CAC40

ACCOR . +2.84%
AIR LIQUI. -0.18%
AIRBUS SE. +4.48%
ARCELORMI. +4.70%
AXA . +0.78%
BNP PARIB. +4.25%
BOUYGUES . -0.19%
BUREAU VE. +1.53%
CAP GEMIN. +1.51%
CARREFOUR. -1.34%
CREDIT AG. +2.83%
DANONE . +0.98%
DASSAULT . +4.14%
EIFFAGE +1.71%
ENGIE -1.10%
ESSILORLU. +4.25%
EUROFINS . +0.87%
EURONEXT -1.49%
HERMES IN. +5.23%
KERING . +3.01%
L'OREAL . +1.96%
LEGRAND +2.44%
LVMH . +3.17%
MICHELIN . +4.28%
ORANGE -5.28%
PERNOD RI. +1.47%
PUBLICIS . -0.17%
RENAULT . +3.40%
SAFRAN . +5.73%
SAINT-GOB. +4.57%
SANOFI . +1.45%
SCHNEIDER. +4.07%
SOCIETE G. +3.98%
STELLANTI. +6.81%
STMICROEL. +6.47%
THALES -1.05%
TOTALENER. -5.25%
UNIBAIL R. +2.30%
VEOLIA EN. +0.88%
VINCI . +2.16%
Dernière mise à jour: 19 avr. 2026 11:45

CAC40

+1.97%
8425,130 pts

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Sélection Sicav/FCP

Sicav/FCP

Dernière mise à jour: 19 avr. 2026 11:45
ISIN Nom Gestion Date VL
FR0010611301 G Patrimoine - 15 avr. 2026 189,270 EUR
FR0007056072 Gallica D DNCA Finance 26 juin 2012 124,300 EUR
FR0010271460 Gan Dynamisme I (c) - 06 oct. 2025 2336,630 EUR
FR0010277780 Gan Dynamisme I (d) - 06 oct. 2025 5112,570 EUR
FR0010271478 Gan Dynamisme N - 06 oct. 2025 1064,080 EUR
FR0010271395 Gan Equilibre I (c) - 06 oct. 2025 1974,050 EUR
FR0007010228 Gan Equilibre I (d) - 06 oct. 2025 3077,530 EUR
FR0010271387 Gan Equilibre N - 06 oct. 2025 920,710 EUR
FR0007020003 Gan Eurostrategie - 16 avr. 2026 3832,840 EUR
FR0007019930 Gan Franceselect - 16 avr. 2026 3558,330 EUR
FR0010287748 Gan Prudence I (c) - 06 oct. 2025 1412,300 EUR
FR0007010244 Gan Prudence I (d) - 06 oct. 2025 2011,200 EUR
FR0010287730 Gan Prudence N (c) - 06 oct. 2025 733,670 EUR
FR0010028233 Gaspal Convertibles - 10 avr. 2024 1403,050 EUR
FR0007082409 Gaspal Court Terme I - 16 avr. 2026 148,460 EUR
FR0007082417 Gaspal Patrimoine - 16 jan. 2026 386,970 EUR
FR0000974685 Gefip Dynamique - 16 avr. 2026 1534,910 EUR
FR0000975252 Gefip Patrimonial - 16 avr. 2026 569,370 EUR
FR0007020201 Generali Ambition Generali Investments France 15 avr. 2026 847,150 EUR
FR0007475959 Generali Audace Europe Generali Investments France 15 avr. 2026 9181,570 EUR
FR0010607689 Generali Dynamisme I Generali Investments France 15 avr. 2025 119,020 EUR
FR0007494786 Generali Dynamisme P Generali Investments France 15 avr. 2026 6577,120 EUR
FR0010607697 Generali Equilibre I Generali Investments France 15 avr. 2026 6124,590 EUR
FR0007494778 Generali Equilibre P Generali Investments France 15 avr. 2026 5160,540 EUR
FR0010694133 Generali Euro Convertibles C Generali Investments France 16 avr. 2026 1958,150 EUR
FR0007064357 Generali Europe Mid-caps Generali Investments France 15 avr. 2026 565,610 EUR
FR0007064324 Generali France Small Caps Generali Investments France 15 avr. 2026 538,220 EUR
FR0010420117 Generali Japon I Generali Investments France 15 avr. 2026 235,590 EUR
FR0007064449 Generali Japon P Generali Investments France 15 avr. 2026 202,370 EUR
FR0007064472 Generali Obligations Intles Generali Investments France 15 avr. 2026 170,230 EUR
FR0010420133 Generali Pacifique I Generali Investments France 15 avr. 2026 454,220 EUR
FR0007064431 Generali Pacifique P Generali Investments France 15 avr. 2026 389,730 EUR
FR0010607713 Generali Prudence I Generali Investments France 15 avr. 2026 4426,650 EUR
FR0007494760 Generali Prudence P Generali Investments France 15 avr. 2026 3904,270 EUR
FR0007057070 Generali Sequence 100 Generali Investments France 15 avr. 2026 103,630 EUR
FR0000990921 Gerer Multifactoriel Euro Palatine AM 15 avr. 2026 22,010 EUR
FR0000982035 Gestion Court Terme (c) - 29 déc. 2022 1750,800 EUR
FR0000982043 Gestion Court Terme (d) - 29 déc. 2022 1051,650 EUR
FR0007046123 Gestion Croissance - 15 avr. 2026 267,860 EUR
FR0007045901 Gestion Equilibre - 15 avr. 2026 261,950 EUR
FR0007057625 Gestys Sante Biotech - 10 avr. 2026 0,460 EUR
FR0007025341 Gf Europe Generali Investments France 15 avr. 2026 564,650 EUR
FR0010113894 Gf Fidelite Generali Investments France 15 avr. 2026 158,440 EUR
FR0010622076 Global Challenges Sicav Neuflize OBC Investissements 10 avr. 2026 23954,070 EUR
LU0963986202 Global Strategic Bond Fund Mirabaud & Cie 16 fév. 2018 113,220 USD
FR0010316224 Gmo Actions - 16 avr. 2026 218,470 EUR
FR0010657890 Goldsphere A Edmond de Rothschild AM 16 avr. 2026 283,140 USD
AU000000GMG2 GOODMAN GROUP - 17 avr. 2026 29,380 AUD
FR0007371489 Gpk Varifonds (c) CM-CIC AM 22 nov. 2023 102,880 EUR
FR0007497359 Gpk Varifonds (d) CM-CIC AM 23 nov. 2023 41,280 EUR