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
EVERGREEN FUND C Rothschild & Co Asset Management Mixtes Mondial Dynamique 162.94 -0.61% 9.94% 34.48% 39.41%
EXANE FUNDS 2 EXANE PLEIADE FU Exane Asset Management Fonds de fonds alternatifs 126.57 -6.02% -3.35% 5.65% 4.15%
EXANE FUNDS 2 EXANE PLEIADE FU Exane Asset Management Fonds de fonds alternatifs 119.56 -5.80% -2.91% 7.03% 6.14%
EXANE FUNDS 2 EXANE PLEIADE PE Exane Asset Management Fonds de fonds alternatifs 178.18 -9.90% -6.37% 3.78% 1.04%
EXANE PLEIADE TRESORERIE P Exane Asset Management Alternatif 'Long / short Equity variable bias stra 125.71 -1.37% -0.29% 7.99% 8.59%
FASTEA OPPORTUNITES FASTEA CAPITAL Actions France 170.02 3.61% 10.32% 6.47% -5.13%
FASTEA PATRIMOINE P FASTEA CAPITAL Mixtes Europe Defensif 124.77 -0.46% 3.53% 2.84% -4.49%
FAUVETTES C Mandarine Gestion Obligations Mixtes Court Terme 229.24 0.39% 2.08% 15.35% 6.73%
FCP MON PEA R Erasmus Gestion Actions Zone Euro 265.14 4.38% 7.25% 16.44% 7.30%
FCP PEA COURT TERME M (C) EUR NATIXIS INVESTMENT MANAGERS INTERNATIONAL Monétaires 106.08 0.97% 2.19% 9.92% 11.27%
FCP RELAIS PEA 2 C NATIXIS INVESTMENT MANAGERS INTERNATIONAL Monétaires 59.39 0.88% 1.99% 9.40% 10.69%
FCPI GENERATIONS FUTURES 2 A Oddo BHF 17.92 14.95% 13.71% -48.33% -36.59%
FCPR AMUNDI PRIVATE EQUITY MEG Amundi Private Equity Funds Private Equity 137.79 1.49% 5.58% 26.72% 34.74%
FCPR MANDARINE IMPACT SOLIDAIR Mandarine Gestion Private Equity 3879.52 -0.04% -3.20% -8.30% -6.84%
FDA 17 O Amundi Asset Management Mixtes Mondial Equilibre 1094.02 2.84% 10.01% 19.41% 8.64%
FEDERIS ISR EURO L LBP AM Actions Zone Euro 214.15 8.41% 16.85% 41.41% 50.57%
FIDEAS BETAMAX MULTI-ASSETS I FIDEAS CAPITAL SAS Mixtes Mondial Flexible 1803.17 3.82% 8.16% 19.82% 13.07%
FIDEAS CREDITMAX EURO D FIDEAS CAPITAL SAS Obligations Haut Rendement Moyen Terme 1000.60 -2.42% -0.49% 14.26% -2.75%
FIDELITY ACTIVE STRATEGY FAST- FIL Fund Management Limited Actions Emergentes Monde 370.49 35.48% 77.70% 148.00% 68.45%
FIDELITY ACTIVE STRATEGY FAST FIL Fund Management Limited Actions Europe 575.64 6.61% -0.65% -1.42% 4.03%