|
|
Caractéristiques
|
|
Bassin de recherche
|
|
|
|
Notation
|
|
Type d'investisseur
|
|
|
|
|
|
Sélection rapide :
|
|
|
| F | ABN AF Candriam Europ Conv A EUR Acc | 103,38 | EUR | - | -1,04% | 2,44% | - | 25/02 |
| F | ABN AF Candriam Europ Conv F EUR Acc | 104,20 | EUR | - | -0,95% | 3,10% | - | 25/02 |
| F | ABN AF Candriam Europ Conv I EUR Acc | 104,20 | EUR | - | -0,95% | 3,10% | - | 25/02 |
| F | ABN AF Candriam Europ Conv R EUR Acc | 104,25 | EUR | - | -0,97% | 3,04% | - | 25/02 |
| F | ABN AF Candriam Europ Conv X EUR Acc | 104,33 | EUR | - | -0,93% | 3,21% | - | 25/02 |
| F | Afer Convertibles EUR | 103,52 | EUR |  | -1,10% | -1,62% | -4,36% | 25/02 |
| F | AGIF Convertible Bond A EUR Dis | 138,32 | EUR |  | 0,35% | 1,18% | 7,80% | 26/02 |
| F | AGIF Convertible Bond AT EUR Acc | 144,14 | EUR |  | 0,36% | 1,19% | 7,82% | 26/02 |
| F | AGIF Convertible Bond CT EUR Acc | 105,25 | EUR |  | 0,30% | 0,79% | 6,53% | 26/02 |
| F | AGIF Convertible Bond IT EUR Acc | 1 521,86 | EUR |  | 0,45% | 1,79% | 9,77% | 26/02 |
| F | AGIF Convertible Bond P EUR Dis | 1 080,89 | EUR |  | 0,44% | 1,75% | 9,65% | 26/02 |
| F | AGIF Convertible Bond PT EUR Acc | 1 250,57 | EUR |  | 0,44% | 1,75% | 9,64% | 26/02 |
| F | AGIF Convertible Bond RT EUR Acc | 116,06 | EUR |  | 0,43% | 1,70% | 9,44% | 26/02 |
| F | AGIF Convertible Bond WT EUR Acc | 1 261,16 | EUR |  | 0,49% | 2,04% | 10,56% | 26/02 |
| F | Allianz Convertible Bond RT H2 CHF | 106,48 | CHF |  | -1,29% | -2,09% | - | 26/02 |
| F | Amarance C | 1 668,74 | EUR |  | 2,07% | 3,86% | 3,14% | 25/02 |
| F | Amarance R | 1 099,36 | EUR |  | 2,01% | 3,36% | 1,53% | 25/02 |
| F | Amundi Fd Gbl Conv Bd A Eur D | 15,92 | EUR |  | 3,04% | 25,55% | 23,70% | 25/02 |
| F | Amundi Fd Gbl Conv Bd A H Eur C | 16,48 | EUR |  | 3,06% | 25,61% | 23,82% | 25/02 |
| F | Amundi Fd Gbl Conv Bd F2 Eur C | 145,91 | EUR |  | 2,96% | 25,30% | 21,96% | 25/02 |
| F | Amundi Fd Gbl Conv Bd G Eur C | 17,35 | EUR |  | 3,03% | 25,36% | 23,05% | 25/02 |
| F | Amundi Fd Gbl Conv Bd I Eur C | 2 106,61 | EUR |  | 3,18% | 26,33% | 26,56% | 25/02 |
| F | Amundi Fd Gbl Conv Bd I Eur D | 1 405,59 | EUR |  | 3,18% | 26,34% | 26,57% | 25/02 |
| F | Amundi Fd Gbl Conv Bd I H Usd C | 1 066,29 | USD | - | 3,65% | - | - | 25/02 |
| F | ARI Convertible Conserv SRI I-C | 1 046,22 | EUR |  | -1,29% | 1,66% | - | 25/02 |
|
|
|
|
|
|
|
lundi 1 mars 2021
|
|
Espace promotionnel
|
|