CPR Oblig 12 Mois - R  FR0013294675

PerformancesPerf. annualiséesVolatilités
1 sem.0--
4 sem.-0.2--
52 sem.+0.1+0.1+1.1
1 mois-0.2--
3 mois+0.3--
6 mois+1.5--
1 an+0.1+0.1+1.1
Max-0.7-0.3+0.8
AnnéeJanFévMarAvrMaiJunJulAouSepOctNovDéc
2023+0.3+0.3+0.2-0.2---------
2022-0.8-0.1-0.6+0.1-0.3-0.2-0.8+0.6-0.2-0.50+0.7+0.4
2021-0000000-0.1-0.10-0.3+0.1
Investissement programmé
Investissement TotalGain/Perte(Gain/Perte)/Inv
1 an1100+8+0.7
Pour un investissement programmé de 100€ par mois
Collecte / Effet marché
Actif au 30/03/202302/2023T4/2022S2/20222022YTD
Fonds22771.6 M€-161.7 / +50.3+3763.4 / +630.2+631.8 / -837.8-4855.7 / -4739.7+867.7 / +916.3
FR001306779013957.8 M€-649.9 / +25.3+4287.4 / +40.9+2557.8 / +39.8-1483 / +1.7+586.9 / +82
FR00105993993324.9 M€+802.4 / +5.9+603.3 / +7.3-85.1 / +7.1+236.1 / +1.2+1026.9 / +17.8
FR0012903250810.4 M€+112.8 / +1.1-2.6 / +1.5+42.7 / +1.1+148.7 / -1.2+191.8 / +3.5
FR0011176635793.9 M€+17.6 / +1.1-40.1 / +1.8-117.2 / +1.3+27 / -1.6+65.5 / +3.7
FR0013508942688.1 M€-49.9 / +1.4-1072.2 / +3.8-1541.2 / +3.8-1529.8 / -3.2-29.9 / +4.2
FR0011408798659.3 M€+4.5 / +1.1+77.4 / +1.4+157.2 / +1.3+208.9 / +0.3+152.7 / +3.4
FR0011307065435.7 M€-1.5 / +0.5-58.7 / +0.9-48.3 / +0.9-67.6 / -0.1+160.7 / +1.8
FR0011408764341.6 M€+14.1 / +0.5+210.1 / +0.7+281.3 / +0.6+243.8 / +0.3-15 / +1.7
FR0013221181313.9 M€-25.1 / +0.7+9.5 / +1.1+19.8 / +1.1-160.8 / -0.7-68.7 / +2
FR0011630557264.9 M€+14.6 / +0.4+15.5 / +0.6+18.5 / +0.5+25.9 / -0.5+20.2 / +1.3
FR0013289402215 M€-114 / +0.5-36.7 / +0.5-334.5 / +0.4-554.2 / -1.5-19.1 / +1.3
FR0013289386200.6 M€-33.9 / +0.5+18.5 / +0.9+50.5 / +0.8+76.5 / 0-107.7 / +1.5
FR0013296928179.8 M€-19.8 / +0.3+103.7 / +0.4+99.4 / +0.4+91.8 / -0.1-16.5 / +0.9
FR0014000EG3164 M€+5.2 / +0.3-2.8 / +0.4-9.7 / +0.4-21.9 / -0.3+7.5 / +0.9
FR0013221199159.4 M€+52.5 / +0.4+72.7 / +0.3+63.7 / +0.3-19.2 / -0.3+4.2 / +1.1
FR0014000EH182.2 M€-6.3 / +0.1+25.4 / +0.4+39.5 / +0.4+43.6 / +0.3+3.1 / +0.4
FR001329690268.6 M€-0.3 / +0.1-3.3 / +0.2-7.9 / +0.1-5.9 / -0.3-1.6 / +0.3
FR001329756163.9 M€+0.5 / 0+0.1 / +0.1+3.9 / +0.1+24.5 / 0+38.7 / +0.2
FR001121011135.8 M€-1.8 / +0.1-5.6 / +0.1-135.3 / +0.1-580.4 / -1-8.1 / +0.2
FR00117999157.2 M€+2.1 / 0+2 / 0+2 / 0+2 / 0+3 / 0
FR00129032682.4 M€-0.2 / 0+0.5 / 0+0.5 / 0+0.3 / 0-0.2 / 0
FR00114631652.3 M€0 / 0+2.3 / 0+2.3 / 0+2.3 / 00 / 0
FR00131347230 M€0 / 00 / 00 / 00 / 00 / 0
FR00107577810 M€+18.2 / -2-20.3 / -19.3+18.7 / -13.5+0.7 / +2.7+14.3 / -13.3
FR00134120200 M€-4.1 / -15-2.9 / +2.6+71.2 / -21+108.1 / -58.8-31.3 / +7
FR00135293020 M€-0.1 / 00 / 0-0.2 / 0-0.2 / -0.2-0.2 / 0
FR00135293100 M€+0.4 / +0.2+4.2 / +0.2+2.9 / +0.1+6.2 / -4.2+1.9 / +0.7
FR00132989240 M€0 / 00 / 0-0.3 / 0-0.4 / -0.10 / 0
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FR00130534360 M€-1.3 / +1.7-56 / +19.7-98.2 / -10.5-94.2 / -107.4-55.7 / +8.5
FR00009914240 M€-4.6 / +8.2-24.5 / +75.1-37.5 / -55-1.6 / -433.7-17.9 / +40.4
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FR00133299190 M€0 / 0-2.4 / 0-16.1 / +2.1-16.2 / +0.80 / -7.2
FR00107629630 M€-3.5 / -3.3-6.1 / +1.7-11.8 / -5.4-19.2 / -22.6-11 / +3.1
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FR00130850240 M€-6.9 / +0.9-9.1 / +3.9-14.8 / +5-26.5 / -1.9-13.2 / -0.1
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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