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 Templeton Asset Management Ltd. (SG) Actions Emergentes Monde 16.93 10.44% 11.82% 34.79% 19.99%
FRANKLIN TEMPLETON INVESTMENT Templeton Asset Management Ltd. (SG) Actions Emergentes Monde 22.87 12.11% 11.89% 28.92% 27.20%
FRANKLIN TEMPLETON INVESTMENT Franklin Templeton Investment Management Limited Actions Zone Euro 37.94 8.59% 16.27% 55.68% 59.28%
FRANKLIN TEMPLETON INVESTMENT Franklin Templeton Investments (Asia) Limited Actions Monde 32.89 10.04% 22.54% 71.93% 64.53%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 9.80 3.92% -0.20% -13.58% -20.97%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 5.06 -0.59% -0.39% -11.07% -27.30%
FRANKLIN TEMPLETON INVESTMENT Templeton Global Advisors Limited Actions Monde 13.05 1.87% 13.87% 21.62% 8.39%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 16.43 1.73% 4.19% 0.86% -10.76%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 14.88 1.36% 3.41% -1.26% -13.79%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 16.16 2.02% 6.81% 11.14% -10.37%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 13.74 1.63% 5.94% 8.79% -13.48%
FRANKLIN TEMPLETON INVESTMENT Templeton Asset Management Ltd. (SG) Mixtes Mondial Equilibre 16.43 8.02% 19.06% 29.68% 14.65%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 8.10 - 1.25% -13.83% -20.82%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 22.02 3.62% 5.46% -0.68% -0.05%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 24.34 4.24% 8.81% 11.81% 4.60%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 20.74 3.91% 8.02% 9.45% 0.97%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 28.29 2.69% 6.67% 7.65% 0.07%
FRANKLIN TEMPLETON INVESTMENT Templeton Asset Management Ltd. (SG) Mixtes Mondial Equilibre 50.63 11.13% 25.04% 47.09% 39.02%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 24.37 3.97% 6.19% 1.41% 3.48%
FRANKLIN TEMPLETON INVESTMENT Templeton Asset Management Ltd. (SG) Mixtes Mondial Equilibre 29.21 12.30% 23.88% 36.56% 40.23%