+0.87%
7854,610 pts
ISIN | Nom | Date | VL | Nombre de parts | Actif |
---|---|---|---|---|---|
FR0000002172 | Natixis Cac 40 | 04 juin 2019 | 4467,640 EUR | - | - |
FR0000002172 | Natixis Cac 40 | 04 juin 2019 | 4467,640 EUR | 7167 | 32021047.850 |
FR0000003188 | Natixis Strate Min Variance Eu | 17 sep. 2025 | 1047,760 EUR | 16156 | 16927711.340 |
FR0000003196 | Natixis Souverains Euro R (c) | 17 sep. 2025 | 493,210 EUR | 338356 | 166881981.660 |
FR0000171233 | Natixis Souverains Euro R (d) | 17 sep. 2025 | 287,150 EUR | 13406 | 3849668.500 |
FR0000293714 | Natixis Cash Euribor R | 18 sep. 2025 | 44462,640 EUR | 63099 | 2805532276.320 |
FR0000977456 | Nectra Opportunites (d) | 23 sep. 2013 | 754,820 EUR | 39954 | 30158324.570 |
FR0007075122 | Natixis Tresorerie I C | 18 sep. 2025 | 13493,280 EUR | 472041 | 6369381693.320 |
FR0010021733 | Natixis Actions Euro Rc | 15 sep. 2025 | 254,890 EUR | 1200961 | 306113179.530 |
FR0010033142 | Natixis Actions Euro Rd | 15 sep. 2025 | 171,450 EUR | 9424559 | 1615878709.510 |
FR0010036400 | Natixis Souverains Euro 3-5 I | 11 jan. 2022 | - EUR | 135767 | 425456126.450 |
FR0010042176 | Natixis Actions Euro Micro Cap | 25 juil. 2024 | 43,490 EUR | 601053 | 26139787.180 |
FR0010144634 | Natixis Act Sm & Mid Cap Eu Ic | 27 mars 2025 | - EUR | 109 | 59482049.710 |
FR0010150243 | Natixis Act Sm & Mid Cap Eu Id | 19 mars 2025 | 207043,080 EUR | 28 | 5780642.860 |
FR0010171678 | Natixis Convertibles Europe Ic | 12 sep. 2024 | - EUR | 695 | 118788053.470 |
FR0010177345 | Natixis Actions Cac 40 M | 17 sep. 2025 | 2592,580 EUR | 11794 | 30576452.310 |
FR0010186726 | Natixis Perspective 6 Mois I | 17 sep. 2025 | 140944,240 EUR | 335 | 47171232.360 |
FR0010201699 | Natixis Souverains Euro 5-7 | 17 sep. 2025 | 5051,090 EUR | 20978 | 105962793.990 |
FR0010208421 | Natixis Souverains Euro 1-3 I | 17 sep. 2025 | - EUR | 10493 | 34651553.947 |
FR0010236877 | Natixis Actions Us Growth R | 17 sep. 2025 | 70487,230 USD | 127 | 8929203.580 |
FR0010256404 | Natixis Actions Us Growth I | 17 sep. 2025 | 805051,630 USD | 2 | 1617751.270 |
FR0010322438 | Natixis Cash A1p1 I (c) | 18 sep. 2025 | 125525,816 EUR | 5005 | 628241707.720 |
FR0010326264 | Natixis Profil Serenite C | 17 sep. 2025 | 142179,940 EUR | 704 | 100117429.680 |
FR0010326272 | Natixis Profil Equilibre C | 17 sep. 2025 | 204063,670 EUR | 1241 | 253255262.690 |
FR0010326280 | Natixis Profil Dynamique C | 17 sep. 2025 | 227816,190 EUR | 748 | 170395126.360 |
FR0010346429 | Natixis Act Eurp Conviction I | 18 oct. 2012 | 118459,630 EUR | 168 | 19853314.360 |
FR0010361071 | Natixis Horizon 2020 | 28 mars 2025 | 134,465 EUR | 23631 | 3177527.211 |
FR0010361089 | Natixis Horizon 2025 | 17 sep. 2025 | 161,661 EUR | 1314771 | 212546994.770 |
FR0010361097 | Natixis Horizon 15 + | 17 sep. 2025 | 255,704 EUR | 265157 | 67801903.380 |
FR0010407221 | Natixis Mg Act Monde Eurp | 06 sep. 2013 | 89885,300 EUR | 14 | 1253000.000 |
FR0010655456 | Natixis Souverains Euro I | 17 sep. 2025 | - EUR | 443 | 67540684.750 |
FR0010657387 | Natixis Souverains Euro 1-3 R | 17 sep. 2025 | 111,860 EUR | 78869 | 8822296.150 |
FR0010658963 | Natixis Convertibles Euro I | 02 juin 2022 | - EUR | 843 | 115131019.662 |
FR0010666560 | Natixis Act Sm & Mid Cap Eu R | 27 mars 2025 | 506,150 EUR | 367764 | 186145631.060 |
FR0010674481 | Natixis Act Small Midcap Fra I | 24 jan. 2022 | - EUR | 2 | 307719.200 |
FR0010678359 | Natixis Convertibles Europe Rc | 12 sep. 2024 | 169,110 EUR | 45150 | 7635423.800 |
FR0010706960 | Natixis Actions Global Emerg R | 16 nov. 2023 | 197,300 EUR | 11865 | 2340889.220 |
FR0010711051 | Natixis Actions Global Emerg I | 16 nov. 2023 | 111375,340 EUR | 5 | 541640.590 |
FR0010731463 | Natixis Cash A1p1 I (d) | 18 sep. 2025 | 111261,571 EUR | 94 | 10482775.920 |