-0.54%
8191,490 pts
| ISIN | Nom | Gestion | Date | VL |
|---|---|---|---|---|
| FR0010560649 | Exane Pleiade Fund 2 P | - | 20 avr. 2026 | 126,050 EUR |
| FR0010317784 | Exane Pleiade Fund 8 I | - | 20 avr. 2026 | 20558,560 EUR |
| FR0010402990 | Exane Pleiade Fund 8 P | - | 20 avr. 2026 | 181,820 EUR |
| US30225T1025 | Extra Space Storage | - | 21 avr. 2026 | 143,640 USD |
| FR0007048327 | Faim Et Developmt Equilibre | Ecofi Investissements | 16 avr. 2026 | 186,580 EUR |
| FR0007052154 | Faim Et Developmt Solidarite | Ecofi Investissements | 16 avr. 2026 | 246,370 EUR |
| FR0010246611 | Famille Et Croissance | Alma Capital & Associés | 26 avr. 2024 | 108,400 EUR |
| FR0007043427 | Fcm Amerique | - | 20 avr. 2026 | 6551,970 EUR |
| FR0010458265 | Fcm Snob Fund I | - | 20 avr. 2026 | 331,010 EUR |
| FR0010378380 | Federal Actions Ethiques I | - | 20 avr. 2026 | 271,080 EUR |
| FR0000442949 | Federal Actions Ethiques P | - | 20 avr. 2026 | 208,610 EUR |
| FR0010396374 | Federal Actions Rendement I | - | 20 avr. 2026 | 206,090 EUR |
| FR0010396382 | Federal Actions Rendement P | - | 20 avr. 2026 | 172,470 EUR |
| FR0010209841 | Federal Conviction France I | - | 20 avr. 2026 | 18766,930 EUR |
| FR0000447609 | Federal Conviction France P | - | 20 avr. 2026 | 89,020 EUR |
| FR0010232587 | Federal Croissance I | - | 20 avr. 2026 | 23410,130 EUR |
| FR0000987703 | Federal Croissance P (c) | - | 20 avr. 2026 | 61,840 EUR |
| FR0010209866 | Federal Euro Dynamique I | - | 20 avr. 2026 | 22502,530 EUR |
| FR0000994378 | Federal Euro Dynamique P | - | 20 avr. 2026 | 55,230 EUR |
| FR0010218263 | Federal Indiciel Apal I | - | 20 avr. 2026 | 449471,030 EUR |
| FR0000987950 | Federal Indiciel Apal P | - | 20 avr. 2026 | 609,200 EUR |
| FR0010218271 | Federal Indiciel Japon I | - | 20 avr. 2026 | 204945,000 EUR |
| FR0000987968 | Federal Indiciel Japon P | - | 20 avr. 2026 | 417,120 EUR |
| FR0010218289 | Federal Indiciel Us I | - | 20 avr. 2026 | 277328,780 EUR |
| FR0000988057 | Federal Indiciel Us P | - | 20 avr. 2026 | 775,090 EUR |
| FR0010108662 | Federal Multi Actions Europe | - | 17 avr. 2026 | 306,570 EUR |
| FR0000978868 | Federal Multi Or & M P | - | 17 avr. 2026 | 105,450 EUR |
| FR0010321893 | Federal Optimal I | - | 20 avr. 2026 | 219,660 EUR |
| FR0010636407 | Federal Optimal P | - | 20 avr. 2026 | 221,830 EUR |
| FR0000988594 | Federal Selection Prudent | - | 17 avr. 2026 | 162,270 EUR |
| FR0000970253 | Federal Selection Tonique | - | 27 mai 2024 | 146,510 EUR |
| FR0007074919 | Federal Support Court Terme | - | 22 juil. 2025 | 13549,610 EUR |
| FR0007045109 | Federal Support Monetaire | - | 21 avr. 2026 | 11615,126 EUR |
| FR0010207548 | Federal Trimestriel I (c) | - | 20 avr. 2026 | 128198,520 EUR |
| FR0007394846 | Federal Trimestriel P | - | 20 avr. 2026 | 16,040 EUR |
| FR0007012182 | Federis Actions | - | 20 avr. 2026 | 10086,140 EUR |
| FR0010193235 | Federis Amerique Actions | - | 18 juil. 2023 | 4514,950 EUR |
| FR0007079330 | Federis Asie Actions | - | 20 avr. 2026 | 5623,110 EUR |
| FR0007021936 | Federis Cac 40 | - | 30 mars 2026 | 441,870 EUR |
| FR0007022967 | Federis Croissance Euro | - | 20 avr. 2026 | 6679,030 EUR |
| FR0010250720 | Federis Epargne Equilibre | - | 19 juin 2023 | 138,180 EUR |
| FR0007078480 | Federis Euro Actions I | - | 20 avr. 2026 | 4269,880 EUR |
| FR0010263806 | Federis Euro Actions R | - | 01 déc. 2025 | 31,510 EUR |
| FR0007022793 | Federis Ex-euro | - | 20 avr. 2026 | 5467,550 EUR |
| FR0007045950 | Federis Isr Euro | - | 20 avr. 2026 | 2472,020 EUR |
| FR0007057674 | Federis North America | - | 20 avr. 2026 | 4600,430 EUR |
| FR0010250183 | Fgf Active Rendement I | - | 31 jan. 2025 | 13,603 EUR |
| FR0007460175 | Fgf Cristallin Euro Equities | - | 20 avr. 2026 | 762,300 EUR |
| FR0007391255 | Fgf Euro Monetaire I | - | 20 avr. 2026 | 291,832 EUR |
| FR0007457114 | Fgf Granit Euro Mts 3-5 | - | 20 avr. 2026 | 461,130 EUR |