IRIS FINANCE
Managed funds
Isin | Share Class / Fund | NAV | 2/24 | 2024 | 1 yr | 3 yrs | 5 yrs | ||
---|---|---|---|---|---|---|---|---|---|
FR0010160358 | IRIS AVENIR | 143.07 € | +3.5 | +10.3 | +16.1 | -0.8 | +25.7 | ||
FR0007471248 | IRIS EUROPE | 240.81 € | +4.1 | +12.9 | +14.6 | -4.6 | +18.7 | ||
FR0007013412 | IRIS EVOLUTION | 77.86 € | - | - | +3.2 | +0.3 | +3.4 | ||
FR0010337675 | PROVALOR CAP ENVIRONNEMENT | 43.22 € | - | - | -2.4 | -34.6 | -27 |
NAV 2/24 2024 1 yr 3 yrs 5 yrs 143.07 € +3.5 +10.3 +16.1 -0.8 +25.7 {{ part.navs.last | amountField }} {{ (100 * part.fields[currentYear]) | number:1 }} {{ (100 * part.fields['1001']) | number:1 }} {{ (100 * part.fields['1003']) | number:1 }} {{ (100 * part.fields['1005']) | number:1 }} 240.81 € +4.1 +12.9 +14.6 -4.6 +18.7 {{ part.navs.last | amountField }} {{ (100 * part.fields[currentYear]) | number:1 }} {{ (100 * part.fields['1001']) | number:1 }} {{ (100 * part.fields['1003']) | number:1 }} {{ (100 * part.fields['1005']) | number:1 }} 77.86 € - - +3.2 +0.3 +3.4 {{ part.navs.last | amountField }} {{ (100 * part.fields[currentYear]) | number:1 }} {{ (100 * part.fields['1001']) | number:1 }} {{ (100 * part.fields['1003']) | number:1 }} {{ (100 * part.fields['1005']) | number:1 }} 43.22 € - - -2.4 -34.6 -27 {{ part.navs.last | amountField }} {{ (100 * part.fields[currentYear]) | number:1 }} {{ (100 * part.fields['1001']) | number:1 }} {{ (100 * part.fields['1003']) | number:1 }} {{ (100 * part.fields['1005']) | number:1 }}