CAC40

ACCOR . +0.56%
AIR LIQUI. -0.68%
AIRBUS SE. -2.46%
ARCELORMI. -0.67%
AXA . -1.97%
BNP PARIB. -3.96%
BOUYGUES . -0.46%
BUREAU VE. -0.15%
CAP GEMIN. -0.69%
CARREFOUR. +0.26%
CREDIT AG. -2.46%
DANONE . +1.60%
DASSAULT . -0.17%
EDENRED +0.19%
ENGIE -0.36%
ESSILORLU. +12.98%
EUROFINS . -1.51%
EURONEXT -0.40%
HERMES IN. +1.34%
KERING . +0.34%
L'OREAL . +1.11%
LEGRAND -2.86%
LVMH . +0.58%
MICHELIN . -0.04%
ORANGE +1.78%
PERNOD RI. +2.72%
PUBLICIS . -0.19%
RENAULT . +1.15%
SAFRAN . -1.95%
SAINT-GOB. -1.26%
SANOFI . +0.12%
SCHNEIDER. -2.48%
SOCIETE G. -5.10%
STELLANTI. +0.90%
STMICROEL. -1.76%
THALES -3.31%
TOTALENER. +0.27%
UNIBAIL R. -0.97%
VEOLIA EN. +0.23%
VINCI . -0.33%
Dernière mise à jour: 19 oct. 2025 22:45

CAC40

-0.18%
8174,200 pts

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Sélection Sicav/FCP

Sicav/FCP

Dernière mise à jour: 19 oct. 2025 22:45
ISIN Nom Gestion Date VL
LU0636969866 Mir.- Eq Swiss Small/Mid A CHF Mirabaud & Cie 16 fév. 2018 472,180 CHF
LU0800193780 Mir.-Eq.Glb Emrg Mkt A USD Mirabaud & Cie 16 fév. 2018 136,310 USD
LU1008513852 Mirabaud Eq Gbl Foc A Cap Usd Mirabaud & Cie 16 fév. 2018 126,690 USD
LU0334003224 Mirabaud- Eq Pan Eur A Cap Mirabaud & Cie 16 fév. 2018 141,050 EUR
FR0010236760 Optigest Europe Optigestion SA 15 oct. 2025 186,220 EUR
FR0010106450 Optigest Monde C Optigestion SA 15 oct. 2025 405,880 EUR
FR0010915181 Palatine Eurp Su Empl Palatine Palatine AM 15 oct. 2025 331,930 EUR
LU0130732364 Pictet Family P EUR Pictet Funds (Europe) 17 oct. 2025 156,650 EUR
LU1279334210 Pictet Robotics P Eur Pictet Funds (Europe) 16 oct. 2025 394,370 EUR
LU1055715269 Pictet TR Div Alpha Hi Chf C. Pictet Funds (Europe) 16 oct. 2025 142,470 CHF
LU1055715426 Pictet TR Div Alpha Hi Jpy C. Pictet Funds (Europe) 16 oct. 2025 16997,000 JPY
LU1055714882 Pictet TR Div Alpha Hi Usd C. Pictet Funds (Europe) 16 oct. 2025 213,870 USD
LU1055715343 Pictet TR Div Alpha Hp Chf C. Pictet Funds (Europe) 16 oct. 2025 134,400 CHF
LU1055714965 Pictet TR Div Alpha Hp Usd C. Pictet Funds (Europe) 16 oct. 2025 201,750 USD
LU1055715772 Pictet TR Div Alpha J Eur C. Pictet Funds (Europe) 16 oct. 2025 133,540 EUR
LU1055715855 Pictet TR-Div Alpha Hj Usd C. Pictet Funds (Europe) 16 oct. 2025 219,240 USD
LU1055715939 Pictet TR-Div. Alpha Hj Chf C. Pictet Funds (Europe) 16 oct. 2025 145,960 CHF
LU1055714379 Pictet TR-Diversified Alpha-I Pictet Funds (Europe) 16 oct. 2025 130,410 EUR
LU1055714452 Pictet TR-Diversified Alpha-P Pictet Funds (Europe) 16 oct. 2025 122,950 EUR
LU0155303323 Pictet-Asian Equit.ExJapanPUSD Pictet Funds (Europe) 17 oct. 2025 359,510 USD
LU0090689299 Pictet-Biotech-P USD Pictet Funds (Europe) 17 oct. 2025 1148,220 USD
LU0168449691 Pictet-China Equities-P USD Pictet Funds (Europe) 17 oct. 2025 583,950 USD
LU0280430660 Pictet-Clean Ener.Trans.-P USD Pictet Funds (Europe) 17 oct. 2025 205,150 USD
LU0340554913 Pictet-Digital-P EUR Pictet Funds (Europe) 17 oct. 2025 617,910 EUR
LU0255798109 Pictet-Em Lcl Ccy Dbt-P USD Pictet Funds (Europe) 16 oct. 2025 188,820 USD
LU0130729220 Pictet-Emerging Markets-P USD Pictet Funds (Europe) 17 oct. 2025 709,860 USD
LU0128490280 Pictet-EUR Bonds-P Pictet Funds (Europe) 16 oct. 2025 520,590 EUR
LU0128467544 Pictet-Global Emerg.Debt-P USD Pictet Funds (Europe) 06 oct. 2025 448,610 USD
LU0188501257 Pictet-Health-P USD Pictet Funds (Europe) 17 oct. 2025 336,470 USD
LU0070964530 Pictet-Indian Equities-P USD Pictet Funds (Europe) 17 oct. 2025 915,980 USD
LU0176900511 Pictet-JapaneseEq.Select.-PJPY Pictet Funds (Europe) 17 oct. 2025 32486,950 JPY
LU0217139020 Pictet-Premium Brands-P EUR Pictet Funds (Europe) 17 oct. 2025 284,130 EUR
LU0144509717 Pictet-Quest Europe Sust.Eq. Pictet Funds (Europe) 17 oct. 2025 442,730 EUR
LU0338483075 Pictet-Russian Equities-P EUR Pictet Funds (Europe) 11 mars 2024 - EUR
LU0256846139 Pictet-Security-P USD Pictet Funds (Europe) 17 oct. 2025 404,490 USD
LU0104884860 Pictet-Water-P EUR Pictet Funds (Europe) 17 oct. 2025 516,240 EUR
FR0010286021 Sextant Autour Du Monde A Amiral Gestion 16 avr. 2025 243,310 EUR
FR0011050863 Sextant Europe A Amiral Gestion 16 oct. 2025 217,660 EUR
FR0010286013 Sextant Grand Large A Amiral Gestion 16 oct. 2025 496,360 EUR
FR0010286005 Sextant Pea A Amiral Gestion 16 oct. 2025 1152,140 EUR
FR0010547869 Sextant Pme A Amiral Gestion 16 oct. 2025 299,870 EUR
FR0000297632 Sirius Cybèle Asset Management 16 oct. 2025 73,390 EUR
FR0010734442 SLGP Green Bonds Investments P SwissLife Gestion Privée 16 oct. 2025 49,230 EUR
FR0010734467 SLGP Green Bonds Investments R SwissLife Gestion Privée 16 oct. 2025 34,890 EUR
FR0010363648 SLGP Income Euro Selection P SwissLife Gestion Privée 16 oct. 2025 175,190 EUR
FR0007386313 SLGP Short Bonds part P SwissLife Gestion Privée 08 fév. 2023 75,250 EUR
FR0010734046 SLGP ValEuro Select R SwissLife Gestion Privée 16 oct. 2025 49,850 EUR
LU0316493666 Templeton Asian Growth Franklin Templeton Investments 25 nov. 2020 36,670 EUR
LU0592650245 Templeton Asian Sm Cies N Eur Franklin Templeton Investments 25 nov. 2020 19,880 EUR
LU0188151178 Templeton China USD Franklin Templeton Investments 25 nov. 2020 38,290 USD