CAC40

ACCOR . -2.36%
AIR LIQUI. +0.04%
AIRBUS SE. -2.13%
ARCELORMI. -4.28%
AXA . +0.42%
BNP PARIB. -1.06%
BOUYGUES . +0.48%
BUREAU VE. -0.21%
CAP GEMIN. +0.14%
CARREFOUR. +0.45%
CREDIT AG. -1.12%
DANONE . +2.39%
DASSAULT . +0.93%
EIFFAGE -0.56%
ENGIE +1.02%
ESSILORLU. -2.89%
EUROFINS . -0.29%
EURONEXT +0.80%
HERMES IN. -1.47%
KERING . -2.76%
L'OREAL . -1.56%
LEGRAND -1.23%
LVMH . -4.30%
MICHELIN . -0.94%
ORANGE +2.01%
PERNOD RI. +0.06%
PUBLICIS . +0.99%
RENAULT . -2.23%
SAFRAN . -1.20%
SAINT-GOB. -0.58%
SANOFI . -0.17%
SCHNEIDER. -2.65%
SOCIETE G. -2.35%
STELLANTI. -4.39%
STMICROEL. -1.19%
THALES -0.43%
TOTALENER. +2.74%
UNIBAIL R. -1.03%
VEOLIA EN. -0.93%
VINCI . -0.46%
Dernière mise à jour: 15 mars 2026 19:00

CAC40

-0.91%
7911,530 pts

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Sélection Sicav/FCP

Sicav/FCP

Dernière mise à jour: 15 mars 2026 19:00
ISIN Nom Gestion Date VL
FR0010602599 Conquistador 30 BNP Paribas AM 20 sep. 2013 194,610 EUR
FR0010038257 Conservateur Unisic (c) Palatine AM 11 mars 2026 277,950 EUR
FR0000930471 Conservateur Unisic (d) Palatine AM 11 mars 2026 141,730 EUR
LU0928190510 Convertible Bonds Global Mirabaud & Cie 16 fév. 2018 122,100 USD
FR0010654996 Convictions Activinflation A - 13 avr. 2012 98,470 EUR
FR0010651240 Convictions Activinflation B - 16 juil. 2012 1008,530 EUR
FR0010654970 Convictions Activinflation P - 16 juil. 2012 96,810 EUR
FR0010678920 Convictions Europactive A - 04 juil. 2012 85,870 EUR
FR0010687038 Convictions Premium A - 12 mars 2026 1983,120 EUR
FR0010687020 Convictions Premium B - 12 mars 2026 1524,750 EUR
FR0007085691 Convictions Premium P - 12 mars 2026 1981,600 EUR
FR0010928069 Corail C BFT Gestion 22 mai 2012 85,150 EUR
FR0010147645 Corbeille Select. Performance Edmond de Rothschild AM 11 mars 2026 320,410 EUR
FR0010147637 Corbeille Selection Equilibre Edmond de Rothschild AM 11 mars 2026 278,560 EUR
FR0010147652 Corbeille Selection Prudence Edmond de Rothschild AM 11 mars 2026 206,750 EUR
FR0010147660 Corbeille Univers Equilibre Edmond de Rothschild AM 11 mars 2026 185,420 EUR
FR0010147686 Corbeille Univers Perf. Europe Edmond de Rothschild AM 11 mars 2026 248,030 EUR
FR0010147694 Corbeille Univers Perf. Inter. Edmond de Rothschild AM 11 mars 2026 239,500 EUR
FR0010461723 Corilege - 06 mars 2026 134,650 EUR
FR0000988180 Coupole Im Multi Audace - 05 mars 2026 1179,620 EUR
FR0000988172 Coupole Im Multi Prudence - 05 mars 2026 666,600 EUR
FR0010567487 Covea Actions Euro I Covéa Finance 01 mars 2024 217,250 EUR
FR0010567529 Covea Actions Europe Opport I Covéa Finance 12 mars 2026 296,240 EUR
FR0010567552 Covea Actions Monde I Covéa Finance 12 mars 2026 390,800 EUR
FR0007493242 Covea Finance Acti Monde Covéa Finance 07 juin 2012 315,070 EUR
FR0007451620 Covea Finance Acts Europe Inst Covéa Finance 12 mars 2026 73,490 EUR
FR0007012851 Covea Finance Multi Europe Covéa Finance 06 juin 2012 187,200 EUR
FR0010694141 Covea Multi Absolute Return I Covéa Finance 11 mars 2026 118,650 EUR
FR0010652495 Covea Multi Emergents A Covéa Finance 11 mars 2026 233,320 EUR
FR0010654509 Covea Multi Emergents I Covéa Finance 11 mars 2026 201,150 EUR
FR0010567511 Covea Multi Immobilier I Covéa Finance 11 mars 2026 177,310 EUR
FR0000939886 Covea Perspectives Pme A Covéa Finance 12 mars 2026 236,910 EUR
FR0010567537 Covea Perspectives Pme I Covéa Finance 12 mars 2026 304,890 EUR
FR0010376020 Cpr 7-10 Euro Sr P Cpr Asset Management 11 sep. 2025 851,360 EUR
FR0010679878 Cpr 7-10 Euro Sr S Cpr Asset Management 11 sep. 2025 717,110 EUR
FR0010626408 Cpr Active Europe I Cpr Asset Management 11 mars 2026 302135,990 EUR
FR0010619916 Cpr Active Europe P Cpr Asset Management 11 mars 2026 405,640 EUR
FR0010507913 Cpr Active Us I Cpr Asset Management 11 mars 2026 571892,080 EUR
FR0010501858 Cpr Active Us P Cpr Asset Management 11 mars 2026 52,630 EUR
FR0010413583 Cpr Cash I Cpr Asset Management 23 sep. 2025 12057127,910 EUR
FR0000291239 Cpr Cash P Cpr Asset Management 23 sep. 2025 23997,940 EUR
FR0010725499 Cpr Convexite (c) Cpr Asset Management 13 sep. 2023 396,020 EUR
FR0010725507 Cpr Convexite (d) Cpr Asset Management 13 sep. 2023 270,220 EUR
FR0010560177 Cpr Credixx Invest Grade P Cpr Asset Management 09 sep. 2025 17273,850 EUR
FR0010725200 Cpr Credixx Invest Grade S Cpr Asset Management 09 sep. 2025 169,650 EUR
FR0010097667 CPR Croissance Défensive P Cpr Asset Management 12 mars 2026 347,870 EUR
FR0010965129 Cpr Croissance Dynamique I Cpr Asset Management - - EUR
FR0010965137 Cpr Croissance Reactive I Cpr Asset Management 12 mars 2026 206782,380 EUR
FR0010097683 CPR Croissance Reactive P Cpr Asset Management 12 mars 2026 561,660 EUR
FR0007024047 Cpr Euro High Dividend P Cpr Asset Management 05 déc. 2024 174,220 EUR