Valeurs liquidatives disponibles au 05/02/2025
1 2 3 4 5 6 7
 fonds trouvés
Libellé Gestionnaire Catégorie Risque SFDR Date VL VL Depuis 01/01 1 an cumulé 3 ans cumulé 5 ans cumulé 8 ans cumulé
AFER

Afer Actions Euro ISR
FR0007024393

Ofi Invest Asset Management Fonds actions 4 Article 8 04/02/25 6.18% 13.46% 29.41% 48.28% 69.94%
AFER

Afer Immo 2*
FIC106800000

Ofi Invest Real Estate Sgp Fonds immobiliers 3 Article 8 31/12/24 NA -3.29% -15.38% -12.91% -4.71%
AFER

Afer Oblig Monde Entreprises
FR0011731710

Ofi Invest Asset Management Fonds obligations 2 Article 6 03/02/25 0.52% 3.01% -3.91% -6.82% -0.10%
AFER

Afer-Flore
FR0007024880

Ofi Invest Asset Management DSK 4 Article 6 03/02/25 -0.90% -13.97% -19.37% -0.13% -1.48%
AFER

Afer-Sfer
FR0000299364

Ofi Invest Asset Management Fonds diversifiés 4 Article 6 03/02/25 4.25% 5.05% 8.35% 19.46% 40.93%
AFER

Ofi Invest ESG Euro High Yield R
FR0013274958

Ofi Invest Asset Management Fonds exclusifs Gestion Sous Mandat Ofi Invest Asset Management ETF 3 Article 8 03/02/25 0.23% 7.27% 12.49% 12.32% NA
AFER

Afer Actions Monde
FR0010094839

Ofi Invest Asset Management Fonds actions 4 Article 6 03/02/25 2.48% 21.00% 33.98% 63.20% 111.22%
AFER

Afer Immo*
FIC906000000

Ofi Invest Real Estate Sgp Fonds immobiliers 4 Article 8 31/12/24 NA -2.85% -18.65% -17.96% -5.16%
AFER

Afer Inflation Monde
FR0013498532

Ofi Invest Asset Management Fonds obligations 2 Article 6 03/02/25 0.43% 3.04% 8.15% NA NA
AFER

Afer Patrimoine
FR0010094789

Ofi Invest Asset Management Fonds diversifiés 3 Article 6 03/02/25 0.81% 5.50% 4.86% -2.55% -2.41%
AFER

Ofi Invest ESG Liquidités A
FR001400KPY6

Ofi Invest Asset Management Fonds exclusifs Gestion Sous Mandat Ofi Invest Asset Management ETF 1 Article 8 04/02/25 0.27% 3.61% NA NA NA
AFER

Afer Diversifié Durable ISR
FR0010821470

Ofi Invest Asset Management Fonds diversifiés 3 Article 8 03/02/25 1.91% 6.50% 7.50% 10.82% 21.76%
AFER

Afer Index Obligations Souveraines
FR0013526688

Amundi Asset Management Fonds obligations 3 Article 6 04/02/25 0.32% 0.88% -10.41% NA NA
AFER

Afer Multi Foncier
FR0013246253

Ofi Invest Asset Management Fonds immobiliers 3 Article 6 03/02/25 0.68% 4.22% -11.32% -11.05% NA
AFER

Afer Actions Amérique
FR0011399658

Ofi Invest Asset Management Fonds actions 5 Article 6 03/02/25 1.64% 17.84% 21.97% 59.08% 114.08%
AFER

Afer Experimmo ISR
FR0013505021

Ofi Invest Real Estate Sgp Fonds immobiliers 4 Article 8 15/01/25 -0.01% 1.97% -7.64% NA NA
AFER

Afer Marchés Emergents
FR0011399682

Ofi Invest Asset Management Fonds diversifiés 4 Article 6 03/02/25 2.60% 11.80% 5.91% 10.76% 28.34%
AFER

Afer Objectif 2026
FR0013499886

Ofi Invest Asset Management Fonds obligations buy and hold 3 Article 6 03/02/25 0.57% 7.48% 8.68% NA NA
AFER

Afer Actions PME
FR0012033371

Bnp Paribas Asset Mngt Europe Fonds actions 4 Article 8 03/02/25 3.49% 5.28% -1.72% 3.26% 37.81%
AFER

Afer Convertibles
FR0012264653

Ellipsis Asset Management Fonds diversifiés 3 Article 8 31/01/25 2.45% 9.30% 2.40% -7.60% -4.22%
AFER

Afer High Yield 2027
FR001400IEG1

Ofi Invest Asset Management Fonds obligations buy and hold 3 Article 8 04/02/25 0.27% 5.26% NA NA NA
AFER

Afer Pierre
FR0014003PJ7

Bnp Paribas Real Estate Invest Fonds immobiliers 3 Article 8 31/12/24 NA 1.34% -10.08% NA NA
AFER

Afer Avenir Senior
FR0013203841

Ofi Invest Asset Management Fonds actions 4 Article 8 04/02/25 5.21% 8.69% 13.44% 21.17% NA
AFER

Afer Premium
FR0013358389

Rothschild And Co Asset Mngt Fonds diversifiés 3 Article 6 03/02/25 2.27% 8.64% 6.88% 20.73% NA
AFER

Afer Crescendo
FR0013513942

Bnp Paribas Asset Mngt Europe Fonds diversifiés 3 Article 6 31/01/25 1.96% 6.24% 1.10% NA NA
AFER

Afer Index CAC 40
FR0013526696

Amundi Asset Management Fonds actions 6 Article 6 04/02/25 6.49% 5.46% 20.76% NA NA
AFER

Afer Actions Emploi
FR001400A027

Mirova Fonds actions 4 Article 9 04/02/25 1.84% -8.54% NA NA NA
AFER

Afer Actions Environnement
FR001400A0C9

Mandarine Gestion Fonds actions 6 Article 9 03/02/25 0.38% 11.69% NA NA NA
AFER

Afer Climat
LU2216001268

Ofi Invest Lux Fonds actions 4 Article 8 03/02/25 4.31% 6.76% 13.03% NA NA
Libellé Gestionnaire Catégorie Risque Date VL VL Depuis 01/01 3 ans annualisé 5 ans annualisé 8 ans annualisé
AFER

Afer Actions Euro ISR
FR0007024393

Ofi Invest Asset Management Fonds actions 4 04/02/25 6.18% 9.01% 8.22% 6.88%
AFER

Afer Immo 2*
FIC106800000

Ofi Invest Real Estate Sgp Fonds immobiliers 3 31/12/24 NA -5.56% -2.77% -0.61%
AFER

Afer Oblig Monde Entreprises
FR0011731710

Ofi Invest Asset Management Fonds obligations 2 03/02/25 0.52% -1.32% -1.41% -0.01%
AFER

Afer-Flore
FR0007024880

Ofi Invest Asset Management DSK 4 03/02/25 -0.90% -6.95% -0.03% -0.19%
AFER

Afer-Sfer
FR0000299364

Ofi Invest Asset Management Fonds diversifiés 4 03/02/25 4.25% 2.72% 3.63% 4.40%
AFER

Ofi Invest ESG Euro High Yield R
FR0013274958

Ofi Invest Asset Management Fonds exclusifs Gestion Sous Mandat Ofi Invest Asset Management ETF 3 03/02/25 0.23% 4.02% 2.36% NA
AFER

Afer Actions Monde
FR0010094839

Ofi Invest Asset Management Fonds actions 4 03/02/25 2.48% 10.28% 10.33% 9.83%
AFER

Afer Immo*
FIC906000000

Ofi Invest Real Estate Sgp Fonds immobiliers 4 31/12/24 NA -6.83% -3.94% -0.67%
AFER

Afer Inflation Monde
FR0013498532

Ofi Invest Asset Management Fonds obligations 2 03/02/25 0.43% 2.66% NA NA
AFER

Afer Patrimoine
FR0010094789

Ofi Invest Asset Management Fonds diversifiés 3 03/02/25 0.81% 1.60% -0.52% -0.31%
AFER

Ofi Invest ESG Liquidités A
FR001400KPY6

Ofi Invest Asset Management Fonds exclusifs Gestion Sous Mandat Ofi Invest Asset Management ETF 1 04/02/25 0.27% NA NA NA
AFER

Afer Diversifié Durable ISR
FR0010821470

Ofi Invest Asset Management Fonds diversifiés 3 03/02/25 1.91% 2.45% 2.08% 2.50%
AFER

Afer Index Obligations Souveraines
FR0013526688

Amundi Asset Management Fonds obligations 3 04/02/25 0.32% -3.61% NA NA
AFER

Afer Multi Foncier
FR0013246253

Ofi Invest Asset Management Fonds immobiliers 3 03/02/25 0.68% -3.94% -2.32% NA
AFER

Afer Actions Amérique
FR0011399658

Ofi Invest Asset Management Fonds actions 5 03/02/25 1.64% 6.87% 9.76% 10.01%
AFER

Afer Experimmo ISR
FR0013505021

Ofi Invest Real Estate Sgp Fonds immobiliers 4 15/01/25 -0.01% -2.65% NA NA
AFER

Afer Marchés Emergents
FR0011399682

Ofi Invest Asset Management Fonds diversifiés 4 03/02/25 2.60% 1.94% 2.07% 3.18%
AFER

Afer Objectif 2026
FR0013499886

Ofi Invest Asset Management Fonds obligations buy and hold 3 03/02/25 0.57% 2.82% NA NA
AFER

Afer Actions PME
FR0012033371

Bnp Paribas Asset Mngt Europe Fonds actions 4 03/02/25 3.49% -0.58% 0.65% 4.10%
AFER

Afer Convertibles
FR0012264653

Ellipsis Asset Management Fonds diversifiés 3 31/01/25 2.45% 0.80% -1.58% -0.54%
AFER

Afer High Yield 2027
FR001400IEG1

Ofi Invest Asset Management Fonds obligations buy and hold 3 04/02/25 0.27% NA NA NA
AFER

Afer Pierre
FR0014003PJ7

Bnp Paribas Real Estate Invest Fonds immobiliers 3 31/12/24 NA -3.58% NA NA
AFER

Afer Avenir Senior
FR0013203841

Ofi Invest Asset Management Fonds actions 4 04/02/25 5.21% 4.31% 3.93% NA
AFER

Afer Premium
FR0013358389

Rothschild And Co Asset Mngt Fonds diversifiés 3 03/02/25 2.27% 2.24% 3.84% NA
AFER

Afer Crescendo
FR0013513942

Bnp Paribas Asset Mngt Europe Fonds diversifiés 3 31/01/25 1.96% 0.37% NA NA
AFER

Afer Index CAC 40
FR0013526696

Amundi Asset Management Fonds actions 6 04/02/25 6.49% 6.51% NA NA
AFER

Afer Actions Emploi
FR001400A027

Mirova Fonds actions 4 04/02/25 1.84% NA NA NA
AFER

Afer Actions Environnement
FR001400A0C9

Mandarine Gestion Fonds actions 6 03/02/25 0.38% NA NA NA
AFER

Afer Climat
LU2216001268

Ofi Invest Lux Fonds actions 4 03/02/25 4.31% 4.18% NA NA