NATIXIS INVESTMENT MANAGERS INTERNATIONAL

Les autres fonds de NATIXIS INVESTMENT MANAGERS INTERNATIONAL

(*) VL : valeur liquidative, c'est le dernier cours du fonds

Nom du fonds Catégorie Dernière VL * Var. 1er janvier Var. 1 an Var. 3 ans Var. 5 ans
OSTRUM SRI EURO MINVOL EQUITY R (C) EUR Actions Europe 1120.53 4.56% 5.22% 23.13% 27.59%
OSTRUM SRI EURO SOVEREIGN BONDS R (C) EUR Obligations d'Etats EUR 489.51 -0.71% -0.03% 3.86% -13.53%
LE LIVRET PORTEFEUILLE C/D Actions Monde 514.47 5.06% 5.42% 22.57% 31.27%
OSTRUM SRI CASH PLUS R (C) Monétaires Euros 45027.70 0.71% 1.98% 9.34% 9.98%
ECUREUIL PROFIL 5 (C) Mixtes Zone Euro Defensif 46.19 -0.02% 1.49% 6.97% 0.57%
ECUREUIL PROFIL 30 C Mixtes Europe Defensif 67.27 -0.40% 1.49% 9.31% 4.42%
ECUREUIL PROFIL 30 D Mixtes Europe Defensif 50.02 -0.38% 1.50% 9.33% 4.43%
FRUCTIFONDS PROFIL 3 Mixtes Mondial Défensif 268.64 0.81% 3.45% 11.09% 6.75%
FRUCTIFONDS PROFIL 6 (C) EUR Mixtes Mondial Equilibre 426.85 2.57% 8.00% 21.64% 20.79%
FRUCTIFONDS PROFIL 9 Mixtes Mondial Dynamique 435.12 4.41% 12.17% 31.26% 33.49%
VEGA EURO SPREAD ISR RC Obligations Mixtes Moyen Terme 49.70 -0.48% 1.22% 10.15% -0.18%
VEGA PATRIMOINE ISR RD Mixtes Europe Defensif 3650.10 -2.27% 0.37% 11.20% 7.91%
VEGA GRANDE EUROPE I Actions Europe Grandes Capitalisations 234.99 1.21% 6.02% 16.70% 16.38%
INSERTION EMPLOIS DYNAMIQUE R (D) Actions Europe 392.43 -1.62% -4.51% -7.98% -5.53%
MIROVA ACTIONS EUROPE C C (EUR) Actions Europe 206.67 3.43% 6.81% 15.21% 12.43%
ECUREUIL PROFIL 5 (D) Mixtes Zone Euro Defensif 34.09 -0.03% 1.49% 6.97% 0.59%
OSTRUM SRI CREDIT EURO E Obligations Mixtes Long Terme 236.33 -0.36% 2.02% 14.04% -0.67%
FCP PEA COURT TERME M (C) EUR Monétaires 105.85 0.76% 2.18% 10.00% 11.00%
ZELIS ACTIONS AMERIQUE C Actions Etats Unis 519.66 2.52% 8.01% 39.64% 42.42%
VEGA EUROPE AUTONOMIE RC Actions Zone Euro 47.46 4.68% 10.14% 20.03% 21.51%
NATIXIS DIVERSIFIED SOLUTION I Mixtes Mondial Défensif 16230.92 0.28% 3.95% 14.79% 2.79%
MIROVA FUNDS MIROVA OBLI EURO R (C) Obligations Mixte 200.73 -0.81% 0.81% 8.71% -11.21%
THEMATICS EUROPE SELECTION R (C) Actions Zone Euro Biens de Consommation de Base 1124.05 -1.87% -7.16% -4.39% -9.61%
THEMATICS EUROPE SELECTION R (D) Actions Zone Euro Biens de Consommation de Base 688.75 -1.87% -7.17% -4.42% -9.69%
ECUREUIL ACTIONS MONDE (C) EUR Actions Monde 2919.39 4.30% 10.54% 33.40% 30.06%
ECUREUIL PROFIL 90 D Actions Zone Euro 62.64 -1.22% 4.35% 17.66% 23.94%
VEGA COURT TERME DYNAMIQUE R Obligations Mixtes Court Terme 1374.17 0.38% 1.78% 10.30% 7.41%
ECUREUIL PROFIL 75 (D) EUR Actions Zone Euro 71.91 -0.35% 4.38% 17.16% 23.41%
MIROVA ACTIONS EURO R (D) Actions Zone Euro 92.27 3.43% 6.19% 28.24% 31.23%
MIROVA ACTIONS MONDE C EUR Actions Monde 1503.93 -1.87% 2.89% 26.34% 32.78%
FCP RELAIS PEA 2 C Monétaires 59.28 0.69% 1.98% 9.50% 10.43%
ECUREUIL ACTIONS FRANCE C Actions France 384.83 -2.13% 2.52% 9.84% 28.79%
OSTRUM ACTIONS CAC 40 M (D) Actions Zone Euro Grandes Capitalisations 2630.79 -3.50% -1.05% 8.21% 25.19%
RESERVE ECUREUIL C Monétaires 177.86 0.68% 1.98% 9.47% 10.39%
OSTRUM SRI EURO BONDS 5-7 I Obligations d'Etats Moyen Terme 5034.96 -0.64% 0.93% 7.15% -6.63%
VEGA EURO OPPORTUNITES ISR RC Actions Europe 168.56 -1.64% 3.41% 7.73% 1.89%
VEGA MONDE PATRIMOINE R/C EUR Mixtes Mondial Flexible 168.19 1.22% 5.61% 21.39% 18.16%
OSTRUM SRI CASH M Monétaires 10868.34 0.74% 2.05% 9.53% 10.24%
MIROVA ACTIONS EUROPE F Actions Europe 20.21 3.91% 8.15% 19.60% 19.66%
VEGA FRANCE OPPORTUNITES ISR R Actions Europe Grandes Capitalisations 206.57 -3.21% -1.93% 8.80% 15.02%
OSTRUM SRI CASH E Monétaires 7651.58 0.68% 1.89% 9.06% 9.72%
MIROVA EUROPE ENVIRONNEMENT R(C) EUR Actions Monde Environnement 2247.38 11.24% 17.43% 11.65% 5.81%
OSTRUM SRI CASH T Monétaires 3446.30 0.68% 1.89% 9.08% 9.74%
OSTRUM SRI CASH D-NPF Monétaires 226.56 0.68% 1.89% 9.07% 9.72%
OSTRUM SRI CASH C-NPF Monétaires 330.08 0.68% 1.89% 9.07% 9.72%
OSTRUM SRI CASH P Monétaires 3500.63 0.68% 1.89% 9.08% 9.74%
VEGA EUROPE CONVICTIONS ISR RC Actions Europe 61.29 -3.08% 0.96% 8.36% 10.83%
OSTRUM SRI EURO BONDS 1-3 R (C) EUR Obligations d'Etats Court Terme 112.05 -0.23% 0.67% 6.61% 0.90%
INSERTION EMPLOIS DYNAMIQUE R (C) Actions Europe 245.60 -1.51% -4.41% -7.87% -5.42%
OSTRUM SRI MONEY 6M I Monétaires 11490.93 0.73% 2.11% 9.84% 10.66%
OSTRUM SRI MONEY 6M E Monétaires 11318.50 0.70% 2.05% 9.67% 10.42%
MIROVA FUNDS MIROVA OBLI EURO T Obligations Mixte 123.64 -0.81% 0.81% 8.71% -11.21%
FRUCTI PEA SERENITE T Monétaires PEA 1094.50 0.68% 1.98% 9.47% 10.39%
OSTRUM SRI MONEY PLUS R (C) EUR Monétaires 11267.57 0.71% 2.01% 9.44% 10.17%
VEGA EURO RENDEMENT ISR R (C) EUR Mixtes Europe Defensif 157.86 -0.64% 1.06% 11.44% 4.58%
OSTRUM SRI CASH G1 Monétaires 1062.81 0.07% 3.26% 7.18% 6.29%
OSTRUM SRI EURO BONDS 3-5 E Obligations d'Etats Moyen Terme 1106.27 -0.76% 0.37% 6.31% -3.50%
VEGA GRANDE EUROPE (R) EUR Actions Europe Grandes Capitalisations 171.14 1.28% 6.24% 16.28% 12.86%
NATIXIS ACTIONS US GROWTH R (C) EUR Actions Etats Unis Grandes Capitalisations 55468.89 -1.28% 8.26% 62.49% 76.49%
MIROVA EUROPE ENVIRONNEMENT R (D) EUR Actions Monde Environnement 1566.71 10.65% 16.80% 10.38% 4.26%
NATIXIS INTERNATIONAL FUNDS (DUBLIN) I LOO Obligations Mixte 23.76 - 0.76% 9.85% 9.70%
MIROVA FUNDS MIROVA EUROPE ENVIRONMENTAL E Actions Europe Environnement 207.87 11.21% 17.29% 11.23% 5.10%
NATIXIS INTERNATIONAL FUNDS (LUX) I THEMAT Actions Monde Technologies 259.01 10.45% 24.14% 54.90% 72.98%