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 28.27 2.99% 9.32% 18.68% 1.14%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 24.11 2.68% 8.55% 16.25% -2.31%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Mixtes Mondial Equilibre 26.90 9.57% 22.77% 47.80% 26.89%
FRANKLIN TEMPLETON INVESTMENT Templeton Asset Management Ltd. (SG) Actions Monde 24.63 6.12% 18.47% 51.20% 43.36%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 20.90 2.60% 6.47% 7.01% -0.90%
FRANKLIN TEMPLETON INVESTMENT Templeton Asset Management Ltd. (SG) Mixtes Mondial Equilibre 43.65 12.53% 24.50% 38.62% 43.82%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixte 10.85 -0.46% 0.09% -9.81% -24.07%
FRANKLIN TEMPLETON INVESTMENT Templeton Global Advisors Limited Actions Monde 47.10 2.06% 13.63% 26.85% 12.87%
FRANKLIN TEMPLETON INVESTMENT Templeton Asset Management Ltd. (SG) Mixtes Mondial Equilibre 29.79 8.29% 19.73% 31.93% 18.03%
FRANKLIN TEMPLETON INVESTMENT Templeton Global Advisors Limited Actions Monde 25.72 4.30% 14.46% 32.17% 35.30%
FRANKLIN TEMPLETON INVESTMENT Edinburgh Partners Ltd Actions Japon 2515.12 14.20% 38.56% 98.05% 144.78%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Actions Emergentes Amérique 62.96 12.95% 25.44% 18.39% 11.10%
FRANKLIN TEMPLETON INVESTMENT Franklin Advisers, Inc. Obligations Mixtes Long Terme 13.31 0.45% 3.34% 8.39% -2.13%
FRIEDLAND ALLOCATION FLEXIBLE Friedland Gestion Mixtes Mondial Flexible 476.05 12.70% 19.20% -22.63% -38.95%
FRUCTI PEA SERENITE T NATIXIS INVESTMENT MANAGERS INTERNATIONAL Monétaires PEA 1096.63 0.88% 1.98% 9.37% 10.64%
FRUCTIFONDS PROFIL 3 NATIXIS INVESTMENT MANAGERS INTERNATIONAL Mixtes Mondial Défensif 272.20 2.14% 4.44% 12.88% 6.74%
FRUCTIFONDS PROFIL 6 (C) EUR NATIXIS INVESTMENT MANAGERS INTERNATIONAL Mixtes Mondial Equilibre 439.42 5.59% 10.89% 24.50% 21.02%
FRUCTIFONDS PROFIL 9 NATIXIS INVESTMENT MANAGERS INTERNATIONAL Mixtes Mondial Dynamique 452.51 8.59% 16.80% 34.42% 33.50%
G PATRIMOINE R Erasmus Gestion Mixtes Mondial Flexible 197.78 5.65% 10.65% 14.26% 1.33%
GAIA MASSENA PARTNERS, France Mixtes Mondial Flexible 179.08 2.51% 8.22% 26.06% 22.21%