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Accueil > Marchés Boursiers > OPCVM

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
SCHRODER INTERNATIONAL SELECTI Schroder Investment Management Limited Obligations Monde Emergentes 10.13 7.35% 3.87% 11.72% -14.17%
SCHRODER INTERNATIONAL SELECTI Schroder Investment Management Limited Obligations Monde Emergentes 30.21 11.07% 8.68% 27.97% 7.62%
SCHRODER INTERNATIONAL SELECTI Schroder Investment Management Limited Obligations Monde Emergentes 36.69 11.63% 9.39% 30.49% 11.19%
SCHRODER INTERNATIONAL SELECTI Schroder Investment Management Limited Obligations Monde Emergentes 27.99 10.73% 8.25% 26.43% 5.48%
SCHRODER INTERNATIONAL SELECTI Schroder Investment Management Limited Obligations Monde Emergentes 12.46 5.81% 2.05% 6.01% -20.19%
SCHRODER INTERNATIONAL SELECTI Schroder Investment Management Limited Obligations Monde Emergentes 58.38 6.85% 3.24% 7.80% -18.11%
SCHRODER INTERNATIONAL SELECTI Schroder Investment Management Limited Obligations Monde Emergentes 17.40 9.59% -1.68% 1.51% -21.99%
SCHRODER INTERNATIONAL SELECTI Schroder Investment Management Limited Obligations Monde Emergentes 7.97 5.48% 1.65% 4.73% -21.73%
SCHRODER INTERNATIONAL SELECTI Schroder Investment Management Limited Obligations Monde Emergentes 15.26 10.76% -0.17% 4.75% -19.10%
SCHRODER INTERNATIONAL SELECTI Schroder Investment Management Limited Obligations Monde Emergentes 4.92 5.75% 1.98% 7.01% -17.38%
SCHRODER INTERNATIONAL SELECTI Schroder Investment Management Limited Obligations Monde Emergentes 126.72 11.31% 9.02% 30.17% 10.26%
SCHRODER INTERNATIONAL SELECTI Schroder Investment Management Limited Obligations Monde Emergentes 22.55 7.72% 4.54% 14.36% -5.72%
SCHRODER INTERNATIONAL SELECTI Schroder Investment Management Limited Obligations Monde Emergentes 128.08 10.45% 7.93% 23.16% 1.99%
SCHRODER INTERNATIONAL SELECTI Schroder Investment Management Limited Obligations Monde Emergentes 23.31 8.62% 5.72% 17.84% -4.86%
SCHRODER INTERNATIONAL SELECTI Schroder Investment Management Limited Obligations Monde Emergentes 30.53 9.57% 6.92% 21.93% 0.82%
SCHRODER INTERNATIONAL SELECTI Schroder Investment Management Limited Obligations Monde Emergentes 26.01 9.06% 6.27% 19.62% -2.43%
SCHRODER INTERNATIONAL SELECTI Schroder Investment Management Limited Obligations Monde Emergentes 24.17 8.70% 5.83% 18.19% -4.36%
SCHRODER INTERNATIONAL SELECTI Schroder Investment Management Limited Obligations Mixte 20.52 12.79% 7.54% 29.62% -17.65%
SCHRODER INTERNATIONAL SELECTI Schroder Investment Management Limited Obligations Mixte 10.53 2.10% -0.43% 5.93% -18.26%
SCHRODER INTERNATIONAL SELECTI Schroder Investment Management Limited Obligations d'Etats Moyen Terme 5.75 0.75% -0.85% 2.89% -21.01%
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