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La Française Sub Debt - Part C FR0010674978

PerformancesPerf. annualiséesVolatilités
1 sem.+0.3--
4 sem.-0.7--
52 sem.+1.3+1.3+6.1
1 mois-0.7--
3 mois+3.1--
6 mois+6--
1 an+0.9+0.9+6.1
3 ans+22+6.8+5.2
5 ans+23.4+4.3+6.7
10 ans+94.9+6.9+10
Max+102.4+7+9.9
AnnéeJanFévMarAvrMaiJunJulAouSepOctNovDéc
2019+6.9+3.1+1.7+0.1+2.7-0.9-------
2018-6.4+1.4-0.8-1+0.6-3.4-1+1.8-0.7+0.5-1.5-2.3-0.3
2017+13.4+1.2+1.1+1+2.1+1.1+0.9+1.7-0.1+0.8+2.60+0.3
2016+5.8-3.7-2.8+4.4+1.5+0.6-2+3.3+2-0.6+2-1+2.4
2015-0.6+2.7+1.9+0.30-0.8-3.6+2.2-1.4-4.6+3.6+0.7-1.3
2014+9.1+0.5+2.1+0.3+1.9+1.2+0.8+0.1+1.1-2+1.3+1+0.3
2013+11.2-0.4+1.7+0.2+3.4-0.1-1.5+2.20+1.4+2.7+0.8+0.3
2012+35.3+11.3+6.6+2.7-3.1-5.6+2.7+2.9+2.2+4.7+2.4+2.3+2.6
2011-25+2.2+1.4+2.2+1.6-0.3-2-2.2-10.9-18+8.7-13.3+6
2010+4.9+2.1-0.2+2.4+0.6-4.7-4.2+7.4+0.3+4.5+3.5-4.2-2
2009+28.9-1.6-1.4-0.3+2.3+4.8+4.4+9.4+1.5+5.1+1.7-1+1.2
2008+1.9-----------+1.9
Investissement programmé
Investissement TotalGain/Perte(Gain/Perte)/Inv
1 an1200+39.4+3.3
3 ans3600+240.2+6.7
5 ans6000+710.4+11.8
Pour un investissement programmé de 100€ par mois
Collecte / Effet marché
Actif au 21/05/201904/2019T1/2019S2/20182018YTD
Fonds761 M€+94.3 / +10.5-28.6 / +28.5-174.8 / -22.7-26.5 / -37.6+55.2 / +31.6
FR0010674978504.9 M€+15 / +13.3-35.9 / +24.3-123.3 / -13.1-49.3 / -41.1-30.2 / +32.7
FR001328907182.9 M€+70 / +0.5-0.4 / +0.4+1.8 / -0.3-2.2 / -0.8+72.6 / +0.1
FR001096931176.6 M€+0.4 / +2.1+1.2 / +3.5+9.8 / -4+6.6 / -8.1+1.8 / +4.9
FR001328906355.8 M€-0.4 / +1.6+11.2 / +2.5-55.5 / -3.6+14.3 / -8.8+9.6 / +3.5
FR001176640121.2 M€+0.5 / +0.6-9.1 / +1.3+3.1 / -0.9+7.3 / -2.2-9.1 / +1.7
FR001339775917.7 M€+8.7 / +0.3+11.2 / +0.10 / 00 / 0+17.4 / +0.3
FR00130179851 M€0 / 0+1 / 00 / 00 / 0+1 / 0
FR00132890550.9 M€+0.1 / 00 / 0+0.8 / 0+0.8 / 0+0.1 / +0.1
FR00123867380 M€0 / 00 / 00 / 00 / 00 / 0
FR00126492340 MSEK ( 0 M€ ) 0 / 00 / 00 / 00 / 00 / 0
FR00126492420 MSEK ( 0 M€ ) 0 / 00 / 00 / 00 / 00 / 0
FR00132286990 M$ ( 0 M€ ) 0 / 00 / 00 / 00 / 00 / 0
FR00133219320 M€0 / -8-7.8 / +0.5-10.2 / -0.6-8.4 / +23.7-7.8 / -7.5
FR00110361440 M€0 / 00 / 00 / 00 / 00 / 0
FR00133219160 M€0 / 00 / -4.3-1.2 / -0.1+4.5 / -0.20 / -4.3

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 gestionLA FRANCAISE ASSET MANAGEMENT
Dépositaire-
CAC-
Valorisateur-

Historique des valeurs liquidatives (Cours)

OSTs

Autres Parts