ZARIFI GESTION
Managed funds
Isin | Share Class / Fund | NAV | 2/24 | 2024 | 1 yr | 3 yrs | 5 yrs | ||
---|---|---|---|---|---|---|---|---|---|
FR0007041439 | ZARIFI CONVICTIONS | 96.20 € | - | - | +13.1 | +21.8 | +52.5 | ||
FR0007393376 | ZARIFI PATRIMOINE | 62.80 € | - | - | +3.8 | +12.6 | +25.4 |
NAV 2/24 2024 1 yr 3 yrs 5 yrs 96.20 € - - +13.1 +21.8 +52.5 {{ 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 }} 62.80 € - - +3.8 +12.6 +25.4 {{ 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 }}