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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
SEEYOND EURO SUSTAINABLE MINVOL R (C) EUR Actions Europe 940.67 5.03% 7.46% 9.99% 14.10%
OSTRUM SRI EURO SOVEREIGN BONDS R (C) EUR Obligations d'Etats EUR 484.94 -0.60% 2.32% -16.22% -10.89%
LE LIVRET PORTEFEUILLE ACTION (C/D) EUR Actions Monde 442.03 3.75% 8.60% 12.83% 13.93%
OSTRUM SRI CASH PLUS R (C) Monétaires Euros 42556.44 0.94% 3.74% 3.87% 3.04%
ECUREUIL PROFIL 5 (C) Mixtes Zone Euro Defensif 43.87 0.11% 1.86% -4.61% -2.14%
ECUREUIL PROFIL 30 C Mixtes Europe Defensif 64.35 1.40% 5.30% 0.12% 7.05%
ECUREUIL PROFIL 30 D Mixtes Europe Defensif 47.84 1.40% 5.30% 0.13% 7.05%
FRUCTIFONDS PROFIL 3 Mixtes Mondial Défensif 249.88 0.74% 4.13% -0.79% 3.34%
FRUCTIFONDS PROFIL 6 Mixtes Mondial Equilibre 376.21 3.18% 9.58% 7.08% 18.76%
FRUCTIFONDS PROFIL 9 Mixtes Mondial Dynamique 366.19 5.40% 14.44% 13.68% 31.04%
INSERTION EMPLOIS DYNAMIQUE R (D) Actions Zone Euro 443.65 3.29% 8.22% 9.70% 39.72%
ECUREUIL PROFIL 5 (D) Mixtes Zone Euro Defensif 32.38 0.12% 1.86% -4.60% -2.15%
OSTRUM SRI CREDIT EURO E Obligations Mixtes Long Terme 220.19 0.55% 7.47% -7.81% -4.08%
FCP PEA COURT TERME M (C) EUR Monétaires 99.59 0.98% 3.90% 4.39% 3.80%
OSTRUM EURO SOVEREIGN 1-3 C Obligations d'Etats Court Terme 3025.60 -0.18% 1.73% -3.30% -4.28%
NATIXIS DIVERSIFIED SOLUTION I Mixtes Mondial Défensif 14988.13 1.39% 6.64% -5.86% 3.16%
SEEYOND FLEXIBLE PEA MT CNP ASSUR PERFORMA Mixtes Mondial Flexible 1603.52 3.23% 0.83% 5.58% 8.68%
MIROVA OBLI EURO R (C) Obligations Mixte 193.31 -0.27% 4.88% -15.48% -9.45%
ECUREUIL SRI OBLI EURO C Obligations Mixtes Moyen Terme 68.31 -0.87% 2.61% -15.24% -11.26%
THEMATICS EUROPE SELECTION R (C) Actions Zone Euro Biens de Consommation de Base 1257.55 6.62% 11.83% 6.34% 8.53%
THEMATICS EUROPE SELECTION R (D) Actions Zone Euro Biens de Consommation de Base 770.83 6.62% 11.76% 5.00% 0.99%
MIROVA ACTIONS EURO D Actions Zone Euro 79.21 8.14% 14.50% 15.06% 40.99%
FCP RELAIS PEA 2 (C) EUR Monétaires 56.00 0.94% 3.85% 4.28% 3.60%
AAA ACTIONS AGRO ALIMENTAIRE I (C) Actions Monde Consommation Discrétionnaire 301377.50 -1.35% -5.07% 5.31% 36.13%
ECUREUIL ACTIONS FRANCE Actions France 380.97 8.44% 13.87% 34.67% 55.74%
OSTRUM ACTIONS CAC 40 M (D) Actions Zone Euro Grandes Capitalisations 2733.42 8.96% 15.85% 37.61% 54.04%
RESERVE ECUREUIL (C) EUR Monétaires 168.05 0.94% 3.84% 4.26% 3.61%
ECUREUIL SRI OBLI MOYEN TERME C Obligations Mixtes Moyen Terme 21.10 -0.89% 2.33% -15.87% -12.19%
OSTRUM SRI EURO BONDS 5-7 I Obligations d'Etats Moyen Terme 4831.75 -0.96% 2.83% -11.56% -8.12%
OSTRUM SOUVERAINS EURO 1-3 I Obligations d'Etats Court Terme 3274.63 -0.47% -0.80% -1.34% 1.50%
CNP ASSUR UNIVERS B Actions Monde 199.43 3.51% 2.14% 0.08% 21.08%
OSTRUM SRI CASH M Monétaires 10257.18 0.94% 3.78% 3.97% 3.27%
OSTRUM SRI CASH E Monétaires 7245.98 0.91% 3.69% 3.82% 3.06%
OSTRUM SRI CASH T Monétaires 3263.61 0.91% 3.71% 3.84% 3.09%
OSTRUM SRI CASH D-NPF Monétaires 214.55 0.91% 3.69% 3.83% 3.05%
OSTRUM SRI CASH C-NPF Monétaires 312.58 0.91% 3.69% 3.83% 3.05%
OSTRUM SRI CASH P Monétaires 3315.06 0.91% 3.71% 3.84% 3.07%
OSTRUM SRI EURO BONDS 1-3 R (C) EUR Obligations d'Etats Court Terme 107.25 -0.21% 2.10% -3.70% -4.79%
INSERTION EMPLOIS DYNAMIQUE R (C) Actions Zone Euro 277.34 3.28% 8.21% 9.70% 39.72%
OSTRUM SRI MONEY 6M I Monétaires 10831.88 1.02% 3.97% 4.26% 3.78%
OSTRUM SRI MONEY 6M E Monétaires 10684.02 1.02% 3.95% 4.18% 3.53%
MIROVA OBLI EURO T Obligations Mixte 119.07 -0.27% 4.89% -15.47% -9.45%
FRUCTI PEA SERENITE T Monétaires PEA 1034.17 0.94% 3.84% 4.26% 3.60%
ECUREUIL SRI OBLI EURO C/D Obligations Mixtes Moyen Terme 246.37 -0.87% 2.39% -16.42% -13.88%
OSTRUM SRI MONEY PLUS R (C) EUR Monétaires 10645.49 0.96% 3.81% 4.02% 3.23%
SEEYOND FLEXIBLE PEA MT R (C) Mixtes Mondial Flexible 113.07 1.82% 3.86% -3.71% 0.21%
SEEYOND ACTIONS CAC 40 R Actions France 660.30 7.57% 8.45% 17.69% 56.15%
SEEYOND FLEXIBLE PEA MT R Mixtes Mondial Flexible 116.49 2.34% -0.38% 1.84% 2.32%
OSTRUM SRI CASH G1 Monétaires 1035.56 0.91% 3.71% 3.95% 3.27%
OSTRUM SRI EURO BONDS 3-5 E Obligations d'Etats Moyen Terme 1063.50 -0.82% 2.23% -7.88% -6.17%
NATIXIS ACTIONS US GROWTH R (C) EUR Actions Etats Unis Grandes Capitalisations 46088.40 14.11% 41.12% 45.48% 108.95%
MIROVA ACTIONS EURO C Actions Zone Euro 66.70 4.81% 3.60% - -
MIROVA FUNDS MIROVA EUROPE ENVIRONMENTAL E Actions Europe Environnement 181.19 0.56% -0.61% -9.18% 34.09%
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