Nome
ISIN
  Type of yield
Valuta
Società d'investimento Prezzo di riacquisto
Data
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1a)
Vola. (1a)
 
Federal Global Green Bonds I
FR0010207548
reinvestment
EUR
Federal Finance 133,209.8281
21/01/2025
+0.63% +3.42% -6.11% - 0.16
4.69%
AIS Schelcher Equity Convictions I
FR0010209866
reinvestment
EUR
Federal Finance 19,296.6191
21/01/2025
+4.11% +11.85% +9.89% - 0.76
12.15%
Federal Focus - European Economy I
FR0010378380
reinvestment
EUR
Federal Finance 225.8800
21/01/2025
+0.60% +14.16% +4.07% - 1.08
10.68%
Federal Focus Human I
FR0010209841
reinvestment
EUR
Federal Finance 16,772.0508
21/01/2025
-2.93% -7.72% -13.02% - -0.89
11.76%
Federal Protect
FR0013523263
reinvestment
EUR
Federal Finance 106.0500
21/01/2025
+0.73% +3.94% -4.14% - 0.78
1.64%
AIS Venn Collective Alpha Europe I
FR0013432762
reinvestment
EUR
Federal Finance 163.8500
21/01/2025
+0.20% +10.63% +15.14% - 0.64
12.37%
AIS Venn Collective Alpha US I
FR0013432747
reinvestment
EUR
Federal Finance 212.4400
21/01/2025
+8.11% +31.83% +52.09% - 2.19
13.36%
Federal Global Green Bonds P
FR0007394846
reinvestment
EUR
Federal Finance 16.7100
21/01/2025
+0.60% +3.21% -6.65% - 0.12
4.68%
Federal Ethi-Patrimoine B
FR0013516523
reinvestment
EUR
Federal Finance 1,117.1300
21/01/2025
+1.70% +6.62% +3.62% - 1.35
2.93%
Federal Euro Aggregate 3-5 ESG GP
FR0010222067
reinvestment
EUR
Federal Finance 138.3600
21/01/2025
+0.38% +4.07% -1.36% - 0.63
2.23%
AIS Select - PME ETI GP
FR0013414000
reinvestment
EUR
Federal Finance 126.2100
20/01/2025
-1.56% +1.64% -15.99% - -0.12
8.82%
Federal Indiciel APAL I
FR0010218263
reinvestment
EUR
Federal Finance 337,284.7813
21/01/2025
-2.54% +16.94% +7.70% - 1.11
12.92%
Arkéa Indiciel Japon (GP)
FR0013264231
reinvestment
EUR
Federal Finance 154.8800
21/01/2025
+0.95% +7.60% +17.73% - 0.20
25.31%
Federal Indiciel US GP
FR0013264256
reinvestment
EUR
Federal Finance 275.5000
21/01/2025
+7.67% +31.28% +54.45% - 2.06
13.91%
Federal multi Actions Europe
FR0010108662
reinvestment
EUR
Federal Finance 256.7600
20/01/2025
+0.54% +11.19% +1.57% - 0.84
10.26%
AIS Select - Long Short
FR0013180122
reinvestment
EUR
Federal Finance 108.5300
20/01/2025
+0.19% +2.97% +5.16% - 0.22
1.42%
Federal multi Or et Matières Premiè...
FR0000978868
reinvestment
EUR
Federal Finance 56.8200
20/01/2025
-4.49% +23.12% +20.79% - 1.35
15.2%
Federal multi Patrimoine P
FR0011070358
reinvestment
EUR
Federal Finance 108.4800
21/01/2025
+1.00% +0.17% +7.33% - -0.46
5.5%
Federal Obligations Court Terme ESG...
FR0010859785
reinvestment
EUR
Federal Finance 1,189.9700
20/01/2025
+0.75% +4.26% +9.53% - 6.04
0.27%
AIS Select - Équilibre P
FR0010292920
reinvestment
EUR
Federal Finance 147.0700
20/01/2025
+0.05% +6.57% +0.44% - 0.81
4.87%