CAC40

ACCOR . -1.03%
AIR LIQUI. -0.41%
AIRBUS SE. -1.74%
ARCELORMI. +2.43%
AXA . -0.87%
BNP PARIB. -0.97%
BOUYGUES . +0.13%
BUREAU VE. -1.60%
CAP GEMIN. -2.77%
CARREFOUR. +1.21%
CREDIT AG. +0.74%
DANONE . +0.39%
DASSAULT . -3.00%
EDENRED -2.52%
ENGIE +1.91%
ESSILORLU. -1.14%
EUROFINS . -0.75%
EURONEXT -1.61%
HERMES IN. -2.62%
KERING . -3.78%
L'OREAL . -2.28%
LEGRAND -12.19%
LVMH . -2.09%
MICHELIN . 0.00%
ORANGE +1.64%
PERNOD RI. -3.30%
PUBLICIS . -0.99%
RENAULT . -0.99%
SAFRAN . -1.34%
SAINT-GOB. -2.23%
SANOFI . +0.45%
SCHNEIDER. -2.93%
SOCIETE G. +2.12%
STELLANTI. -0.78%
STMICROEL. -0.68%
THALES -0.67%
TOTALENER. -0.82%
UNIBAIL R. +0.74%
VEOLIA EN. +1.34%
VINCI . -0.60%
Dernière mise à jour: 06 nov. 2025 22:45

CAC40

-1.36%
7964,770 pts

Hausses

Baisses

Chiffres clés

Matières premières

Devises

Appliquer

Sélection Sicav/FCP

Sicav/FCP

Dernière mise à jour: 06 nov. 2025 22:45
ISIN Nom Gestion Date VL
FR0010107953 Lfp Protectaux I - 05 nov. 2025 624,600 EUR
FR0007072061 Lfp Trend Prevention I - 05 nov. 2025 4172,740 EUR
FR0010212670 Lfp Trend Prevention P - 05 nov. 2025 255,040 EUR
FR0010609115 Lfp Tresorerie I - 05 nov. 2025 117303,200 EUR
FR0000991390 Lfp Tresorerie R - 06 nov. 2025 93378,300 EUR
FR0010610386 Lfr Actions Solidaires I - 05 nov. 2025 1613,480 EUR
FR0010526079 Lfr Euro Developpeme Durable I - 05 nov. 2025 1341,920 EUR
FR0010585281 Lfr Euro Devlpt Durable P - 05 nov. 2025 143,700 EUR
FR0007391792 Liberte 50 - 05 nov. 2025 463,300 EUR
FR0007391826 Liberte Amerique - 31 oct. 2025 1367,270 EUR
FR0007447263 Liberte Euro Pea - 05 nov. 2025 340,720 EUR
FR0007045828 Liberte Sante - 05 nov. 2025 340,830 EUR
FR0000004962 Libertes & Solidarite - 05 nov. 2025 167,090 EUR
FR0007441449 Libre Selection Mondiale - 31 oct. 2025 53,600 EUR
FR0010568683 Lil'Invest - 05 nov. 2025 155,630 EUR
HK0823032773 Link Reit - 06 nov. 2025 41,280 HKD
FR0000975575 Living Planet Fund-bonds Rc - 16 sep. 2012 345,690 EUR
FR0000975583 Living Planet Fund-bonds Rd - 16 sep. 2012 174,230 EUR
FR0000287955 Livret Bourse Investissements Natixis Asset Management 05 nov. 2025 314,550 EUR
FR0010354548 Lundy - 31 oct. 2025 219,440 EUR
FR0010536821 Lyxor Evo Fund World Lyxor Intl AM 05 nov. 2025 227,900 EUR
FR0000447500 Lyxor France Index 1 Lyxor Intl AM 04 oct. 2023 169,560 EUR
FR0000447518 Lyxor France Index 2 Lyxor Intl AM 14 déc. 2023 184,940 EUR
FR0000447526 Lyxor France Index 3 Lyxor Intl AM 14 déc. 2023 185,130 EUR
FR0000447534 Lyxor France Index 4 Lyxor Intl AM 04 oct. 2023 143,610 EUR
FR0000973166 Lyxor France Index 5 Lyxor Intl AM 04 oct. 2023 134,870 EUR