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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
LBPAM 3 MOIS E LBP AM Monétaires PEA 160.23 0.98% 3.86% 4.43% 3.96%
LBPAM 3 MOIS R LBP AM Monétaires PEA 359.36 0.98% 3.83% 4.39% 3.92%
LCL FONDS ECHUS PEA C Amundi Asset Management Monétaires PEA 10.97 0.88% 3.52% 3.56% 2.56%
LCL SERENITE PEA C Amundi Asset Management Monétaires 47.73 0.88% 3.50% 3.41% 2.39%
NN (L) LIQUID NN (L) LIQUID - NN Investment Partners Luxembourg SA Monétaires 1051.47 0.96% 3.75% 3.68% 3.06%
OFI INVEST ISR MONETAIRE CT (C Ofi Invest Asset Management SA Monétaires 2310.13 0.97% 3.81% 3.86% 3.01%
OFI INVEST ISR MONETAIRE CT F Ofi Invest Asset Management SA Monétaires 3208.41 0.96% 3.89% 3.91% 3.01%
OSTRUM SRI CASH C-NPF NATIXIS INVESTMENT MANAGERS INTERNATIONAL Monétaires 312.54 0.89% 3.69% 3.81% 3.04%
OSTRUM SRI CASH D-NPF NATIXIS INVESTMENT MANAGERS INTERNATIONAL Monétaires 214.52 0.89% 3.69% 3.81% 3.04%
OSTRUM SRI CASH E NATIXIS INVESTMENT MANAGERS INTERNATIONAL Monétaires 7244.96 0.89% 3.68% 3.81% 3.05%
OSTRUM SRI CASH G1 NATIXIS INVESTMENT MANAGERS INTERNATIONAL Monétaires 1035.41 0.89% 3.71% 3.93% 3.25%
OSTRUM SRI CASH M NATIXIS INVESTMENT MANAGERS INTERNATIONAL Monétaires 10255.69 0.93% 3.78% 3.95% 3.25%
OSTRUM SRI CASH P NATIXIS INVESTMENT MANAGERS INTERNATIONAL Monétaires 3314.60 0.90% 3.70% 3.83% 3.05%
OSTRUM SRI CASH PLUS R (C) NATIXIS INVESTMENT MANAGERS INTERNATIONAL Monétaires Euros 42551.56 0.92% 3.74% 3.86% 3.03%
OSTRUM SRI CASH T NATIXIS INVESTMENT MANAGERS INTERNATIONAL Monétaires 3263.15 0.90% 3.70% 3.83% 3.07%
OSTRUM SRI MONEY 6M E NATIXIS INVESTMENT MANAGERS INTERNATIONAL Monétaires 10681.51 1.00% 3.93% 4.15% 3.50%
OSTRUM SRI MONEY 6M I NATIXIS INVESTMENT MANAGERS INTERNATIONAL Monétaires 10829.59 1.00% 3.95% 4.24% 3.75%
OSTRUM SRI MONEY PLUS R (C) EU NATIXIS INVESTMENT MANAGERS INTERNATIONAL Monétaires 10644.25 0.94% 3.81% 4.00% 3.22%
PALATINE MONETAIRE COURT TERME Palatine Asset Management Monétaires Court Terme en Euros 33515.80 0.96% 3.87% 4.32% 3.98%
PARVEST PARVEST MONEY MARKET E BNP PARIBAS ASSET MANAGEMENT Europe Monétaires 208.78 -0.17% -0.37% -0.60% -0.36%

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