-0.18%
7950,180 pts
| ISIN | Nom | Gestion | Date | VL |
|---|---|---|---|---|
| FR0010672055 | Edr Monecourt D | - | 06 nov. 2025 | 149,635 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 |
| FR0010471136 | Edr Quadrim 4 I | - | 11 sep. 2024 | 5975,840 EUR |
| FR0010584474 | Edr Sign Financial Bonds I | - | 06 nov. 2025 | 226,520 EUR |
| FR0010588350 | Edr Tricolore Rendement (d) | Edmond de Rothschild AM | 06 nov. 2025 | 289,600 EUR |
| FR0010594333 | Edr Tricolore Rendement E | Edmond de Rothschild AM | 06 nov. 2025 | 247,680 EUR |
| FR0010594325 | Edr Tricolore Rendement I | Edmond de Rothschild AM | 06 nov. 2025 | 230,940 EUR |
| FR0010705145 | Edr Tricolore Rendement R | Edmond de Rothschild AM | 06 nov. 2025 | 283,040 EUR |
| FR0010148007 | Efg Maxima A | - | 06 nov. 2025 | 650,010 EUR |
| FR0010666578 | Egamo Multi Monetaire I | - | 06 nov. 2025 | 1143,448 EUR |
| FR0010697482 | Elan 2013 (c) | - | 06 nov. 2025 | 141,510 EUR |
| FR0010702902 | Elan 2013 (d) | - | 06 nov. 2025 | 87,530 EUR |
| FR0000400434 | Elan France Indice Bear | - | 06 nov. 2025 | 99,240 EUR |
| FR0007027321 | Elan Ms Europe Reactif Pea | - | 03 août 2012 | 152,650 EUR |
| FR0010601914 | Elanceo 5 Juil 2008 | - | 24 juil. 2013 | 100,380 EUR |
| FR0010078279 | Elite 1818 Court Ter Dynamique | Vega Investment Managers | 06 nov. 2025 | 1366,630 EUR |
| FR0010458299 | Elite 1818 Equilibre Europe | Vega Investment Managers | 17 août 2012 | 94,750 EUR |
| FR0007031117 | Elite 1818 Euro Index | Vega Investment Managers | 10 sep. 2012 | 179,010 EUR |
| FR0000444531 | Elite 1818 Euro Spread (c) | Vega Investment Managers | 06 nov. 2025 | 49,970 EUR |
| FR0007371877 | Elite 1818 Euro Spread (d) | Vega Investment Managers | 06 nov. 2025 | 28,460 EUR |
| FR0010458216 | Elite 1818 Moderation Monde | Vega Investment Managers | 06 nov. 2025 | 135,150 EUR |
| FR0010242479 | Elite 1818 Monde Multisecteurs | Vega Investment Managers | 06 nov. 2025 | 242,340 EUR |
| FR0007465083 | Elite 1818 Obligations Euro C | Vega Investment Managers | 06 nov. 2025 | 504,400 EUR |
| FR0010289827 | Elite 1818 Strategies | Vega Investment Managers | 06 nov. 2025 | 165,120 EUR |
| FR0007053111 | Elite N | - | 06 nov. 2025 | 119,730 EUR |
| FR0010701615 | Elixis | - | 06 août 2013 | 109,460 EUR |
| FR0010701433 | Enjeux Nouveaux Mondes Eur Cap | - | 06 nov. 2025 | 281,260 EUR |
| FR0000004970 | Epargne Ethique Actions C | Ecofi Investissements | 06 nov. 2025 | 128,870 EUR |
| FR0010219899 | Epargne Ethique Monetaire (c) | Ecofi Investissements | 06 nov. 2025 | 428,388 EUR |
| FR0011045145 | Epargne Ethique Obligations C | Ecofi Investissements | 06 nov. 2025 | 207,910 EUR |
| FR0007472501 | Epargne Francaise | - | 06 nov. 2025 | 995,660 EUR |
| FR0000430969 | Epargne Libre Carrefour | - | 06 nov. 2025 | 382,891 EUR |
| FR0010487512 | Epargne Patrimoine | - | 06 nov. 2025 | 173,020 EUR |
| FR0007370564 | Epargne Privee | - | 06 nov. 2025 | 4028,570 EUR |
| FR0007413091 | Epargne Solidaire | Ecofi Investissements | 06 nov. 2025 | 244,580 EUR |
| LU0477234263 | EPB Bd-Government Bds | - | 30 mars 2012 | 525,200 EUR |
| LU0477232648 | EPB Bd-Government Bds$ | - | 30 mars 2012 | 535,970 USD |
| LU0466397824 | EPB Bd-Select Inv Grade Corp | - | 30 mars 2012 | 557,400 EUR |
| LU0477234420 | EPB Bd-Upper Inv Grade Corp | - | 30 mars 2012 | 572,380 EUR |
| LU0048669088 | EPB Eq II-Europe | - | 30 mars 2012 | 557,450 EUR |
| LU0051497039 | EPB Eq II-Japan | - | 30 mars 2012 | 14831,000 JPY |
| LU0051497468 | EPB Eq II-North Am | - | 30 mars 2012 | 985,120 USD |
| LU0209510956 | EPB Eq II-North Am | - | 30 mars 2012 | 661,970 EUR |
| LU0466398392 | EPB Equity-Best Dividend Euro | - | 30 mars 2012 | 438,450 EUR |
| LU0466398475 | EPB Equity-Selected Eq Europe | - | 30 mars 2012 | 473,000 EUR |
| LU0078301909 | EPB-Flexible 25/75 | - | 29 mars 2012 | 331,000 EUR |
| LU0080276099 | EPB-Flexible 50/50 | - | 29 mars 2012 | 245,510 EUR |
| FR0000289860 | Equi-convertibles | - | 06 nov. 2025 | 1772,130 EUR |