CAC40

ACCOR . -2.36%
AIR LIQUI. +0.04%
AIRBUS SE. -2.13%
ARCELORMI. -4.28%
AXA . +0.42%
BNP PARIB. -1.06%
BOUYGUES . +0.48%
BUREAU VE. -0.21%
CAP GEMIN. +0.14%
CARREFOUR. +0.45%
CREDIT AG. -1.12%
DANONE . +2.39%
DASSAULT . +0.93%
EIFFAGE -0.56%
ENGIE +1.02%
ESSILORLU. -2.89%
EUROFINS . -0.29%
EURONEXT +0.80%
HERMES IN. -1.47%
KERING . -2.76%
L'OREAL . -1.56%
LEGRAND -1.23%
LVMH . -4.30%
MICHELIN . -0.94%
ORANGE +2.01%
PERNOD RI. +0.06%
PUBLICIS . +0.99%
RENAULT . -2.23%
SAFRAN . -1.20%
SAINT-GOB. -0.58%
SANOFI . -0.17%
SCHNEIDER. -2.65%
SOCIETE G. -2.35%
STELLANTI. -4.39%
STMICROEL. -1.19%
THALES -0.43%
TOTALENER. +2.74%
UNIBAIL R. -1.03%
VEOLIA EN. -0.93%
VINCI . -0.46%
Dernière mise à jour: 14 mars 2026 22:45

CAC40

-0.91%
7911,530 pts

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Chiffres clés

Matières premières

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Sélection Sicav/FCP

Sicav/FCP

Dernière mise à jour: 14 mars 2026 22:45
ISIN Nom Gestion Date VL
FR0010915181 Palatine Eurp Su Empl Palatine Palatine AM 11 mars 2026 331,940 EUR
LU0188501257 Pictet - Longevity - P USD Pictet Funds (Europe) 13 mars 2026 275,820 USD
LU0130732364 Pictet Family P EUR Pictet Funds (Europe) 13 mars 2026 151,870 EUR
LU1279334210 Pictet Robotics P Eur Pictet Funds (Europe) 12 mars 2026 391,010 EUR
LU1055715269 Pictet TR Div Alpha Hi Chf C. Pictet Funds (Europe) 12 mars 2026 146,620 CHF
LU1055715426 Pictet TR Div Alpha Hi Jpy C. Pictet Funds (Europe) 12 mars 2026 17542,000 JPY
LU1055714882 Pictet TR Div Alpha Hi Usd C. Pictet Funds (Europe) 12 mars 2026 223,720 USD
LU1055715343 Pictet TR Div Alpha Hp Chf C. Pictet Funds (Europe) 12 mars 2026 138,220 CHF
LU1055714965 Pictet TR Div Alpha Hp Usd C. Pictet Funds (Europe) 12 mars 2026 210,590 USD
LU1055715772 Pictet TR Div Alpha J Eur C. Pictet Funds (Europe) 12 mars 2026 138,820 EUR
LU1055715855 Pictet TR-Div Alpha Hj Usd C. Pictet Funds (Europe) 12 mars 2026 229,430 USD
LU1055715939 Pictet TR-Div. Alpha Hj Chf C. Pictet Funds (Europe) 12 mars 2026 150,350 CHF
LU1055714379 Pictet TR-Diversified Alpha-I Pictet Funds (Europe) 12 mars 2026 135,410 EUR
LU1055714452 Pictet TR-Diversified Alpha-P Pictet Funds (Europe) 12 mars 2026 127,400 EUR
LU0155303323 Pictet-Asian Equit.ExJapanPUSD Pictet Funds (Europe) 13 mars 2026 383,130 USD
LU0090689299 Pictet-Biotech-P USD Pictet Funds (Europe) 13 mars 2026 1292,110 USD
LU0168449691 Pictet-China Equities-P USD Pictet Funds (Europe) 13 mars 2026 564,660 USD
LU0280430660 Pictet-Clean Ener.Trans.-P USD Pictet Funds (Europe) 13 mars 2026 217,270 USD
LU0340554913 Pictet-Digital-P EUR Pictet Funds (Europe) 13 mars 2026 561,970 EUR
LU0255798109 Pictet-Em Lcl Ccy Dbt-P USD Pictet Funds (Europe) 12 mars 2026 194,880 USD
LU0130729220 Pictet-Emerging Markets-P USD Pictet Funds (Europe) 13 mars 2026 773,520 USD
LU0128490280 Pictet-EUR Bonds-P Pictet Funds (Europe) 12 mars 2026 513,590 EUR
LU0128467544 Pictet-Global Emerg.Debt-P USD Pictet Funds (Europe) 13 mars 2026 466,030 USD
LU0070964530 Pictet-Indian Equities-P USD Pictet Funds (Europe) 13 mars 2026 788,830 USD
LU0176900511 Pictet-JapaneseEq.Select.-PJPY Pictet Funds (Europe) 13 mars 2026 35826,450 JPY
LU0217139020 Pictet-Premium Brands-P EUR Pictet Funds (Europe) 13 mars 2026 265,030 EUR
LU0144509717 Pictet-Quest Europe Sust.Eq. Pictet Funds (Europe) 13 mars 2026 460,080 EUR
LU0338483075 Pictet-Russian Equities-P EUR Pictet Funds (Europe) 11 mars 2024 - EUR
LU0256846139 Pictet-Security-P USD Pictet Funds (Europe) 13 mars 2026 371,090 USD
LU0104884860 Pictet-Water-P EUR Pictet Funds (Europe) 13 mars 2026 499,660 EUR
FR0010286021 Sextant Autour Du Monde A Amiral Gestion 16 avr. 2025 243,310 EUR
FR0011050863 Sextant Europe A Amiral Gestion 12 mars 2026 200,020 EUR
FR0010286013 Sextant Grand Large A Amiral Gestion 12 mars 2026 484,310 EUR
FR0010286005 Sextant Pea A Amiral Gestion 12 mars 2026 1139,470 EUR
FR0010547869 Sextant Pme A Amiral Gestion 12 mars 2026 299,870 EUR
FR0000297632 Sirius Cybèle Asset Management 12 mars 2026 74,420 EUR
FR0010734442 SLGP Green Bonds Investments P SwissLife Gestion Privée 12 mars 2026 49,470 EUR
FR0010734467 SLGP Green Bonds Investments R SwissLife Gestion Privée 12 mars 2026 35,050 EUR
FR0010363648 SLGP Income Euro Selection P SwissLife Gestion Privée 12 mars 2026 175,990 EUR
FR0007386313 SLGP Short Bonds part P SwissLife Gestion Privée 08 fév. 2023 75,250 EUR
FR0010734046 SLGP ValEuro Select R SwissLife Gestion Privée 12 mars 2026 49,920 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
LU0122613903 Templeton Eastern Europe Franklin Templeton Investments 25 nov. 2020 20,020 EUR
LU0188151921 Templeton Em Mkt N Eur Cap Franklin Templeton Investments 25 nov. 2020 22,120 EUR
LU0122612764 Templeton European Opport Fund Franklin Templeton Investments 25 nov. 2020 10,930 EUR
LU0390138195 Templeton Frontier Markets Franklin Templeton Investments 25 nov. 2020 13,350 EUR
LU0294220107 Templeton Global Bond Franklin Templeton Investments 25 nov. 2020 17,700 EUR
LU0294221253 Templeton Global Total Return Franklin Templeton Investments 25 nov. 2020 15,940 EUR