CAC40

ACCOR . -2.75%
AIR LIQUI. -1.08%
AIRBUS SE. -2.18%
ARCELORMI. 0.00%
AXA . -0.08%
BNP PARIB. -0.41%
BOUYGUES . -1.35%
BUREAU VE. -0.22%
CAP GEMIN. -1.68%
CARREFOUR. +0.15%
CREDIT AG. -0.85%
DANONE . +0.06%
DASSAULT . +0.97%
EIFFAGE -0.36%
ENGIE -0.61%
ESSILORLU. -1.79%
EUROFINS . -1.12%
EURONEXT +0.68%
HERMES IN. -2.02%
KERING . -3.50%
L'OREAL . -0.53%
LEGRAND +0.38%
LVMH . -8.79%
MICHELIN . +0.39%
ORANGE -0.78%
PERNOD RI. +0.71%
PUBLICIS . -0.62%
RENAULT . +0.38%
SAFRAN . -2.07%
SAINT-GOB. +0.10%
SANOFI . -2.61%
SCHNEIDER. +0.21%
SOCIETE G. -1.41%
STELLANTI. +0.55%
STMICROEL. +2.60%
THALES -0.15%
TOTALENER. +0.96%
UNIBAIL R. +0.07%
VEOLIA EN. -0.35%
VINCI . +0.38%
Dernière mise à jour: 28 jan. 2026 15:00

CAC40

-1.47%
8032,990 pts

Hausses

Baisses

Matières premières

Devises

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Sélection Sicav/FCP

Sicav/FCP

Dernière mise à jour: 28 jan. 2026 15:00
ISIN Nom Gestion Date VL
FR0007381983 Ecofi Obligations Intles Ecofi Investissements 09 oct. 2025 61,320 EUR
FR0011504224 Ecofi Patrimoine Diversifie I Ecofi Investissements 26 jan. 2026 199177,500 EUR
FR0007455894 Ecofi Plus Multi Ecofi Investissements 30 jan. 2023 190,410 EUR
FR0007465075 Ecofi Quant Obligations Ecofi Investissements 26 jan. 2026 7568,180 EUR
FR0010069336 Ecureuil Actions Asie (c) Natixis Asset Management 26 jan. 2026 986,510 EUR
FR0010177337 Ecureuil Actions France Natixis Asset Management 26 jan. 2026 389,530 EUR
FR0010069450 Ecureuil Actions Monde (c) Natixis Asset Management 26 jan. 2026 2841,230 EUR
FR0010091116 Ecureuil Benefi Responsabl (d) - 26 jan. 2026 91,690 EUR
FR0010609552 Ecureuil Benefices Emploi (c) - 26 jan. 2026 240,550 EUR
FR0010612838 Ecureuil Benefices Emploi (d) Natixis Asset Management 26 jan. 2026 223,370 EUR
FR0000982977 Ecureuil Harmonie R Natixis Asset Management 26 jan. 2026 56,210 EUR
FR0010057075 Ecureuil Obli Euro C Natixis Asset Management 26 jan. 2026 70,460 EUR
FR0010876821 Ecureuil Obli Euro T Natixis Asset Management 26 jan. 2026 248,070 EUR
FR0010194340 Ecureuil Obli Moyen Terme (c) Natixis Asset Management 26 jan. 2026 21,680 EUR
FR0010091181 Ecureuil Obli Moyen Terme (d) Natixis Asset Management 26 jan. 2026 14,800 EUR
FR0000982969 Ecureuil Pea Court Terme Natixis Asset Management 27 jan. 2026 105,232 EUR
FR0000431108 Ecureuil Profil 30 (c) Natixis Asset Management 26 jan. 2026 68,040 EUR
FR0000431116 Ecureuil Profil 30 (d) Natixis Asset Management 26 jan. 2026 50,580 EUR
FR0000431082 Ecureuil Profil 5 (c) Natixis Asset Management 26 jan. 2026 46,380 EUR
FR0000977589 Ecureuil Profil 5 (d) Natixis Asset Management 26 jan. 2026 34,230 EUR
FR0000431090 Ecureuil Profil 50 Natixis Asset Management 26 jan. 2026 64,240 EUR
FR0010083501 Ecureuil Profil 75 Natixis Asset Management 26 jan. 2026 73,440 EUR
FR0010075796 Ecureuil Profil 90 Natixis Asset Management 26 jan. 2026 64,670 EUR
FR0010130781 Ecureuil Relais Pea 2 Natixis Asset Management 27 jan. 2026 58,965 EUR
FR0000982951 Ecureuil Tonique Natixis Asset Management 26 jan. 2026 62,950 EUR
FR0010588715 Edmond De Rothschild Asia (d) Edmond de Rothschild AM 20 sep. 2012 175,160 EUR
FR0010594036 Edmond De Rothschild Asia E Edmond de Rothschild AM 20 sep. 2012 152,590 EUR
FR0010594028 Edmond De Rothschild Asia I Edmond de Rothschild AM 20 sep. 2012 100,270 EUR
FR0010704965 Edmond De Rothschild Asia R Edmond de Rothschild AM 20 sep. 2012 160,480 EUR
FR0010509810 Edr Ecosphere A Edmond de Rothschild AM 30 sep. 2013 47,990 EUR
FR0010594051 Edr Ecosphere E Edmond de Rothschild AM 30 sep. 2013 56,300 EUR
FR0010172767 Edr Euro Sustainable Credit C Edmond de Rothschild AM 26 jan. 2026 388,900 EUR
FR0010789321 Edr Euro Sustainable Credit I Edmond de Rothschild AM 26 jan. 2026 15709,640 EUR
FR0010505578 Edr Euro Sustainable Growth A Edmond de Rothschild AM 26 jan. 2026 659,170 EUR
FR0010769729 Edr Euro Sustainable Growth I Edmond de Rothschild AM 26 jan. 2026 401,790 EUR
FR0010177998 Edr Europe Midcaps A Edmond de Rothschild AM 18 mars 2024 477,580 EUR
FR0010614594 Edr Europe Midcaps E Edmond de Rothschild AM 18 mars 2024 296,250 EUR
FR0010594275 Edr Europe Midcaps I Edmond de Rothschild AM 18 mars 2024 222,520 EUR
FR0010664086 Edr Goldsphere B Edmond de Rothschild AM 26 jan. 2026 361,930 EUR
FR0010664052 Edr Goldsphere E Edmond de Rothschild AM 26 jan. 2026 335,710 EUR
FR0010664078 Edr Goldsphere I Edmond de Rothschild AM 26 jan. 2026 42545,260 EUR
FR0010479931 Edr India A Edmond de Rothschild AM 23 jan. 2026 495,210 EUR
FR0010594309 Edr India E Edmond de Rothschild AM 23 jan. 2026 250,010 EUR
FR0010614602 Edr India I Edmond de Rothschild AM 23 jan. 2026 360,590 EUR
FR0010172809 Edr International Bonds C - 30 sep. 2013 2263,590 EUR
FR0010027623 Edr Monecourt C - 27 jan. 2026 136,423 EUR
FR0010672055 Edr Monecourt D - 27 jan. 2026 150,290 EUR
FR0010579425 Edr Monetresor C - 30 sep. 2013 1034,060 EUR
FR0010564302 Edr Monetresor R - 30 sep. 2013 104358,860 EUR
FR0010459693 Edr Quadrim 4 C - 11 sep. 2024 547,450 EUR