7950,180 pts à -0.18%
| 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 | 06 nov. 2025 | 1867,510 EUR | 1861.945 |
| FR0010821470 | Afer Diversifie Durable ISR | Aviva Investors France | 06 nov. 2025 | 901,960 EUR | 593.397 |
| FR0011521525 | Afer Oblig Monde Entreprises | Aviva Investors France | 05 nov. 2025 | 1141,980 EUR | 24485225.850 |
| FR0010094789 | Afer Patrimoine | Aviva Investors France | 06 nov. 2025 | 594,240 EUR | 254.786 |
| FR0007024393 | Afer-Actions Euro ISR A | Aviva Investors France | 05 nov. 2025 | 242,850 EUR | 1548078643.970 |
| FR0000299364 | Afer-Sfer | Aviva Investors France | 06 nov. 2025 | 82,680 EUR | 4712.920 |
| FR0010446666 | Am. FTSE MIB Daily (-2x) ETF | Lyxor Intl AM | - | - - | - |
| FR0010156604 | Amundi Oblig International Eur | Cpr Asset Management | 05 nov. 2025 | 242,180 EUR | 301945276.370 |
| FR0000937435 | Bellatrix C | Cybèle Asset Management | 06 nov. 2025 | 390,730 EUR | 75.011 |
| FR0000945891 | Bellatrix D | Cybèle Asset Management | 06 nov. 2025 | 309,710 EUR | 35.142 |
| FR0000298721 | Betelgeuse | Cybèle Asset Management | 06 nov. 2025 | 68,040 EUR | 4.050 |
| FR0010772020 | Bnp Paribas Deep Value Classic | CamGestion | 05 nov. 2025 | 280,460 EUR | 56178329.110 |
| FR0010076638 | Bnp Paribas Floreal 30 | CamGestion | 04 nov. 2025 | 47,910 EUR | 34650629.170 |
| LU2155806362 | Bnpp Europe High Conv Bd Class | CamGestion | 05 nov. 2025 | 327,100 EUR | 217587151.400 |
| FR0010128587 | Bnpp Smcap Euroland Isr C Cl | CamGestion | 06 nov. 2025 | 630,220 EUR | 964.712 |
| FR0010028902 | BNPP Valeur Francaises ISR C | CamGestion | 06 nov. 2025 | 241,180 EUR | 211907347.400 |
| 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 | 05 nov. 2025 | 203089,850 EUR | 56255889.930 |
| FR0000285629 | CamGestion ConvertiblesEuropeO | CamGestion | 05 nov. 2025 | 51,830 EUR | 256137730.660 |
| FR0010149179 | Carmignac Absolut Return Europ | Carmignac Gestion | 06 nov. 2025 | 412,330 EUR | 123.954 |
| FR0010149161 | Carmignac Court Terme | Carmignac Gestion | 06 nov. 2025 | 3988,970 EUR | 1138.870 |
| FR0010149302 | Carmignac Emergents | Carmignac Gestion | 06 nov. 2025 | 1511,550 EUR | 1059.710 |
| FR0010147603 | Carmignac Invest.Latitude | Carmignac Gestion | 06 nov. 2025 | 415,620 EUR | 186.878 |
| FR0010148981 | Carmignac Investissement A | Carmignac Gestion | 06 nov. 2025 | 2542,430 EUR | 3685.069 |
| FR0010149203 | Carmignac Multi Expert. A EUR | Carmignac Gestion | 06 nov. 2025 | 219,110 EUR | 221.987 |
| FR0010135103 | Carmignac Patrimoine A Eur | Carmignac Gestion | 05 nov. 2025 | 794,520 EUR | 5613355092.280 |
| FR0010149120 | Carmignac Securite AW Eur | Carmignac Gestion | 06 nov. 2025 | 1922,370 EUR | 5021.887 |
| FR0000097610 | Cava-Oblig | Cava Gestion | 06 nov. 2025 | 4311,080 EUR | 130.028 |
| FR0007497425 | Chaussier Croissance | Chaussier Gestion SA | 31 oct. 2025 | 1528,290 EUR | 42.230 |
| FR0007006457 | Chaussier International | Chaussier Gestion SA | 31 oct. 2025 | 285,950 EUR | 9.239 |
| FR0007023304 | Chaussier PME Croissance | Chaussier Gestion SA | 31 oct. 2025 | 163,240 EUR | 4.879 |
| FR0010345769 | CNP-Assur-Pierre | Natixis Asset Management | 06 nov. 2025 | 336,860 EUR | 91.215 |
| 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 | 05 nov. 2025 | 352,960 EUR | 111923265.770 |
| FR0010097683 | CPR Croissance Reactive P | Cpr Asset Management | 05 nov. 2025 | 569,650 EUR | 318261531.580 |
| FR0010836163 | CPR Silver Age P | Cpr Asset Management | 05 nov. 2025 | 2894,480 EUR | 731813218.590 |
| FR0007430806 | Decouvertes (d) | Hmg Finance | 06 nov. 2025 | 2392,330 EUR | 75.747 |
| 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 |