FR0010546911 | Tocqueville Ulysse D | Actions Zone Euro Moyennes Cap. | Tocqueville Finance | 7,20 % | 47,06 % | 17,32 % | 42,12 % | | |
FR0010546937 | Tocqueville Dividende D | Actions Europe Rendement | Tocqueville Finance | 6,73 % | 27,79 % | -7,01 % | 6,40 % | | |
LU2147879543 | Tikehau International Cross Assets R EUR Acc | Allocation EUR Flexible - International | Tikehau Investment Management | 2,06 % | 6,12 % | 9,83 % | 12,55 % | | |
FR0012127389 | Tikehau Equity Selection R Acc EUR | Actions International Gdes Cap. Mixte | Tikehau Investment Management | 9,93 % | 34,30 % | 45,74 % | 70,36 % | | |
FR0013505450 | Tikehau 2027 R Acc EUR | Obligations à échéance | Tikehau Investment Management | 1,87 % | nc | nc | nc | | |
LU0294219869 | Templeton Global Bond Fund A(acc)EUR-H1 | Obligations Internationales Flexibles | Franklin Templeton International Services S.à r.l. | -2,59 % | -1,50 % | -11,06 % | -6,50 % | | |
LU0229940001 | Templeton Asian Growth Fund A(acc)EUR | Actions Asie hors Japon | Franklin Templeton International Services S.à r.l. | 6,25 % | 42,48 % | 30,18 % | 72,89 % | | |
FR0007062567 | Talents | Actions International Gdes Cap. Croissance | AXA Investment Managers Paris | 8,25 % | 36,42 % | 37,92 % | 63,42 % | | |
FR0011169341 | Sycomore Sélection Responsable R | Actions Zone Euro Flex Cap | Sycomore Asset Management | 5,60 % | 35,13 % | 11,34 % | 31,52 % | | |
FR0010738120 | Sycomore Partners P | Allocation EUR Flexible | Sycomore Asset Management | 6,71 % | 22,23 % | -2,57 % | 0,65 % | | |
FR0010363366 | Sycomore L/S Opportunities R | Alt - Long/Short Actions - Europe | Sycomore Asset Management | 2,78 % | 24,56 % | 9,06 % | 19,22 % | | |
FR0010547869 | Sextant Pme | Actions Zone Euro Petites Cap. | Amiral Gestion | 16,59 % | 87,50 % | 36,92 % | 94,30 % | | |
FR0010286013 | Sextant Grand Large A | Allocation EUR Flexible - International | Amiral Gestion | 3,56 % | 12,88 % | 2,41 % | 15,10 % | | |
LU0302446645 | Schroder International Selection Fund Global Climate Change Equity A Accumulation EUR | Actions Secteur Ecologie | Schroder Investment Management (Europe) S.A. | 9,91 % | 70,40 % | 81,80 % | 121,50 % |  | |
LU0177222121 | Schroder International Selection Fund Emerging Markets Debt Absolute Return B Acc EUR Hedged | Obligations Marchés Emergents | Schroder Investment Management (Europe) S.A. | -4,95 % | 7,98 % | -9,40 % | -6,54 % | | |
FR0011034818 | Schelcher Prince Opportunités Européennes ESG P | Obligations EUR Diversifiées | Schelcher Prince Gestion | 1,99 % | 11,98 % | 3,69 % | 16,11 % | | |
FR0011198332 | Schelcher Prince Obligations Court Terme ESG P | Obligations EUR Très Court Terme | Schelcher Prince Gestion | 0,26 % | 2,05 % | 1,23 % | 1,00 % | | |
FR0010707513 | Schelcher Prince Obligation Moyen Terme ESG P | Obligations EUR Flexibles | Schelcher Prince Gestion | 1,02 % | 7,72 % | 4,26 % | 8,10 % | | |
FR0010560037 | Schelcher Prince Haut Rendement P | Obligations EUR Haut Rendement | Schelcher Prince Gestion | 2,74 % | 18,28 % | 9,63 % | 27,93 % | | |
FR0011167410 | Schelcher Prince Convertibles Mid Cap ESG Euro P | Convertibles Europe | Schelcher Prince Gestion | 4,05 % | 27,60 % | 9,38 % | 36,79 % |  | |
FR0011167402 | Schelcher Prince Convertibles Global World P | Convertibles International Couvertes en EUR | Schelcher Prince Gestion | 0,99 % | 32,84 % | 24,36 % | 33,17 % | | |
FR0010771055 | Schelcher Prince Convertibles ESG P | Convertibles Europe | Schelcher Prince Gestion | 0,15 % | 19,51 % | 3,19 % | 11,81 % | | |
FR0013408432 | Schelcher Ivo Global Yield 2024 P | Obligations à échéance | Schelcher Prince Gestion | 2,06 % | 22,14 % | nc | nc | | |
FR0000987703 | Schelcher Croissance P | Allocation EUR Modérée | Schelcher Prince Gestion | 3,81 % | 27,66 % | 13,98 % | 16,65 % | | |
LU1112180481 | SSGA Luxembourg SICAV - State Street Emerging Asia ESG Screened Equity Fund P EUR | Actions Asie hors Japon | State Street Global Advisors Funds Management Limited | 12,36 % | 37,72 % | 17,60 % | 66,63 % | | |
QS0002005346 | SCPI RIVOLI AVENIR PATRIMOINE | IMMOBILIER - DIRECT AUTRES | AMUNDI IMMOBILIER | nc | 4,35 % | 15,75 % | 26,52 % | | |
QS0002005324 | SCPI PRIMOVIE | IMMOBILIER - DIRECT AUTRES | PRIMONIAL REIM | nc | 3,56 % | 11,28 % | 27,05 % | | |
QS0002005285 | SCPI PRIMOPIERRE | IMMOBILIER - DIRECT AUTRES | PRIMONIAL REIM | nc | 4,51 % | 12,94 % | 28,67 % | | |
QS0002006342 | SCPI PRIMOFAMILY | IMMOBILIER - DIRECT AUTRES | PRIMONIAL REIM | nc | 4,37 % | nc | nc | | |
QS0002005708 | SCPI PATRIMMO CROISSANCE | IMMOBILIER - DIRECT AUTRES | PRIMONIAL REIM | nc | 4,99 % | 15,75 % | 27,99 % | | |
QS0002005299 | SCPI PATRIMMO COMMERCE | IMMOBILIER - DIRECT AUTRES | PRIMONIAL REIM | nc | 2,73 % | 10,75 % | 22,99 % | | |
QS0002005338 | SCPI LAFFITTE PIERRE | IMMOBILIER - DIRECT AUTRES | AEW CILOGER | nc | 5,13 % | 14,48 % | 28,43 % | | |
QS0002006011 | SCPI IMMORENTE | IMMOBILIER - DIRECT AUTRES | SOFIDY | nc | 3,39 % | 13,61 % | 23,59 % | | |
QS0002006003 | SCPI EFIMMO | IMMOBILIER - DIRECT AUTRES | SOFIDY | nc | 3,71 % | 15,40 % | 23,87 % | | |
FR0013526100 | SCI SILVER AVENIR | IMMOBILIER - DIRECT AUTRES | FEDERAL FINANCE GESTION | nc | nc | nc | nc | | |
QS0002005277 | SCI Primonial Capimmo | IMMOBILIER - DIRECT AUTRES | PRIMONIAL REIM | nc | 2,56 % | 11,71 % | 21,13 % | | |
FR0014002KE1 | SC NOVAXIA R | IMMOBILIER - DIRECT AUTRES | NOVAXIA INVESTISSEMENT | nc | nc | nc | nc | | |
FR0000295230 | Renaissance Europe C | Actions Europe Gdes Cap. Croissance | Comgest SA | 6,96 % | 29,32 % | 52,61 % | 73,71 % |  | |
FR0011261197 | R-co Valor F EUR | Allocation EUR Flexible - International | Rothschild & Co Asset Management Europe | 10,48 % | 36,29 % | 34,58 % | 68,91 % |  | |
FR0013367265 | R-co Valor Balanced C EUR | Allocation EUR Flexible - International | Rothschild & Co Asset Management Europe | 5,42 % | 23,36 % | nc | nc | | |
FR0007387071 | R-co Midcap France | Actions France Petites & Moy. Cap. | Rothschild & Co Asset Management Europe | 10,82 % | 57,95 % | -4,95 % | 19,68 % | | |
FR0011276617 | R-co 4Change Moderate Allocation F EUR | Allocation EUR Prudente | Rothschild & Co Asset Management Europe | 1,63 % | 10,61 % | -1,84 % | 5,30 % | | |
FR0010537423 | R Club F | Allocation EUR Flexible | Rothschild & Co Asset Management Europe | 9,34 % | 30,16 % | 0,71 % | 18,51 % | | |
LU0104884860 | Pictet-Water P EUR | Actions Secteur Eau | Pictet Asset Management (Europe) SA | 11,72 % | 34,85 % | 51,86 % | 69,76 % | | |
LU0270905242 | Pictet-Security R EUR | Actions International Flex-Cap. | Pictet Asset Management (Europe) SA | 10,35 % | 38,37 % | 58,39 % | 82,78 % | | |
LU0366534344 | Pictet-Nutrition P EUR | Actions Secteur Agriculture | Pictet Asset Management (Europe) SA | 8,78 % | 39,45 % | 40,84 % | 60,96 % | | |
LU0340554913 | Pictet-Digital P EUR | Actions Secteur Technologies | Pictet Asset Management (Europe) SA | 12,19 % | 47,46 % | 70,59 % | 134,97 % | | |
LU0280435388 | Pictet-Clean Energy P EUR | Actions Secteur Energies Alternatives | Pictet Asset Management (Europe) SA | 6,47 % | 66,53 % | 78,20 % | 111,99 % | | |
LU0190161025 | Pictet-Biotech HP EUR | Actions Secteur Biotechnologie | Pictet Asset Management (Europe) SA | -2,98 % | 26,32 % | 30,74 % | 43,22 % | | |
LU1279334210 | Pictet - Robotics P EUR | Actions Secteur Technologies | Pictet Asset Management (Europe) SA | 13,93 % | 67,89 % | 99,59 % | 195,84 % | | |
LU0503631714 | Pictet - Global Environmental Opportunities P EUR | Actions Secteur Ecologie | Pictet Asset Management (Europe) SA | 7,20 % | 44,43 % | 62,96 % | 101,47 % | | |
FR0011540558 | Ouessant P | Allocation EUR Flexible - International | Vivienne Investissement | -0,73 % | 3,24 % | 6,74 % | 21,79 % | | |
FR0010574434 | Oddo BHF Génération CR-EUR | Actions Zone Euro Grandes Cap. | ODDO BHF Asset Management SAS | 9,31 % | 40,00 % | 9,37 % | 35,16 % | | |
FR0000974149 | Oddo BHF Avenir Europe CR-EUR | Actions Europe Moyennes Cap. | ODDO BHF Asset Management SAS | 7,73 % | 38,24 % | 31,43 % | 67,86 % | | |
FR0000989899 | Oddo BHF Avenir CR-EUR | Actions France Petites & Moy. Cap. | ODDO BHF Asset Management SAS | 6,83 % | 37,53 % | 17,62 % | 54,68 % | | |
FR0013260262 | OPCI Sofidy Pierre Europe A | IMMOBILIER - DIRECT EUROPE | Sofidy | nc | 4,56 % | nc | nc | | |
FR0013228715 | OPCI PREIMIUM B | IMMOBILIER - DIRECT AUTRES | Primonial REIM | nc | -4,50 % | 4,28 % | nc | | |
LU1864504425 | ODDO BHF TRUST Exklusiv: ODDO BHF Polaris Balanced CRW-EUR | Allocation EUR Modérée - International | ODDO BHF Asset Management Lux | 4,67 % | 16,71 % | 19,17 % | 29,72 % |  | |
FR0011585520 | Nova Europe ISR A | Actions Europe Petites Cap. | Eiffel Investment Group | 10,75 % | 44,75 % | 31,02 % | 91,38 % | | |
FR0000299356 | Norden SRI | Actions Europe du Nord | Lazard Frères Gestion | 11,85 % | 47,07 % | 28,50 % | 36,55 % | | |
LU0227384020 | Nordea 1 - Stable Return Fund BP EUR | Allocation EUR Modérée - International | Nordea Investment Funds SA | 3,94 % | 6,19 % | 8,67 % | 5,68 % | | |
LU0064675639 | Nordea 1 - Nordic Equity Fund BP EUR | Actions Europe du Nord | Nordea Investment Funds SA | 15,14 % | 64,19 % | 52,96 % | 72,46 % | | |
LU0445386369 | Nordea 1 - Alpha 10 MA Fund BP EUR | Alt - Global Macro | Nordea Investment Funds SA | 1,90 % | 4,52 % | 11,94 % | 19,31 % | | |
FR0010298596 | Moneta Multi Caps C | Actions France Grandes Cap. | Moneta Asset Management | 9,66 % | 53,04 % | 25,45 % | 58,72 % | | |
FR0010400762 | Moneta Long Short A | Alt - Long/Short Actions - Europe | Moneta Asset Management | 5,89 % | 21,63 % | 7,66 % | 19,27 % | | |
LU1472740767 | Mirova Global Green Bond Fund R/A (EUR) | Obligations International Couvertes en EUR | Natixis Investment Managers International | -2,40 % | 5,45 % | 8,67 % | 6,80 % | | |
LU0914733059 | Mirova Europe Environmental Equity Fund R/A (EUR) | Actions Secteur Ecologie | Natixis Investment Managers International | 4,48 % | 44,69 % | 56,98 % | 72,52 % | | |
LU0489687243 | Mandarine Funds - Mandarine Unique Small & Mid Caps Europe R | Actions Europe Moyennes Cap. | Mandarine Gestion | 8,85 % | 35,79 % | 24,82 % | 49,56 % | | |
FR0000292278 | Magellan C | Actions Marchés Emergents | Comgest SA | 0,68 % | 30,58 % | 12,26 % | 37,76 % | | |
LU1670724373 | M&G (Lux) Optimal Income Fund A EUR Acc | Allocation GBP Prudente | M&G Luxembourg S.A. | 1,63 % | 10,16 % | 6,00 % | 15,29 % | | |
LU1665237704 | M&G (Lux) Global Listed Infrastructure Fund A EUR Acc | Actions Secteur Infrastructures | M&G Luxembourg S.A. | 8,70 % | 20,84 % | 45,40 % | nc | | |
LU1670710075 | M&G (Lux) Global Dividend Fund A EUR Acc | Actions International Rendement | M&G Luxembourg S.A. | 9,53 % | 42,60 % | 33,52 % | 62,12 % | | |
LU1582988058 | M&G (Lux) Dynamic Allocation Fund A EUR Acc | Allocation EUR Flexible - International | M&G Luxembourg S.A. | 0,91 % | 20,15 % | 0,94 % | 18,11 % | | |
LU1582982283 | M&G (Lux) Conservative Allocation Fund A EUR Acc | Allocation EUR Prudente - International | M&G Luxembourg S.A. | -0,87 % | 10,46 % | -2,95 % | 9,93 % | | |
OP1210807758 | Lfp Multimmo (part Philosophale) | IMMOBILIER - DIRECT AUTRES | LA FRANCAISE AM | nc | 2,72 % | 8,88 % | 16,01 % | | |
FR0000004012 | Lazard Japon A | Actions Japon Grandes Cap. | Lazard Frères Gestion | 9,48 % | 30,27 % | 12,22 % | 30,52 % | | |
FR0010172437 | LMdG Opportunités Monde 50 (EUR) R | Allocation EUR Flexible - International | UBS La Maison de Gestion | 2,73 % | 18,20 % | 10,38 % | 17,46 % | | |
FR0007082060 | LMdG Familles & Entrepreneurs (EUR) P | Actions France Grandes Cap. | UBS La Maison de Gestion | 12,96 % | 43,96 % | 5,10 % | 24,49 % | | |
FR0010028704 | LMdG Actions Rendement Euro C | Actions Zone Euro Grandes Cap. | UBS La Maison de Gestion | 10,83 % | 30,61 % | -1,29 % | 10,75 % | | |
FR0000980427 | Keren Patrimoine C | Allocation EUR Prudente | Keren Finance | 4,93 % | 23,20 % | 2,47 % | 16,36 % | | |
LU0138821268 | Janus Henderson Horizon Pan European Equity Fund A2 EUR | Actions Europe Gdes Cap. Mixte | Janus Henderson Investors | 10,11 % | 43,12 % | 33,26 % | 45,19 % | | |
GB00B7KYJH09 | Janus Henderson Global Sustainable Equity Fund A Acc EUR | Actions International Flex-Cap. | Janus Henderson Investors | 8,28 % | 42,30 % | 70,53 % | 110,84 % |  | |
LU0095938881 | JPMorgan Investment Funds - Global Macro Opportunities Fund A (acc) - EUR | Alt - Global Macro | JPMorgan Asset Management (Europe) S.à r.l. | 3,38 % | 12,02 % | 8,63 % | 20,07 % | | |
LU0159052710 | JPMorgan Funds - US Technology Fund A (acc) - EUR | Actions Secteur Technologies | JPMorgan Asset Management (Europe) S.à r.l. | 7,42 % | 81,02 % | 166,58 % | 348,87 % |  | |
LU0210526801 | JPMorgan Funds - Greater China Fund A (acc) - USD | Actions Grande Chine | JPMorgan Asset Management (Europe) S.à r.l. | 3,00 % | 69,17 % | 73,57 % | 177,60 % |  | |
LU0880062913 | JPMorgan Funds - Global Healthcare Fund A (acc) - EUR | Actions Secteur Santé | JPMorgan Asset Management (Europe) S.à r.l. | 4,84 % | 20,11 % | 62,35 % | 66,16 % | | |
LU0115139569 | Invesco Funds - Invesco Global Consumer Trends Fund E Accumulation EUR | Actions Secteur Biens Conso. & Services | Invesco Management S.A. | 12,18 % | 86,59 % | 93,92 % | 163,26 % |  | |
FR0010487512 | Haas Epargne Patrimoine C | Allocation EUR Prudente | Tailor AM | 2,02 % | 9,42 % | -1,95 % | 5,58 % | | |
LU0164881194 | HSBC Global Investment Funds - Indian Equity AC | Actions Inde | HSBC Investment Funds (Luxembourg) S.A. | 1,22 % | 61,49 % | 3,37 % | 48,95 % | | |
LU0196696453 | HSBC Global Investment Funds - Brazil Equity AC | Actions Brésil | HSBC Investment Funds (Luxembourg) S.A. | -11,75 % | 22,89 % | -24,73 % | 11,04 % | | |
FR0000427809 | HSBC Actions Europe AC | Actions Europe Gdes Cap. "Value" | HSBC Global Asset Management (France) | 12,91 % | 40,03 % | 10,12 % | 24,89 % | | |
FR0007495049 | HMG Rendement D | Allocation EUR Modérée | HMG Finance | 14,22 % | 26,67 % | -1,82 % | 19,20 % | | |
FR0010923383 | H2O Multistrategies FCP RC | Alt - Global Macro | H2O AM Europe | 18,19 % | 40,38 % | -44,34 % | -5,76 % | | |
FR0013393329 | H2O Multibonds FCP SREUR C | Alt - Global Macro | H2O AM Europe | 4,43 % | 13,37 % | nc | nc | | |
FR0013393295 | H2O Moderato FCP EUR SRC | Alt - Global Macro | H2O AM Europe | 6,72 % | 33,17 % | nc | nc | | |
FR0013393188 | H2O Adagio FCP EUR SR C | Alt - Global Macro | H2O AM LLP | 1,38 % | 3,15 % | nc | nc | | |
LU0070302665 | Franklin Templeton Investment Funds - Franklin Mutual U.S. Value Fund A(acc)USD | Actions Etats-Unis Gdes Cap. "Value" | Franklin Templeton International Services S.à r.l. | 14,52 % | 45,11 % | 19,38 % | 40,59 % | | |
LU0069449576 | Fidelity Funds - World Fund A-DIST-EUR | Actions International Gdes Cap. Mixte | Fidelity (FIL Inv Mgmt (Lux) S.A.) | 11,85 % | 42,13 % | 50,87 % | 84,98 % | | |
LU1261432659 | Fidelity Funds - World Fund A-Acc-EUR | Actions International Gdes Cap. Mixte | Fidelity (FIL Inv Mgmt (Lux) S.A.) | 11,84 % | 42,14 % | 50,93 % | 85,02 % | | |
LU1892829828 | Fidelity Funds - Sustainable Water & Waste Fund A Acc EUR | Actions Secteur Eau | Fidelity (FIL Inv Mgmt (Lux) S.A.) | 11,06 % | 35,57 % | nc | nc | | |
LU0099574567 | Fidelity Funds - Global Technology Fund A-DIST-EUR | Actions Secteur Technologies | Fidelity (FIL Inv Mgmt (Lux) S.A.) | 17,66 % | 64,58 % | 131,16 % | 237,03 % |  | |
LU0114720955 | Fidelity Funds - Global Health Care Fund A-DIST-EUR | Actions Secteur Santé | Fidelity (FIL Inv Mgmt (Lux) S.A.) | 8,58 % | 15,60 % | 56,83 % | 58,56 % | | |
LU0267388220 | Fidelity Funds - Euro Short Term Bond Fund A-Acc-EUR | Obligations EUR Diversifiées Court Terme | Fidelity (FIL Inv Mgmt (Lux) S.A.) | -0,14 % | 1,94 % | 2,20 % | 3,59 % | | |
LU0069450822 | Fidelity Funds - America Fund A-DIST-EUR | Actions Etats-Unis Gdes Cap. "Value" | Fidelity (FIL Inv Mgmt (Lux) S.A.) | 16,80 % | 34,37 % | 29,64 % | 38,62 % | | |
FR0000008674 | Fidelity Europe A | Actions Europe Gdes Cap. Mixte | FIL Gestion | 10,26 % | 37,57 % | 35,64 % | 54,02 % |  | |
FR0000970253 | Federal opportunite tonique | Allocation EUR Agressive - International | Federal Finance Gestion | 6,56 % | 24,97 % | 8,21 % | 18,98 % | | |
FR0010256396 | Federal Transition Territoires P | Actions Europe Petites Cap. | Federal Finance Gestion | 11,06 % | 62,31 % | 20,49 % | 69,21 % | | |
FR0013373214 | Federal Transition Oxygène P | Actions International Gdes Cap. Mixte | Federal Finance Gestion | 10,07 % | 40,01 % | nc | nc | | |
FR0013440153 | Federal Support Monétaire ESG P | Monétaires EUR | Federal Finance Gestion | -0,17 % | -0,42 % | nc | nc | | |
FR0013217247 | Federal Stratégies Actives P | Allocation EUR Flexible - International | Federal Finance Gestion | 7,69 % | 29,96 % | -8,91 % | nc | | |
FR0010636407 | Federal Optimal Plus ESG P | Actions Zone Euro Grandes Cap. | Federal Finance Gestion | 11,79 % | 37,93 % | 19,43 % | 32,79 % | | |
FR0000988594 | Federal Opportunite Modere | Allocation EUR Prudente | Federal Finance Gestion | 1,69 % | 10,36 % | 4,14 % | 6,30 % | | |
FR0010292920 | Federal Opportunite Equilibre | Allocation EUR Modérée | Federal Finance Gestion | 3,87 % | 17,50 % | 7,31 % | 12,18 % | | |
FR0011070358 | Federal Multi Patrimoine P | Allocation EUR Flexible - International | Federal Finance Gestion | -0,28 % | 2,09 % | -8,63 % | -5,61 % | | |
FR0000978868 | Federal Multi Or et Matières Premières | Actions Secteur Ressources Naturelles | Federal Finance Gestion | 9,54 % | 37,18 % | 15,89 % | 28,98 % | | |
FR0013180122 | Federal Multi L/S | Alt - Long/Short Actions - International | Federal Finance Gestion | 1,80 % | 7,77 % | 2,67 % | nc | | |
FR0010108662 | Federal Multi Actions Europe | Actions Europe Flex Cap | Federal Finance Gestion | 8,12 % | 37,56 % | 25,57 % | 42,33 % | | |
FR0000988057 | Federal Indiciel US P | Actions Etats-Unis Gdes Cap. "Value" | Federal Finance Gestion | 12,46 % | 33,73 % | 63,79 % | 95,90 % |  | |
FR0000987968 | Federal Indiciel Japon P | Actions Japon Grandes Cap. | Federal Finance Gestion | 5,44 % | 37,64 % | 41,39 % | 71,96 % | | |
FR0000987950 | Federal Indiciel Apal P | Actions Secteur Autres | Federal Finance Gestion | 5,64 % | 37,42 % | 23,14 % | 55,58 % | | |
FR0007394846 | Federal Global Green Bonds P | Obligations International | Federal Finance Gestion | -1,33 % | -2,95 % | 10,99 % | 2,12 % | | |
FR0013215969 | Federal Ethi-Patrimoine P | Allocation EUR Prudente | Federal Finance Gestion | 1,75 % | 9,62 % | nc | nc | | |
SUR000001718 | FONDS EN EUROS | | Suravenir | nc | 0,70 % | 3,54 % | 7,31 % | | |
FR00140011H3 | FCPR BREIZH MA BRO C | | | nc | nc | nc | nc | | |
FR0010402990 | Exane Pleiade Performance P | Alt - Market Neutral - Actions | Exane Asset Management | 2,44 % | 22,47 % | 22,85 % | 21,84 % | | |
FR0007051040 | Eurose C | Allocation EUR Prudente | DNCA Finance | 4,02 % | 12,70 % | 0,80 % | 9,51 % | | |
FR0007061882 | Erasmus Mid Cap Euro R | Actions Zone Euro Moyennes Cap. | Erasmus Gestion | 8,97 % | 44,81 % | 19,40 % | 51,13 % | | |
FR0000400434 | Elan France Bear | Autres | Rothschild & Co Asset Management Europe | -11,74 % | -33,43 % | -35,40 % | -52,07 % | | |
LU1103303167 | Edmond de Rothschild Fund - US Value A EUR | Actions Etats-Unis Gdes Cap. "Value" | Edmond de Rothschild Asset Management (Lux) | 23,67 % | 46,49 % | 14,03 % | 32,47 % | | |
LU0992632538 | Edmond de Rothschild Fund - Income Europe A EUR | Allocation EUR Prudente | Edmond de Rothschild Asset Management (Lux) | 2,01 % | 9,42 % | 0,30 % | 9,78 % | | |
LU1160356009 | Edmond de Rothschild Fund - Healthcare A EUR | Actions Secteur Santé | Edmond de Rothschild Asset Management (Lux) | 6,30 % | 10,19 % | 47,26 % | 36,36 % | | |
LU1160363633 | Edmond de Rothschild Fund - Euro High Yield A EUR | Obligations EUR Haut Rendement | Edmond de Rothschild Asset Management (Lux) | 1,96 % | 15,43 % | 6,88 % | 17,36 % | | |
LU1160358633 | Edmond de Rothschild Fund - Equity Opportunities A EUR | Actions International Gdes Cap. "Value" | Edmond de Rothschild Asset Management (Lux) | 12,37 % | 40,68 % | 0,93 % | 21,93 % | | |
LU1730854608 | Edmond de Rothschild Fund - Equity Euro Core A EUR | Actions Zone Euro Flex Cap | Edmond de Rothschild Asset Management (Lux) | 7,03 % | 21,78 % | -3,23 % | 21,21 % | | |
LU1160365091 | Edmond de Rothschild Fund - China A EUR | Actions Chine | Edmond de Rothschild Asset Management (Lux) | 0,93 % | 32,45 % | 30,11 % | 86,11 % | | |
LU1244893696 | Edmond de Rothschild Fund - Big Data A EUR | Actions Secteur Technologies | Edmond de Rothschild Asset Management (Lux) | 12,32 % | 50,61 % | 56,50 % | 110,72 % | | |
FR0010588343 | EdR SICAV - Tricolore Rendement A EUR | Actions France Grandes Cap. | Edmond de Rothschild Asset Management (France) | 9,46 % | 31,50 % | -4,68 % | 13,45 % | | |
FR0010505578 | EdR SICAV - Euro Sustainable Equity A EUR | Actions Zone Euro Grandes Cap. | Edmond de Rothschild Asset Management (France) | 7,07 % | 33,31 % | 24,06 % | 51,45 % | | |
FR0010214213 | Ecofi Trajectoires Durables C | Actions Zone Euro Flex Cap | Ecofi Investissements | 4,27 % | 49,08 % | 52,71 % | 106,97 % |  | |
FR0011360700 | Echiquier Value Euro A | Actions Zone Euro Flex Cap | La Financière de l'Echiquier | 16,44 % | 48,93 % | -15,36 % | 14,46 % | | |
FR0010434019 | Echiquier Patrimoine A | Allocation EUR Prudente | La Financière de l'Echiquier | 0,76 % | 9,35 % | -6,44 % | -0,92 % | | |
FR0010321828 | Echiquier Major SRI Growth Europe A | Actions Europe Gdes Cap. Croissance | La Financière de l'Echiquier | 5,84 % | 25,56 % | 44,30 % | 58,93 % | | |
FR0010611293 | Echiquier Arty SRI A | Allocation EUR Prudente | La Financière de l'Echiquier | 2,72 % | 14,89 % | 6,68 % | 17,12 % | | |
FR0010321802 | Echiquier Agressor A | Actions Europe Flex Cap | La Financière de l'Echiquier | 8,49 % | 37,23 % | -16,09 % | -6,28 % | | |
FR0010158048 | Dorval Manageurs R C | Actions France Grandes Cap. | Dorval Asset Management | 9,67 % | 48,50 % | -4,87 % | 31,51 % | | |
FR0010557967 | Dorval Convictions RC | Allocation EUR Flexible | Dorval Asset Management | 6,83 % | 22,79 % | -8,37 % | 11,23 % | | |
LU0146864797 | DWS Russia LC EUR Acc | Actions Russie | DWS Investment S.A. | 7,51 % | 24,74 % | 49,85 % | 79,96 % | | |
BE0058652646 | DPAM INVEST B - Equities World Sustainable B Cap | Actions International Gdes Cap. Mixte | Degroof Petercam Asset Management S.A. | 6,38 % | 32,90 % | 66,02 % | 102,05 % |  | |
BE0947764743 | DPAM INVEST B - Equities Sustainable Food Trends B Cap | Actions Secteur Agriculture | Degroof Petercam Asset Management S.A. | 12,23 % | 38,27 % | 36,00 % | 54,70 % | | |
BE0946564383 | DPAM INVEST B - Equities NewGems Sustainable B Cap | Actions International Gdes Cap. Mixte | Degroof Petercam Asset Management S.A. | 5,62 % | 49,24 % | 95,04 % | 143,62 % |  | |
BE0058185829 | DPAM INVEST B - Equities Europe Small Caps Sustainable B Cap | Actions Europe Petites Cap. | Degroof Petercam Asset Management S.A. | 15,38 % | 52,01 % | 20,75 % | 54,76 % | | |
BE0057451271 | DPAM INVEST B - Equities Europe Dividend B Cap | Actions Europe Rendement | Degroof Petercam Asset Management S.A. | 13,27 % | 37,91 % | -0,15 % | 15,24 % | | |
BE0058182792 | DPAM INVEST B - Equities Euroland B Cap | Actions Zone Euro Grandes Cap. | Degroof Petercam Asset Management S.A. | 8,21 % | 36,59 % | 31,01 % | 68,13 % |  | |
FR0010058008 | DNCA Value Europe C | Actions Europe Gdes Cap. "Value" | DNCA Finance | 11,30 % | 36,25 % | -6,25 % | 5,98 % | | |
LU0309082799 | DNCA Invest Beyond Infrastructure & Transition Class B shares EUR | Actions Secteur Infrastructures | DNCA Finance Luxembourg | 2,10 % | 22,91 % | 6,99 % | 19,11 % | | |
LU1907594748 | DNCA Invest Beyond Alterosa A | Allocation EUR Modérée | DNCA Finance Luxembourg | -1,03 % | 9,07 % | nc | nc | | |
LU1366712518 | DNCA Invest Archer Mid-Cap Europe Class B shares EUR | Actions Europe Moyennes Cap. | DNCA Finance Luxembourg | 10,80 % | 57,42 % | 43,55 % | nc | | |
LU1694789535 | DNCA Invest Alpha Bonds B EUR | Alt - Long/Short Obligations | DNCA Finance Luxembourg | nc | 6,48 % | 0,44 % | nc | | |
FR0007050190 | DNCA Evolutif C | Allocation EUR Flexible | DNCA Finance | 3,97 % | 15,52 % | 4,26 % | 10,80 % | | |
FR0000284689 | Comgest Monde C | Actions International Gdes Cap. Croissance | Comgest SA | 4,56 % | 23,12 % | 50,84 % | 89,60 % | | |
LU1100076550 | Clartan Valeurs C | Allocation EUR Flexible | Clartan Associés | 6,25 % | 19,45 % | 4,01 % | 31,80 % | | |
LU1100077442 | Clartan Patrimoine C | Allocation EUR Prudente | Clartan Associés | 1,36 % | 3,96 % | -1,91 % | 2,57 % | | |
FR0007076930 | Centifolia C | Actions France Grandes Cap. | DNCA Finance | 10,84 % | 31,62 % | -8,51 % | 14,33 % | | |
LU0164455502 | Carmignac Portfolio Green Gold A EUR Acc | Actions Secteur Ecologie | Carmignac Gestion Luxembourg S.A. | 3,36 % | 52,56 % | 2,35 % | 24,93 % | | |
LU0099161993 | Carmignac Portfolio Grande Europe A EUR Acc | Actions Europe Gdes Cap. Croissance | Carmignac Gestion Luxembourg S.A. | 7,56 % | 37,85 % | 50,25 % | 81,36 % | | |
LU0592699093 | Carmignac Portfolio Emerging Patrimoine E EUR Acc | Allocation Marchés Emergents | Carmignac Gestion Luxembourg S.A. | 0,31 % | 28,73 % | 23,76 % | 37,13 % | | |
LU0336083497 | Carmignac Pf Global Bond A EUR Acc | Obligations International | Carmignac Gestion Luxembourg S.A. | -1,25 % | 7,11 % | 6,72 % | 16,75 % | | |
LU1623762843 | Carmignac Pf Credit A EUR Acc | Obligations EUR Flexibles | Carmignac Gestion Luxembourg S.A. | 1,58 % | 23,83 % | 36,56 % | nc |  | |
FR0010135103 | Carmignac Patrimoine A EUR Acc | Allocation EUR Modérée - International | Carmignac Gestion | 1,95 % | 19,04 % | 12,67 % | 18,52 % | | |
FR0010148981 | Carmignac Investissement A EUR Acc | Actions International Gdes Cap. Croissance | Carmignac Gestion | 6,57 % | 49,94 % | 49,78 % | 71,11 % | | |
FR0010149302 | Carmignac Emergents A EUR Acc | Actions Marchés Emergents | Carmignac Gestion | 2,47 % | 67,08 % | 63,07 % | 81,70 % |  | |
FR0013515970 | Carmignac Credit 2025 A EUR Acc | Obligations à échéance | Carmignac Gestion | 1,80 % | nc | nc | nc | | |
LU1434523954 | Candriam Sustainable Equity Emerging Markets C EUR Acc | Actions Marchés Emergents | Candriam Lux | 6,71 % | 54,34 % | 34,16 % | 88,20 % | | |
LU0344046155 | Candriam Equities L Europe Innovation Class C EUR Cap | Actions Europe Gdes Cap. Croissance | Candriam Luxembourg S.C.A. | 8,29 % | 37,15 % | 51,30 % | 75,73 % | | |
LU1819523264 | Candriam Absolute Return Equity Market Neutral C EUR | Alt - Market Neutral - Actions | Candriam Luxembourg S.C.A. | 5,40 % | 16,38 % | 21,02 % | 35,73 % | | |
LU2066958898 | CS Investment Funds 2 - Credit Suisse (Lux) Small and Mid Cap Germany Equity Fund B | Actions Allemagne Petites & Moy. Cap. | Credit Suisse Fund Management S.A. | 7,49 % | 41,79 % | 29,18 % | 78,29 % | | |
FR0010917658 | CPR Silver Age E | Actions Europe Gdes Cap. Croissance | CPR Asset Management | 9,99 % | 24,25 % | 15,47 % | 24,96 % | | |
LU1861294319 | CPR Invest Education Class A EUR Acc | Actions International Petites Cap. | CPR Asset Management | 7,98 % | 32,55 % | nc | nc | | |
LU1902443420 | CPR Invest Climate Action A EUR Acc | Actions Secteur Ecologie | CPR Asset Management | 7,18 % | 32,79 % | nc | nc | | |
LU1530899142 | CPR Invest - Global Disruptive Opportunities Class A EUR Acc | Actions International Flex-Cap. | CPR Asset Management | 0,89 % | 50,99 % | 82,70 % | nc |  | |
FR0010097683 | CPR Croissance Réactive P | Allocation EUR Modérée - International | CPR Asset Management | 2,94 % | 11,20 % | 6,80 % | 14,28 % | | |
FR0010097667 | CPR Croissance Défensive P | Allocation EUR Prudente - International | CPR Asset Management | 1,36 % | 7,26 % | 0,10 % | 0,48 % | | |
FR0010097642 | CPR Croissance Dynamique P | Allocation EUR Agressive - International | CPR Asset Management | 7,65 % | 29,07 % | 24,96 % | 40,44 % | | |
LU0075056555 | BlackRock Global Funds - World Mining Fund A2 | Actions Secteur Ressources Naturelles | BlackRock (Luxembourg) SA | 16,98 % | 93,94 % | 57,67 % | 147,44 % | | |
LU0171305526 | BlackRock Global Funds - World Gold Fund A2 | Actions Secteur Métaux Précieux | BlackRock (Luxembourg) SA | -4,29 % | 27,71 % | 47,03 % | 38,31 % | | |
LU0171289902 | BlackRock Global Funds - Sustainable Energy Fund A2 | Actions Secteur Energies Alternatives | BlackRock (Luxembourg) SA | 9,38 % | 68,71 % | 85,75 % | 113,08 % | | |
LU0347711466 | BNP Paribas Funds Global Environment Classic Capitalisation | Actions Secteur Ecologie | BNP Paribas Asset Management Luxembourg | 10,80 % | 46,61 % | 51,67 % | 76,64 % | | |
LU0406802339 | BNP Paribas Funds Climate Impact Classic Capitalisation | Actions Secteur Ecologie | BNP Paribas Asset Management Luxembourg | 7,61 % | 56,92 % | 64,33 % | 93,71 % | | |
LU1931957093 | BNP Paribas Flexi I Commodities Classic Hedged EUR Capitalisation | Matières Premières - Divers | BNP Paribas Asset Management Luxembourg | 8,57 % | 28,95 % | -12,72 % | 1,88 % | | |
FR0010077461 | BNP Paribas Energie Europe Classic | Actions Secteur Energie | BNP Paribas Asset Management France | 9,44 % | 24,46 % | -12,33 % | 9,92 % | | |
FR0011199371 | Amundi Patrimoine C | Allocation EUR Flexible - International | Amundi Asset Management | 2,87 % | 17,44 % | 10,79 % | 14,77 % | | |
FR0010156604 | Amundi Oblig Internationales EUR-P-C | Obligations Internationales Flexibles | Amundi Asset Management | -0,95 % | 3,50 % | 5,74 % | 7,53 % | | |
LU0272941971 | Amundi Funds - Volatility Euro A EUR (C) | Alt - Volatilité | Amundi Luxembourg S.A. | -4,44 % | -1,02 % | 4,35 % | -16,46 % |  | |
LU0907913460 | Amundi Funds - Emerging Markets Hard Currency Bond A EUR (C) | Obligations Marchés Emergents Dominante EUR | Amundi Luxembourg S.A. | -3,39 % | 13,35 % | 2,11 % | 11,67 % | | |
LU1548497772 | Allianz Global Investors Fund - Allianz Global Artificial Intelligence AT (H2-EUR) | Actions Secteur Technologies | Allianz Global Investors GmbH | 9,00 % | 125,16 % | 129,92 % | nc | | |
LU0179866438 | AXA World Funds - Optimal Income A Capitalisation EUR pf | Allocation EUR Flexible | AXA Funds Management S.A. | 2,93 % | 22,09 % | 8,00 % | 20,44 % | | |
LU1353950568 | AXA World Funds - Global Inflation Short Duration Bonds A Capitalisation USD | Obligations Internationales Indexées sur l'Inflation | AXA Funds Management S.A. | 1,18 % | 4,89 % | 9,35 % | 12,16 % | | |
IE0031069721 | AXA Rosenberg Equity Alpha Trust - AXA Rosenberg Japan Small Cap Alpha Fund B EUR Acc | Actions Japon Petites & Moy. Cap. | AXA Rosenberg Management Ireland Ltd | 6,76 % | 19,79 % | -3,93 % | 23,46 % | | |
IE0031069499 | AXA Rosenberg Equity Alpha Trust - AXA Rosenberg All Country AP Ex-Jpn SmCp Alp Fd B EUR Acc | Actions Asie-Pacifique hors Japon | AXA Rosenberg Management Ireland Ltd | 15,42 % | 55,85 % | 21,80 % | 45,10 % | | |
FR0000447864 | AXA France Opportunités C | Actions France Grandes Cap. | AXA Investment Managers Paris | 9,59 % | 33,62 % | 23,78 % | 47,39 % |  | |
FR0000172041 | AXA Aedificandi AC | Immobilier - Indirect Zone Euro | AXA Reim SGP | 1,37 % | 19,17 % | 12,13 % | 29,16 % | | |
FR0014001JG0 | AUTOFOCUS LOW CARBON | FONDS A CAPITAL PROTEGE | FEDERAL FINANCE GESTION | nc | nc | nc | nc | | |
FR0013523263 | AIS Protect P | Fonds à Capital Protégé | Federal Finance Gestion | 2,86 % | nc | nc | nc | | |
FR0000447609 | AIS Mandarine Opportunités P | Actions France Grandes Cap. | Federal Finance Gestion | 7,65 % | 35,00 % | 14,47 % | 30,73 % | | |
FR0000442949 | AIS Mandarine Entrepreneurs P | Actions France Petites & Moy. Cap. | Federal Finance Gestion | 5,46 % | 38,18 % | 1,32 % | 33,81 % | | |
FR0000994378 | AIS Mandarine Active P | Actions Zone Euro Grandes Cap. | Federal Finance Gestion | 9,13 % | 35,89 % | 33,21 % | 46,81 % | | |