undefined FR0013297926

PerformancesPerf. annualiséesVolatilités
1 sem.-0.1--
4 sem.+1.7--
52 sem.-2.7-2.7+8.2
1 mois+1.3--
3 mois+1.1--
6 mois-3.7--
1 an-2.6-2.6+8.2
3 ans-1.1-0.4+7.8
Max-2.9-0.6+7.4
AnnéeJanFévMarAvrMaiJunJulAouSepOctNovDéc
2022-3.1+0.5-3.2+0.2-0.7+1.2-3.2+2.6-0.5----
2021+4.2-0.7-0.1+1.9+0.2+1+0.5-0.3+0.3-0.8+0.8-1.1+2.5
2020-3-0.6-3.1-3.5+0.2-0.1+1.5-0.1+0.1-0.2-1.7+4.3+0.4
2019+9.8+2+0.9+2.5+1.5-0.5+3+0.2+0.6+0.2-1.6+1.1-0.3
2018--000-5.4-0.1+1.5-1.8-1.1-2.40-0.8
Investissement programmé
Investissement TotalGain/Perte(Gain/Perte)/Inv
1 an1200-12.7-1.1
3 ans3600+14.5+0.4
Pour un investissement programmé de 100€ par mois
Collecte / Effet marché
Actif au 16/08/202207/2022T2/2022S1/20222021YTD
Fonds16479.6 M€-2741 / +1389.9-792.1 / -2290.9-5487.5 / -3902+6177.9 / +2995.8-8617.9 / -2348.7
FR00130677909224 M€-1470.6 / -3.8-496.6 / -16.6-4040.8 / -38.1+3343.3 / -68.9-5504.4 / -41.7
FR00135089421831.5 M€-279.4 / -0.6-166.1 / -3.1+11.4 / -7+814.8 / -9.3-407.7 / -7.6
FR00105993991394.6 M€-854 / -0.6+584.5 / -2.6+321.1 / -5.9+61.8 / -12.9-641.9 / -6.6
FR0011176635800.9 M€-33 / -0.4+104.5 / -1.4+144.2 / -2.9+413.1 / -3+105.1 / -3.4
FR0012903250562.5 M€-14.7 / -0.3+51 / -1.1+106 / -2.4+470.1 / -2.4+97.6 / -2.7
FR0013289402459.5 M€-2.4 / -0.2-55.9 / -0.9-219.7 / -1.9+511.9 / -2.2-326.8 / -2.1
FR0011408798437.5 M€+66.4 / -0.2+58.4 / -0.5+51.7 / -1+70.1 / -1.8+144.5 / -1.2
FR0013221181332.3 M€-24.9 / -0.1-253.4 / -0.7-180.6 / -1.8-168.5 / -3.7-207.8 / -1.9
FR0011307065281.1 M€+10.4 / -0.1-30.4 / -0.5-19.3 / -1+133.2 / -1.1-58.6 / -1.2
FR0013289386275.2 M€+16.9 / -0.1+18.2 / -0.4+26 / -0.8+17.8 / -1.2+45.8 / -1
FR0011630557224.9 M€-0.1 / -0.1+0.7 / -0.4+7.3 / -0.9-9.6 / -1.8+7.9 / -1.1
FR0014000EG3159.4 M€-5 / -0.1-6.2 / -0.3-12.1 / -0.6+178.8 / -0.9-17.7 / -0.7
FR0011408764132.4 M€+55.2 / -0.1+0.1 / -0.1-37.4 / -0.3+24.9 / -0.9+22 / -0.4
FR001329692893.9 M€-1.1 / -0.1-6.4 / -0.2-7.6 / -0.4-13 / -0.9-9.2 / -0.5
FR001322119983.1 M€-4.3 / 0-48.1 / -0.2-83 / -0.5+80.2 / -1.1-90 / -0.6
FR001329690275.3 M€-2.2 / -0.1-1.5 / -0.2+2 / -0.4-2.3 / -0.7-0.3 / -0.4
FR001121011144 M€-90.7 / 0-59.3 / -0.3-445.2 / -1.1-2049.6 / -8.3-579.9 / -1.2
FR0014000EH139.8 M€-0.1 / 0+2.3 / 0+4.1 / -0.1+34.8 / -0.1+5.2 / -0.1
FR001329756123.4 M€+3.8 / 0+20.5 / 0+20.7 / 0-4.5 / 0+23 / 0
FR00117999152.2 M€+0.1 / 00 / 00 / 0-0.9 / -0.10 / 0
FR00129032682.1 M€0 / 00 / 0-0.2 / 0+2.3 / 0-0.2 / 0
FR00131347230 M€0 / 00 / 00 / 00 / 00 / 0
FR00114631650 M€0 / 00 / 00 / 00 / 00 / 0
FR00107577810 M€+1.4 / -9.1-11.8 / +11.1-18.1 / +16.2+90 / -21.6-9.2 / +4.5
FR00134120200 M€+41 / +7.8+7.1 / -19.1+36.9 / -37.8+10.3 / +12.1+107.8 / -20.1
FR00135293020 M€0 / +0.1-0.2 / -0.10 / -0.2+0.9 / +0.50 / -0.1
FR00135293100 M€-0.5 / +2.4+0.8 / -2.6+3.3 / -4.3+3.1 / +3.2+2.1 / -0.9
FR00132989240 M€0 / 0-0.1 / -0.1-0.1 / -0.1-1.9 / +0.3-0.4 / -0.1
FR00133115110 M€0 / 00 / 00 / 00 / 00 / 0
FR00130534360 M€+3.2 / +36.4+14.3 / -59.9+4 / -96.9+54 / +61.3+7.9 / -59.1
FR00009914240 M€-20 / +138.5+44 / -236+35.9 / -378.7+305.7 / +222.1+16 / -235.1
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FR00133299190 M€0 / +2-0.1 / -0.8-0.1 / -1.3-1.1 / +2.7-5 / +0.8
FR00107629630 M€-2.4 / +5-7.3 / -10.3-7.5 / -17.2-11.8 / +3.8-10.3 / -12.2
FR00009851780 M€-0.3 / +1.2+1.2 / -4.5+2 / +1.1+0.9 / +5+1.7 / +2.9
FR00133855560 M€-12.6 / +6.2-58.7 / -15-57.4 / -32.3+88.6 / +25.7-74.3 / -25.9
FR00133298280 M€+0.4 / +2.3+0.8 / -3.9-0.6 / -6.8-26.4 / -2-0.2 / -4.5
FR00130534510 M€-0.4 / +3.9+2.3 / -6.6+10.1 / -11+24.8 / -1.4+11.6 / -7.4
FR00132947580 M€0 / 00 / 00 / 00 / 00 / 0
FR00132947740 M€0 / 00 / 00 / 00 / 00 / 0
FR00132952500 M€0 / +0.1-0.8 / +1.8-0.8 / -0.1+1.6 / +0.1-0.8 / 0
FR00130534440 M€+1 / +5.30 / -8.7+9.6 / -14.2+97.3 / -1+10.6 / -9.3
FR00132952270 M€-2.6 / +0.4-0.9 / -10 / -1.7+3.7 / -0.2-2.6 / -1.3
FR00132952760 M€0 / 00 / 00 / 00 / 00 / 0
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FR00102304740 M€+70.6 / -0.7-46.1 / -0.7-50.6 / -2.1-22.5 / -3.5+10.9 / -2.7
FR00108337150 M€-0.1 / +82.4+18.8 / -140.5+92.9 / -216.4+251.6 / +87.4+93 / -118.1
FR00009851600 M€0 / +1.3-0.1 / -1.5-0.3 / -2-0.9 / +2.1-0.4 / -0.5
FR00104333910 M€+0.3 / +9.3+1.1 / -14+2.8 / -28.5+84.6 / +20.9+3.2 / -18.1
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FR00105410940 M€-5.9 / +4.6-5.6 / -7.8-20 / -18.7+27 / +11.2-29.1 / -13.6
FR00115542370 M€-0.7 / +1.8+16.7 / -3.6+16.7 / -3.80 / +0.3+16 / -1.4
FR00133658220 M€0 / 00 / -0.10 / -0.2+1.5 / 00 / -0.1
FR00130850240 M€-4.1 / +0.9-1.8 / -5.1-11.7 / -6.9-22.9 / +0.5-15.9 / -5.3
FR00131861030 M€0 / 00 / 00 / 00 / 00 / 0
FR00101575110 M€-0.4 / +1-9.5 / -6-13 / -7.9-5.2 / +0.8-14.4 / -6
FR00070613790 M€-16.8 / +1.2-6.1 / -7.8+5.6 / -10.2+17.3 / +0.8-13.3 / -8
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FR00070596700 M€-0.3 / 0-0.2 / 0-0.3 / -0.1-0.8 / -0.1-0.5 / -0.1
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FR00123186320 M€+0.2 / +0.5+0.5 / -1.3+2 / -3-1.9 / +1.6+2.2 / -2.3
FR00134250140 M€-0.2 / +2.4-0.6 / -2.8-1.7 / -6-3.2 / +1.9-1.9 / -3.4
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FR00102332700 M€+1.5 / +11.3-6.6 / -14.8-2.4 / -20.9+8.4 / +30.1-2.9 / -5.9
FR00102360910 M€-2.2 / +3.8-0.5 / -7.3-1.7 / -13-113.4 / -0.5-3.9 / -8.4
FR00116608690 M€-11 / +2.3-23.9 / -7.2-23.6 / -13.7+23.1 / -0.7-35.1 / -10.9
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FR00105411850 M€+1.1 / +2.7-8.5 / -3.5-4.3 / -6.9-0.1 / +7.6-13 / -4.4
FR00107541350 M€-57.5 / +3.1+168.5 / -3.9+209.7 / -7.2+82.2 / -1.8+118.2 / -4.7
FR00109651290 M€+0.2 / +7-10.7 / -10.1-13 / -13.8+9 / +20.2-10.5 / -4.7
FR00123186160 M€+0.2 / +16.8+2.5 / -21.7+14.4 / -39.4+3.1 / +35.2+14.9 / -17.5
FR00106557460 M€+18.1 / +1-2.2 / -1.3-0.5 / -2.4+1.6 / +4.2-3.3 / +0.2
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FR00009851520 M€0 / +9.2-0.3 / -9.5-0.8 / -13.1-4.4 / +24.1-0.9 / -0.8
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FR00115974590 M€0 / 00 / 00 / 00 / +0.10 / 0
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FR00107911940 M€-9.4 / -4.8+12.7 / +3.7-6.8 / +4.8+29.5 / -7.9-18.6 / -1.2
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FR00132457270 M€-1.9 / +6.3-1.2 / -9.2+8.6 / -15.3-6 / +10.6+6.6 / -8.5
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FR00133142590 M€0 / +9.4+12 / -13.1+15.4 / -21.6+12.4 / +11.7+15.4 / -11.3
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FR00132243590 M€0 / 00 / 00 / 0-423.9 / 00 / 0
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FR00500009020 M€-9.9 / +0.20 / -0.30 / -0.40 / +49.9-9.9 / -0.3
FR00500008780 M€0 / 00 / +10 / +10 / 00 / +1
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FR00103199960 M€-74.2 / -10.1+9.2 / -13.7+147.2 / -14.8+47.4 / +5.5+75.2 / -18.9
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Détails

Structure juridique-
Fonds coordonné (UCITS) ?-
Fonds Nourricier ?-
Fonds à Formule-
Classification AMF-
Devise-
Investisseurs-
Min. souscription initiale-
Min. souscription ultérieure-
Indice de référence-
Durée de placement-
Fréquence de VL-
Affectation du résultat-
Eligible au PEA-
Eligible au PEA-PME-
Eligible Assurance Vie-
ISR-
SRRI
1234567

Frais

Frais d'entrée max-
Frais de sortie max-
Frais courants-

Acteurs

Société de gestionAMUNDI ASSET MANAGEMENT
Dépositaire-
CAC-
Valorisateur-

Historique des valeurs liquidatives (Cours)

OSTs

Autres Parts