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Sélection rapide :
TNom du fondsVLDev.NotationYTD1A3ADate
FAB FCP I SUST US THEM A AUD ACC46,91AUD100 / 10024,36%5,57%44,46%13/09
FAB FCP I SUST US THEM A CAD ACC42,13CAD100 / 10031,60%8,60%54,55%13/09
FAB FCP I SUST US THEM A EUR ACC23,20EUR100 / 10029,25%12,90%60,33%13/09
FAB FCP I SUST US THEM A EUR ACC H41,56EUR100 / 10022,38%3,72%46,34%13/09
FAB FCP I SUST US THEM A GBP ACC H34,70GBP100 / 10023,42%4,41%42,67%13/09
FAB FCP I SUST US THEM A HKD ACC201,00HKD100 / 10028,86%11,93%60,40%13/09
FAB FCP I SUST US THEM A SGD ACC35,30SGD100 / 10028,91%12,24%60,04%13/09
FAB FCP I SUST US THEM A SGD ACC H33,74SGD100 / 10027,16%10,82%55,35%13/09
FAB FCP I SUST US THEM A USD ACC25,70USD100 / 10028,93%12,00%60,50%13/09
FAB FCP I SUST US THEM B CAD ACC H38,97CAD100 / 10030,67%7,53%49,79%13/09
FAB FCP I SUST US THEM BH AUD ACC H27,42AUD----24/03
FAB FCP I SUST US THEM BH EUR ACC H26,07EUR---6,36%35,29%24/03
FAB FCP I SUST US THEM BH GBP ACC H21,31GBP---13,04%46,64%24/03
FAB FCP I SUST US THEM BH SGD ACC H19,05SGD--19,18%31,91%21/07
FAB FCP I SUST US THEM C EUR ACC22,19EUR100 / 10028,86%12,30%58,16%13/09
FAB FCP I SUST US THEM C EUR ACC H40,21EUR100 / 10022,00%3,29%44,54%13/09
FAB FCP I SUST US THEM C USD ACC24,59USD100 / 10028,54%11,48%58,35%13/09
FAB FCP I SUST US THEM I EUR ACC26,98EUR100 / 10030,02%13,79%64,21%13/09
FAB FCP I SUST US THEM I EUR ACC H44,46EUR100 / 10022,78%4,32%49,40%13/09
FAB FCP I SUST US THEM I SGD ACC41,05SGD100 / 10029,65%13,14%63,88%13/09
FAB FCP I SUST US THEM I USD ACC29,89USD100 / 10029,70%12,92%64,39%13/09
FAB FCP I SUST US THEM S EUR ACC36,13EUR100 / 10030,81%14,77%69,15%13/09
FAB FCP I SUST US THEM S USD ACC40,03USD100 / 10030,47%13,91%69,34%13/09
FAB FCP I SUST US THEM S1 EUR ACC28,36EUR100 / 10030,21%14,03%65,85%13/09
FAB FCP I SUST US THEM S1 JPY ACC H298,00JPY100 / 10029,86%13,96%47,39%13/09
383 produits
 
lundi 16 septembre 2019
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