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Recherche multicritères de SICAV et FCP

Catégorie : Société de gestion :
Type de fonds : Performance : Devise :
Date d'existence : Eligibilité PEA :

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

Fonds Gestionnaire Catégorie VL (*) 1er janvier 1 an 3 ans 5 ans
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 10.87 8.81% -1.81% -5.97% -26.75%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 23.50 3.21% -0.76% -6.52% -1.96%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 20.10 14.86% 4.69% 10.32% -5.14%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 8.19 2.50% -3.53% -21.63% -28.22%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 27.17 15.03% 4.90% 10.99% -4.16%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 21.34 2.55% -1.43% -8.45% -5.32%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 16.01 12.83% 2.37% 3.09% -13.93%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 14.58 12.24% 1.74% 1.04% -16.73%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 9.45 -2.98% -6.71% -20.32% -25.12%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 5.08 8.55% -2.31% -8.30% -29.84%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 26.64 15.32% 6.30% 23.62% -2.99%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 22.83 15.19% 5.60% 21.11% -6.28%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 23.04 3.83% 0.61% 4.21% -0.69%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 19.73 3.24% -0.10% 2.02% -4.13%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 15.46 13.68% 3.83% 14.77% -13.34%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 13.21 13.00% 3.04% 12.33% -16.29%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixtes Long Terme 13.21 5.85% 2.32% 12.23% -2.58%
GAM MULTIBOND ABS B CHF (C) GAM USA Inc Obligations Flexibles 97.17 0.41% 0.73% 3.95% 3.65%
GAM MULTIBOND LOCAL EMERGING B GAM International Management Limited Obligations Monde Emergentes 173.32 11.55% 4.52% 20.48% -4.95%
GENERALI OBLIGATIONS INTERNATI Generali Insurance Asset Management S.p.A. Obligations Mixtes Long Terme 170.66 -1.71% -0.15% 1.45% -5.76%
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