+0.27%
7875,540 pts
ISIN | Nom | Gestion | Date | VL |
---|---|---|---|---|
FR0000945891 | Bellatrix D | Cybèle Asset Management | 17 sep. 2025 | 307,260 EUR |
FR0010689364 | Betamax F | - | 17 sep. 2025 | 1969,890 EUR |
FR0000298721 | Betelgeuse | Cybèle Asset Management | 17 sep. 2025 | 66,630 EUR |
FR0013276151 | Bevd Privilege C/d | BNP Paribas AM | - | - EUR |
FR0010236091 | Bft Convertibles Isr | BFT Gestion | 17 sep. 2025 | 1480,230 EUR |
FR0010544775 | Bft Eonia Plus | BFT Gestion | 17 sep. 2025 | 11649,180 EUR |
FR0010720631 | BFT Europe Dividende C | BFT Gestion | 17 sep. 2025 | 2856,270 EUR |
FR0010721266 | BFT Europe Dividende D | BFT Gestion | 17 sep. 2025 | 1660,040 EUR |
FR0010232298 | BFT Monetaire | BFT Gestion | 18 sep. 2025 | 14448,280 EUR |
FR0010583328 | Biosphere Europe B | - | 29 août 2012 | 64,430 EUR |
FR0010329342 | Blue Mountain | - | 12 sep. 2025 | 276,120 EUR |
FR0010003590 | Bmm Convertibles | - | 23 mai 2025 | 171,580 EUR |
FR0007075650 | Bmm Dollarplus I | - | 18 sep. 2025 | 1507,500 USD |
FR0010294892 | Bmm Dollarplus P | - | 18 sep. 2025 | 1823,970 USD |
FR0010275560 | Bmm Eurobligations I | - | 22 juin 2012 | 132560,570 EUR |
FR0007016654 | Bmm Eurobligations P | - | 22 juin 2012 | 175,290 EUR |
FR0010671479 | Bmm Euromix Actions I | - | 17 sep. 2025 | 361574,590 EUR |
FR0007085063 | Bmm Euromix Actions P | - | 17 sep. 2025 | 373,510 EUR |
FR0007413117 | Bmm France Croissance D | - | 16 mai 2025 | 56,970 EUR |
FR0007468798 | Bmm France Pme P | - | 17 sep. 2025 | 1364,720 EUR |
FR0010275628 | Bmm Indexi I | - | 12 sep. 2025 | 160831,910 EUR |
FR0007075668 | Bmm Indexi P | - | 12 sep. 2025 | 963,260 EUR |
FR0007414552 | Bmm Long Terme D | - | 17 sep. 2025 | 38,650 EUR |
FR0010559997 | Bmm Long Terme I | - | 17 sep. 2025 | 161390,540 EUR |
FR0007480629 | Bmm Long Terme P | - | 17 sep. 2025 | 51,190 EUR |
FR0007393285 | Bmm Obligations (c) | - | 17 sep. 2025 | 41,270 EUR |
FR0007474010 | Bmm Obligations D | - | 17 sep. 2025 | 16,520 EUR |
FR0010275644 | Bmm Obligations I | - | 17 sep. 2025 | 156024,320 EUR |
FR0007474028 | Bmm Pierre Capitalisation D | - | 17 sep. 2025 | 690,750 EUR |
FR0010680553 | Bmm Pierre Capitalisation I | - | 17 sep. 2025 | 304089,100 EUR |
FR0007457890 | Bmm Pierre Capitalisation P | - | 17 sep. 2025 | 1566,760 EUR |
FR0013276144 | Bnp Evd Privilege C. | BNP Paribas AM | - | - EUR |
FR0010302398 | Bnp Paribas Act Eurp Resp (c) | BNP Paribas AM | 17 sep. 2025 | 434,520 EUR |
FR0010028969 | Bnp Paribas Act Eurp Resp (d) | BNP Paribas AM | 17 sep. 2025 | 328,070 EUR |
FR0010116541 | Bnp Paribas Actions Eurld (d) | BNP Paribas AM | 17 sep. 2025 | 12,631 EUR |
FR0010157875 | Bnp Paribas Actions Europe I | BNP Paribas AM | 17 sep. 2025 | 1579,190 EUR |
FR0010107235 | Bnp Paribas Actions Europe P D | BNP Paribas AM | 17 sep. 2025 | 225,140 EUR |
FR0010108977 | Bnp Paribas Actions Monde | BNP Paribas AM | 16 sep. 2025 | 31,230 EUR |
FR0010678433 | Bnp Paribas Aqua I | BNP Paribas AM | 17 sep. 2025 | 78892,520 EUR |
FR0010337667 | Bnp Paribas Cash Invest I | BNP Paribas AM | 17 sep. 2025 | 61136,861 EUR |
FR0007496047 | Bnp Paribas Cash Invest P | BNP Paribas AM | 17 sep. 2025 | 2446,972 EUR |
FR0010599431 | Bnp Paribas Cash Invest R | BNP Paribas AM | 11 mars 2019 | 49993,970 EUR |
FR0010134106 | Bnp Paribas Conv Europe I | BNP Paribas AM | 17 sep. 2025 | 31557,120 EUR |
FR0010772020 | Bnp Paribas Deep Value Classic | CamGestion | 17 sep. 2025 | 270,720 EUR |
FR0007035423 | Bnp Paribas Dynamique 1 An A | BNP Paribas AM | 09 août 2012 | 1917,350 EUR |
FR0010478719 | Bnp Paribas Dynamique 1 An P | BNP Paribas AM | 09 août 2012 | 5382,370 EUR |
FR0007035365 | Bnp Paribas Dynamique 6 Mois A | BNP Paribas AM | 17 sep. 2025 | 2200,000 EUR |
FR0010478735 | Bnp Paribas Dynamique 6 Mois I | BNP Paribas AM | 17 sep. 2025 | 61479,890 EUR |
FR0010478727 | Bnp Paribas Dynamique 6 Mois P | BNP Paribas AM | 17 sep. 2025 | 6022,600 EUR |
FR0010077461 | Bnp Paribas Energie | BNP Paribas AM | 17 sep. 2025 | 149,690 EUR |