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Sélection rapide :
TNom du fondsVLDev.NotationYTD1A3ADate
FAB FCP I American Inc A EUR Inc7,58EUR69 / 1001,74%8,60%-3,44%22/01
FAB FCP I American Inc A USD Inc8,41USD69 / 1001,92%8,60%-3,88%22/01
FAB FCP I American Inc A2 EUR Acc28,27EUR69 / 1002,09%14,31%12,41%22/01
FAB FCP I American Inc A2 EUR Acc H20,06EUR69 / 1000,80%8,43%7,79%22/01
FAB FCP I American Inc A2 SGD Acc42,33SGD69 / 1002,36%14,44%12,21%22/01
FAB FCP I American Inc A2 SGD Acc H21,47SGD69 / 1001,95%14,59%16,07%22/01
FAB FCP I American Inc A2 USD Acc31,37USD69 / 1002,26%14,32%11,82%22/01
FAB FCP I American Inc AK EUR Inc12,89EUR69 / 1002,14%8,50%-3,45%22/01
FAB FCP I American Inc AK EUR Inc H14,13EUR69 / 1000,78%5,92%-0,63%22/01
FAB FCP I American Inc AK USD Inc14,30USD69 / 1002,25%14,36%9,10%22/01
FAB FCP I American Inc AT AUD Inc H14,33AUD69 / 100-0,26%3,97%-13,39%22/01
FAB FCP I American Inc AT CAD Inc H14,10CAD69 / 1001,86%10,79%-1,99%22/01
FAB FCP I American Inc AT EUR Inc7,60EUR69 / 1002,15%8,57%4,07%22/01
FAB FCP I American Inc AT EUR Inc H14,06EUR69 / 1000,79%5,79%-0,57%22/01
FAB FCP I American Inc AT GBP Inc H14,05GBP69 / 1001,62%10,17%1,82%22/01
FAB FCP I American Inc AT SGD Inc11,37SGD69 / 1002,31%8,68%-3,62%22/01
FAB FCP I American Inc AT SGD Inc H14,12SGD69 / 1001,99%9,62%1,42%22/01
FAB FCP I American Inc AT USD Inc H8,43USD69 / 1002,29%14,28%9,04%22/01
FAB FCP I American Inc B EUR Inc7,58EUR69 / 1001,74%8,60%-3,44%22/01
FAB FCP I American Inc B USD Inc8,41USD69 / 1001,92%8,60%-3,88%22/01
FAB FCP I American Inc BT AUD Inc H14,40AUD69 / 100-0,27%4,10%-13,21%22/01
FAB FCP I American Inc BT CAD Inc H13,98CAD69 / 1001,79%10,76%-1,85%22/01
FAB FCP I American Inc BT EUR Inc H14,06EUR69 / 1000,72%5,79%-0,50%22/01
FAB FCP I American Inc BT GBP Inc H14,14GBP69 / 1001,54%10,21%1,83%22/01
FAB FCP I American Inc C EUR Inc7,58EUR69 / 1001,74%8,60%3,24%22/01
821 produits
 
vendredi 24 janvier 2020
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