Nombre
ISIN
  Tipo de beneficio
Divisa
Sociedad de fondos Prec. de rescate
Fecha
Rendimiento 3 meses Rendimiento 1 año Rendimiento 3 años Rendimiento 5 años SR (1A)
Volatilidad (1A)
 
Carmignac Absolute Return Europe A ...
FR0010149179
reinvestment
EUR
Carmignac Gestion 430.4300
22/01/2025
+2.27% +4.70% -0.52% +13.83% 0.48
4.22%
Carmignac Absolute Return Europe A ...
FR0011269406
paying dividend
EUR
Carmignac Gestion 133.1500
22/01/2025
+2.27% +4.71% -0.51% +13.98% 0.48
4.22%
Carmignac Absolute Return Europe F ...
FR001400JG56
reinvestment
EUR
Carmignac Gestion 107.5000
22/01/2025
+2.30% +4.68% - - 0.58
3.45%
Carmignac China New Economy F EUR A...
FR0014002E46
reinvestment
EUR
Carmignac Gestion 46.9600
22/01/2025
-2.41% +14.15% -21.94% - 0.48
23.95%
Carmignac China New Economy I EUR A...
FR0013467024
reinvestment
EUR
Carmignac Gestion 101.9300
22/01/2025
-2.34% +14.48% -21.23% - 0.49
23.94%
Carmignac Court Terme A EUR Acc
FR0010149161
reinvestment
EUR
Carmignac Gestion 3,929.3701
22/01/2025
+0.68% +3.33% +6.94% +5.85% 5.05
0.13%
Carmignac Credit 2025 A EUR Acc
FR0013515970
reinvestment
EUR
Carmignac Gestion 110.6500
22/01/2025
+0.73% +5.57% +1.52% - 4.85
0.6%
Carmignac Credit 2025 A EUR Ydis
FR0013515996
paying dividend
EUR
Carmignac Gestion 104.1600
22/01/2025
+0.73% +5.59% +1.52% - 4.84
0.6%
Carmignac Credit 2025 F EUR Acc
FR0013516028
reinvestment
EUR
Carmignac Gestion 112.5300
22/01/2025
+0.84% +6.00% +2.74% - 5.52
0.6%
Carmignac Credit 2025 F EUR Ydis
FR0013516036
paying dividend
EUR
Carmignac Gestion 104.2500
22/01/2025
+0.83% +6.00% +2.73% - 5.54
0.6%
Carmignac Credit 2027 A EUR Acc
FR00140081Y1
reinvestment
EUR
Carmignac Gestion 123.2000
22/01/2025
+1.00% +7.19% - - 4.40
1.02%
Carmignac Credit 2027 A EUR Ydis
FR00140081Z8
paying dividend
EUR
Carmignac Gestion 118.8900
22/01/2025
+1.00% +7.19% - - 4.43
1.02%
Carmignac Credit 2027 E EUR Acc
FR0014008207
reinvestment
EUR
Carmignac Gestion 122.2600
22/01/2025
+0.92% +6.86% - - 4.06
1.03%
Carmignac Credit 2027 E EUR Ydis
FR0014008215
paying dividend
EUR
Carmignac Gestion 118.6100
22/01/2025
+0.92% +6.86% - - 4.07
1.02%
Carmignac Credit 2027 F EUR Acc
FR0014008223
reinvestment
EUR
Carmignac Gestion 124.4700
22/01/2025
+1.10% +7.62% - - 4.85
1.02%
Carmignac Credit 2027 F EUR Ydis
FR0014008231
paying dividend
EUR
Carmignac Gestion 119.2600
22/01/2025
+1.10% +7.62% - - 4.83
1.02%
Carmignac Credit 2029 A EUR Acc
FR001400KAV4
reinvestment
EUR
Carmignac Gestion 114.0900
22/01/2025
+1.36% +8.17% - - 4.58
1.2%
Carmignac Credit 2029 A EUR Ydis
FR001400KAW2
paying dividend
EUR
Carmignac Gestion 113.8300
22/01/2025
+1.44% +8.08% - - 4.47
1.21%
Carmignac Credit 2029 AW EUR Acc
FR001400M1N0
reinvestment
EUR
Carmignac Gestion 113.9700
22/01/2025
+1.67% +9.47% - - 5.03
1.35%
Carmignac Credit 2029 AW EUR Ydis
FR001400M1O8
reinvestment
EUR
Carmignac Gestion 113.9700
22/01/2025
+1.67% +9.47% - - 5.03
1.35%