr Asset Management 16 oct. 2025 567,620 EUR 318277089.180
FR0010836163 CPR Silver Age P Cpr Asset Management 16 oct. 2025 2926,410 EUR 742534625.280
FR0007430806 Decouvertes (d) Hmg Finance 16 oct. 2025 2400,950 EUR 76.005
FR0010321810 Echiquier Agenor Financiere de L'Echiquier 05 mars 2018 337,250 EUR 477164703.410
FR0011188259 Echiquier Agenor I Financiere de L'Echiquier 05 mars 2018 2253,330 EUR 104414707.450