+1.97%
8425,130 pts
| ISIN | Nom | Gestion | Date | VL |
|---|---|---|---|---|
| FR0010628644 | Amundi Credit Euro I2 | - | 16 avr. 2026 | 100771,400 EUR |
| FR0010035162 | Amundi Credit Euro Isr I (c) | - | 16 avr. 2026 | 1677,470 EUR |
| FR0010111146 | Amundi Credit Euro Isr I (d) | - | 16 avr. 2026 | 975,530 EUR |
| FR0010749853 | Amundi Credit Euro Isr P | - | 16 avr. 2026 | 128,020 EUR |
| FR0010144568 | Amundi Dynarbitrage Volat I | - | 16 avr. 2026 | 5989,510 EUR |
| FR0010191866 | Amundi Dynarbitrage Volat P | - | 16 avr. 2026 | 110,790 EUR |
| FR0010093682 | Amundi Europe Monde | - | 16 avr. 2026 | 65,290 EUR |
| LU0119096807 | AMUNDI FUNDS BOND GLOBAL | Robeco Institutional AM | - | - USD |
| FR0010187674 | Amundi Inflation Monde I | - | 16 avr. 2026 | 26303,640 EUR |
| FR0010158089 | Amundi Midvaleurs Europe I | - | 23 nov. 2022 | 128008,760 EUR |
| FR0000288185 | Amundi Midvaleurs Europe P | - | 16 avr. 2026 | 1021,620 EUR |
| FR0000983637 | Amundi Multimanagers Oblig P-c | - | 15 avr. 2026 | 62,990 EUR |
| FR0010032573 | Amundi Oblig Inter Eur I | - | 16 avr. 2026 | 690,390 EUR |
| FR0010033217 | Amundi Oblig Inter Usd I | - | 16 avr. 2026 | 811,170 USD |
| FR0010156604 | Amundi Oblig International Eur | Cpr Asset Management | 16 avr. 2026 | 247,540 EUR |
| FR0000299554 | Amundi Oblig Monde (c) | - | 20 sep. 2013 | 477,030 EUR |
| FR0000299646 | Amundi Oblig Monde (d) | - | 20 sep. 2013 | 197,740 EUR |
| FR0007481536 | Amundi Pulsactions | - | 16 avr. 2026 | 66,370 EUR |
| FR0010115295 | Amundi Rendement Plus I | - | 16 avr. 2026 | 18795,360 EUR |
| FR0010314401 | Amundi Select Euro I (c) | - | 15 avr. 2026 | 142853,550 EUR |
| FR0010599373 | Amundi Select Euro P | - | 15 avr. 2026 | 236,980 EUR |
| FR0010157545 | Amundi Select France I | - | 16 avr. 2026 | 154316,980 EUR |
| FR0000944696 | Amundi Select France P (c) | - | 16 avr. 2026 | 91,570 EUR |
| FR0000944712 | Amundi Select France P (d) | - | 16 avr. 2026 | 33,520 EUR |
| FR0010713586 | Amundi Selection Etf Pea | - | 16 avr. 2026 | 6,531 EUR |
| FR0010173237 | Amundi Serenite Pea (c) | - | 16 avr. 2026 | 11999,166 EUR |
| FR0010179671 | Amundi Serenite Pea (d) | - | 16 avr. 2026 | 5481,616 EUR |
| FR0010031708 | Amundi Strategie Court Terme | - | 13 juil. 2012 | 119,870 EUR |
| FR0010031690 | Amundi Strategie Moyen Terme | - | 13 juil. 2012 | 118,600 EUR |
| FR0007038138 | Amundi Treso 3 Mois I | - | 17 avr. 2026 | 1151923,255 EUR |
| FR0010251660 | Amundi Treso Corporate C1 | - | 16 avr. 2026 | 255513,933 EUR |
| FR0007435920 | Amundi Treso Eonia Isr I | - | 16 avr. 2026 | 11899,385 EUR |
| FR0007493549 | Amundi Treso Etat | - | 17 avr. 2026 | 253717,839 EUR |
| FR0007007539 | Amundi Treso Euro Qualite I | - | 16 avr. 2026 | 15534,881 EUR |
| FR0007068994 | Antarius Court Terme | - | 21 fév. 2024 | 60,580 EUR |
| FR0007068960 | Antarius Fonds Actions Plus | - | 02 oct. 2024 | 119,910 EUR |
| FR0007068978 | Antarius Fonds Obligataire | - | 12 fév. 2024 | 96,570 EUR |
| FR0010467001 | Antarius Rotation Sectorielle | - | 25 sep. 2023 | 69,670 EUR |
| FR0010291179 | Anthracite | - | 16 jan. 2024 | 1986,660 EUR |
| FR0007077896 | Antinea | - | 10 avr. 2026 | 20,710 EUR |
| US03748R7474 | Apartment Investment And Manag | - | 26 mai 2022 | 6,220 - |
| US03748R7540 | Apartment Investment And Manag | - | 26 mai 2022 | 6,220 - |
| ZAE000083606 | APEXHI PROPERTIES UNIT B (1 OR | - | 06 août 2009 | 17,090 ZAR |
| FR0000993636 | Apius Avenir Europe | - | 10 avr. 2026 | 2420,430 EUR |
| FR0007027131 | Apius Patrimoine | - | 15 avr. 2026 | 211,540 EUR |
| FR0010291187 | Apprecio C | - | 14 avr. 2026 | 152,760 EUR |
| FR0010010876 | Arc Patrimoine | - | 10 juil. 2023 | 4,040 EUR |
| FR0007024930 | Arca Florilege | Financiere de L'Oxer | 16 avr. 2026 | 288,770 EUR |
| FR0010636472 | Areas Equilibre | Edmond de Rothschild AM | 16 avr. 2026 | 125,060 EUR |
| FR0010619908 | Areas Prudence | - | 15 avr. 2026 | 160,020 EUR |