Supports

Cliquez sur un en-tête pour trier, sur une ligne pour ouvrir la fiche.

Support ISIN Société de gestion SRI SFDR Frais du fonds Frais du contrat VL Contrats
Accès Valeur Pierre BNP PARIBAS Reim 3/7 Article 8 1,97 %
Acti Equilibre C FR0014007LX8 DNCA Finance 3/7 ND 3,78 % 129,78 EUR
Action Accor SA FR0000120404 6/7 ND ND
Action ADIDAS DE000A1EWWW0 6/7 ND ND
Action Adyen NL0012969182 6/7 ND ND
Action Aeroports de Paris ADP FR0010340141 6/7 ND ND
Action Air France – KLM (rg) FR001400J770 6/7 ND ND
Action Air Liquide FR0000120073 6/7 ND ND 24
Action Airbus SE NL0000235190 6/7 ND ND 24
Action Allianz N DE0008404005 6/7 ND ND
Action Alphabet – A US02079K3059 6/7 ND ND
Action Alphabet CL C US02079K1079 6/7 ND ND
Action Alstom FR0010220475 6/7 ND ND 24
Action Amazon INC US0231351067 6/7 ND ND
Action Anheuser Busch Inbev BE0974293251 6/7 ND ND
Action Apple INC US0378331005 6/7 ND ND
Action ArcelorMittal LU1598757687 6/7 ND ND 24
Action Arkema FR0010313833 6/7 ND ND 24
Action ASML Hldg NL0010273215 6/7 ND ND 24
Action ASML Hold NY Sp ADR USN070592100 6/7 ND ND
Action AXA FR0000120628 6/7 ND ND
Action Banco Santander ES0113900J37 6/7 ND ND
Action BASF N DE000BASF111 6/7 ND ND
Action Bayer N DE000BAY0017 6/7 ND ND
Action BBVA ES0113211835 6/7 ND ND
Action BIOMERIEUX FR0013280286 6/7 ND ND 24
Action BMW DE0005190003 6/7 ND ND
Action BNP Paribas A FR0000131104 6/7 ND ND
Action Bouygues FR0000120503 6/7 ND ND
Action Broadcom US11135F1012 6/7 ND ND
Action Bureau Veritas FR0006174348 6/7 ND ND
Action CapGemini FR0000125338 6/7 ND ND
Action Carrefour FR0000120172 6/7 ND ND
Action Chevron US1667641005 6/7 ND ND
Action Coca-Cola Co US1912161007 6/7 ND ND
Action Crédit Agricole FR0000045072 6/7 ND ND
Action CRH PLC IE0001827041 6/7 ND ND
Action Daimler Truck Holding AG DE000DTR0CK8 6/7 ND ND
Action Danone FR0000120644 6/7 ND ND 24
Action Dassault Systemes SE FR0014003TT8 6/7 ND ND 24
Action Deutsche Boerse AG DE0005810055 6/7 ND ND
Action Deutsche Post AG DE0005552004 6/7 ND ND
Action Deutsche Telekom N DE0005557508 6/7 ND ND
Action Edenred FR0010908533 6/7 ND ND
Action Eiffage FR0000130452 6/7 ND ND
Action Enel IT0003128367 6/7 ND ND
Action ENGIE FR0010208488 6/7 ND ND
Action Eni IT0003132476 6/7 ND ND
Action EssilorLuxottica FR0000121667 6/7 ND ND
Action Eurofins Scientific FR0014000MR3 6/7 ND ND
Action Euronext NL0006294274 6/7 ND ND
Action Flutter Entmt Rg IE00BWT6H894 6/7 ND ND
Action Forvia FR0000121147 6/7 ND ND
Action Gecina FR0010040865 6/7 ND ND
Action General Electric Co US3696043013 6/7 ND ND
Action Getlink SE FR0010533075 6/7 ND ND
Action Hermès International FR0000052292 6/7 ND ND
Action HOME DEPOT US4370761029 6/7 ND ND
Action Iberdrola ES0144580Y14 6/7 ND ND 24
Action Inditex ES0148396007 6/7 ND ND
Action Infineon Technologies DE0006231004 6/7 ND ND
Action ING Group NL0011821202 6/7 ND ND
Action Intesa Sanpaolo IT0000072618 6/7 ND ND
Action Johnson & Johnson US4781601046 6/7 ND ND
Action JPMorgan Chase US46625H1005 6/7 ND ND
Action Kering FR0000121485 6/7 ND ND
Action Klepierre FR0000121964 6/7 ND ND
Action Koninklijke Ahold Delhaize N.V. NL0011794037 6/7 ND ND
Action L'Oréal FR0000120321 6/7 ND ND
Action Legrand FR0010307819 6/7 ND ND
Action LVMH FR0000121014 6/7 ND ND
Action Mercedes Benz Group DE0007100000 6/7 ND ND
Action Merck & Co Inc US58933Y1055 6/7 ND ND
Action Meta Plateforms Inc US30303M1027 6/7 ND ND
Action Michelin FR001400AJ45 6/7 ND ND 24
Action Microsoft US5949181045 6/7 ND ND
Action Muench Rueckvers N DE0008430026 6/7 ND ND
Action Nokia FI0009000681 6/7 ND ND
Action Nordea Bk Rg FI4000297767 6/7 ND ND
Action Nvidia US67066G1040 6/7 ND ND
Action Orange FR0000133308 6/7 ND ND
Action Pernod Ricard FR0000120693 6/7 ND ND
Action Procter and Gamble Co US7427181091 6/7 ND ND
Action Prosus Br Rg-N NL0013654783 6/7 ND ND
Action Publicis Groupe FR0000130577 6/7 ND ND
Action Remy Cointreau FR0000130395 6/7 ND ND
Action Renault FR0000131906 6/7 ND ND
Action Rexel FR0010451203 6/7 ND ND
Action SAFRAN FR0000073272 6/7 ND ND 24
Action Saint Gobain FR0000125007 6/7 ND ND 24
Action Sanofi FR0000120578 6/7 ND ND 24
Action SAP DE0007164600 6/7 ND ND
Action Sartorius Stedim Biotech FR0013154002 6/7 ND ND
Action Schneider Electric FR0000121972 6/7 ND ND 24
Action Siemens N DE0007236101 6/7 ND ND 24
Action Société Générale FR0000130809 6/7 ND ND
Action Sodexo FR0000121220 6/7 ND ND
Action Solvay BE0003470755 6/7 ND ND
Action Stellantis NL00150001Q9 6/7 ND ND
Action STMicroelectronics NL0000226223 6/7 ND ND
Action TELEPERFORM.SE FR0000051807 6/7 ND ND
Action Tesla Rg US88160R1014 6/7 ND ND
Action Thales FR0000121329 6/7 ND ND 24
Action Total SE FR0000120271 6/7 ND ND
Action Ubisoft Entertainment FR0000054470 6/7 ND ND
Action Unibail Rodamco Westfield FR0013326246 6/7 ND ND
Action Unicrédit RG IT0005239360 6/7 ND ND
Action Unitedhealth Group Inc US91324P1021 6/7 ND ND
Action Valeo FR0013176526 6/7 ND ND
Action Veolia Environnement FR0000124141 6/7 ND ND
Action Vinci FR0000125486 6/7 ND ND
Action VISA RG-A US92826C8394 6/7 ND ND
Action Vivendi SE FR0000127771 6/7 ND ND
Action Volkswagen Vz DE0007664039 6/7 ND ND
Action VONOVIA DE000A1ML7J1 6/7 ND ND
Action Wal-Mart Inc US9311421039 6/7 ND ND
Action WORLDLINE FR0011981968 6/7 ND ND
Actions 21 A FR0010541813 Gestion 21 5/7 Article 8 3,50 %
ADAUPERAN FR0014009BJ4 Auris Gestion 4/7 Article 8 4,30 %
Altixia Cadence XII SCPI SCPI00004469 Article 6 1,94 % 24
Amilton Premium Europe R FR0010687749 Meeschaert Asset Management 4/7 Article 8 3,30 %
Amundi Funds Global Corporate Bond A LU0557863056 Amundi Luxembourg S.A. 3/7 Article 8 2,25 % 203,84 EUR
Amundi Funds Volatility Euro A LU0272941971 Amundi Luxembourg S.A. 5/7 Article 6 2,50 % 121,83 EUR
Amundi Index MSCI Emerging Markets SRI PAB – UCITS ETF DR (C ) LU1861138961 Amundi Luxembourg S.A. 4/7 Article 9 0,15 % ND 1
Amundi Index MSCI North America LU0389812347 Amundi Luxembourg S.A. 5/7 Article 9 1,28 % 896,90 EUR
Amundi NYSE Arca Gold BUGS UCITS ETF Dist LU2611731824 Amundi Luxembourg S.A. 6/7 Article 6 0,55 % ND 73,90 EUR 1
Axiom 2027 RC EUR FR001400JNU1 Axiom Alternative Investments 3/7 Article 8 2,25 %
Axiom Lux – Axiom Obligataire – part R LU1876460905 Axiom Alternative Investments 2/7 Article 8 3,16 %
Barings Asia Gwth FD A Eur Dis IE0004868604 Baring International Fund Managers (Ireland) Limited 4/7 Article 8 2,70 % 168,05 EUR
BGF – Next Generation Technology Fund A2 EUR Hedged LU1861216510 Blackrock (Luxembourg) S.A. 5/7 Article 6 2,81 % 28,40 EUR
BGF – World Gold E2 EUR LU0171306680 Blackrock (Luxembourg) S.A. 5/7 Article 6 3,57 % 89,03 EUR
BGF – World Healthscience Fund A2 EUR LU0171307068 Blackrock (Luxembourg) S.A. 4/7 Article 8 2,82 % 69,02 EUR
BGF – World Technology Fund A2 EUR LU0171310443 Blackrock (Luxembourg) S.A. 5/7 Article 8 2,82 % 125,37 EUR
BGF Global Multi-Asset Income Fund A2 USD cap LU0784385840 Blackrock (Luxembourg) S.A. 3/7 Article 6 2,78 % 16,17 EUR
BGF Latin American A2 EUR LU0171289498 Blackrock (Luxembourg) S.A. 5/7 Article 6 3,08 % 69,49 EUR
BGF Sustainable Energy Fund A2 Eur Cap LU0171289902 Blackrock (Luxembourg) S.A. 4/7 Article 9 2,97 % 20,35 EUR
BGF World Energy LU0171301533 Blackrock (Luxembourg) S.A. 5/7 Article 6 3,06 % 31,46 EUR
BGF World Mining Fund A2 (EUR) LU0172157280 Blackrock (Luxembourg) S.A. 5/7 Article 6 3,06 % 105,08 EUR
BNP Paribas Développement Humain – Classic FR0010077412 BNP Paribas Asset Management France 4/7 Article 9 2,47 % 286,30 EUR
BNP Paribas Easy MSCI USA SRI-Series PAB 5% Capped Privilege LU2607531345 BNP PARIBAS ASSET MANAGEMENT Luxembourg 5/7 ND 1,25 % 304,76 EUR
BNP Paribas Flexi I Commodities Classic H EUR Cap LU1931957093 BNP PARIBAS ASSET MANAGEMENT Luxembourg 4/7 Article 6 2,97 % 83,40 EUR
BNP PARIBAS Funds – Turkey Equity LU0265293521 BNP PARIBAS ASSET MANAGEMENT Luxembourg 6/7 Article 8 3,23 % 279,56 EUR
BNP Paribas Funds Global Convertible LU0823394852 BNP PARIBAS ASSET MANAGEMENT Luxembourg 3/7 Article 8 2,63 % 244,11 EUR
Breizh Global Invest Part A FR0014008GM9 Sanso Investment Solutions 5/7 Article 8 3,00 %
Candriam Bonds Global Government Classic Cap Eur LU0157931550 Candriam 3/7 Article 8 1,84 % 122,64 EUR
Candriam Equities L Biotechnology C EUR Acc LU1120766388 Candriam 5/7 Article 8 3,02 % 358,99 EUR
Candriam Patrimoine Obli-Inter – C FR0011445436 Candriam 2/7 Article 6 2,01 %
Candriam Sustainable Bond Emerging Markets R Cap LU1434520000 Candriam 3/7 Article 9 1,91 % 101,23 EUR
Candriam Sustainable Equity Climate Action R Cap LU1932634618 Candriam 5/7 Article 9 2,10 % 195,89 EUR
Canopée Equilibre Part C – EUR FR0014009CE3 DNCA Finance 3/7 Article 8 4,07 % 123,79 EUR
Capital Group Global Allocation Fund (LUX) B LU1006075656 Capital International Management Company S.à r.l. 3/7 Article 6 2,65 % 22,28 EUR
Capital Group New Perspective Fund (LUX) B (EUR) LU1295551144 Capital International Management Company S.à r.l. 4/7 Article 6 2,61 % 26,59 EUR
Carmignac Credit 2027 A EUR Acc FR00140081Y1 Carmignac Gestion 2/7 Article 8 2,04 % 128,38 EUR 1
Carmignac Credit 2029 A Eur Acc FR001400KAV4 Carmignac Gestion 2/7 Article 8 2,14 % 120,59 EUR
Carmignac Emergents A EUR acc FR0010149302 Carmignac Gestion 4/7 Article 9 2,54 % 1 900,74 EUR
Carmignac Investissement A EUR acc FR0010148981 Carmignac Gestion 4/7 Article 8 2,52 % 3 061,99 EUR 1
Carmignac Long Short European Equities A FR0010149179 Carmignac Gestion 3/7 Article 8 3,30 % 417,41 EUR
Carmignac Profil Reactif 50 FR0010149203 Carmignac Gestion 3/7 Article 8 3,69 % 232,63 EUR
Carmignac Sécurité A EUR acc FR0010149120 Carmignac Gestion 2/7 Article 8 2,11 % 1 930,58 EUR
Centifolia C FR0007076930 DNCA Finance 4/7 Article 8 3,39 % 567,48 EUR
Choix Solidaire FR0010177899 Ecofi Investissements 3/7 Article 8 1,90 % 1
COMGEST GROWTH EUROPE S EUR ACC IE00B4ZJ4634 Comgest Asset Management International Limited 4/7 Article 6 3,21 % 35,17 EUR 1
Comgest Growth Japan EUR H Dis IE00BYYLPY56 Comgest Asset Management International Limited 4/7 Article 8 2,75 % 25,52 EUR
Comgest Growth Japan EUR R Acc (EUR) IE00BD1DJ122 Comgest Asset Management International Limited 4/7 Article 8 2,75 % 15,42 EUR
Comgest Growth World EUR Dis IE00BYYLQ314 Comgest Asset Management International Limited 4/7 Article 8 2,85 % 44,80 EUR
Convergences C FR0014009BO4 Auris Gestion 3/7 Article 6 3,00 %
CPR Actions France ESG P FR0011354646 CPR Asset Management 5/7 Article 9 2,21 %
CPR Croissance Défensive P FR0010097667 CPR Asset Management 2/7 Article 8 2,34 % 1
CPR Croissance Dynamique – P FR0010097642 CPR Asset Management 4/7 Article 8 2,66 %
CPR Croissance Reactive P FR0010097683 CPR Asset Management 3/7 Article 8 2,66 % 1
CPR Invest – Global Gold Mines A EUR – Acc LU1989765471 CPR Asset Management 6/7 Article 8 3,01 % 264,88 EUR
Cyril Systematic P FR0011073774 Finaltis 4/7 ND 3,46 %
Digital Funds Stars Europe P EUR LU2005654798 J.Chahine Capital 4/7 Article 8 3,34 % 202,96 EUR
DLCM Avenir R FR00140063W3 Fourpoints 3/7 Article 6 3,65 %
DNCA Invest – Convertibles A LU0401809073 DNCA Finance 3/7 Article 8 2,69 % 193,57 EUR
DNCA Invest – Evolutif – A LU0284394664 DNCA Finance 4/7 Article 8 3,07 % 225,47 EUR
Dnca Invest – SRI Norden Europe – Classe A – EUR LU1490785091 DNCA Finance 4/7 Article 8 2,93 % 211,82 EUR
DNCA INVEST – SRI Europe Growth B LU0870553459 DNCA Finance 4/7 Article 8 3,47 % 278,13 EUR
DNCA Invest Alpha Bonds A EUR LU1694789451 DNCA Finance 2/7 Article 8 2,30 % 131,70 EUR 1
DNCA INVEST ARCHER MID-CAP EUROPE LU1366712518 DNCA Finance 4/7 Article 8 3,12 % 277,56 EUR
DNCA Invest Beyond Alterosa A – EUR C LU1907594748 DNCA Finance 3/7 Article 9 2,55 % 120,71 EUR
DNCA Invest Beyond Climate LU2254337392 DNCA Finance 4/7 Article 9 2,98 % 135,50 EUR 1
DNCA Invest Beyond European Bond Opportunities B LU0392098371 DNCA Finance 2/7 Article 8 2,50 % 154,99 EUR
DNCA Invest Beyond Semperosa A LU1907595398 DNCA Finance 4/7 Article 9 2,87 % 177,17 EUR
DNCA Invest Evolutif Class B shares EUR LU0284394821 DNCA Finance 4/7 Article 8 3,46 % 210,04 EUR
DNCA Invest Evolutif SI C LU2661119755 DNCA Finance 4/7 Article 8 3,20 % 130,71 EUR 1
DNCA Invest Miuri LU0641745681 DNCA Finance 2/7 Article 6 3,09 % 121,82 EUR 1
DNCA Invest Sustainable China Equity A EUR LU2254337632 DNCA Finance 5/7 ND 3,66 %
DNCA Invest-Beyond Global Leaders B Eur Cap LU0383784146 DNCA Finance 4/7 Article 9 3,28 %
Dorval Convictions PEA – A – C FR0010229187 Dorval Asset Management 4/7 Article 8 2,80 % 328,30 EUR
Dorval Global Convictions Patrimoine R – C FR0013333838 Dorval Asset Management 2/7 Article 8 2,20 % 119,28 EUR
DPAM INVEST B Equities Euroland B Cap BE0058182792 Degroof Petercam Asset Management S.A. 4/7 Article 8 2,76 % 383,56 EUR
DPAM INVEST B Equities NewGems Sustainable – Classe B BE0946564383 Degroof Petercam Asset Management S.A. 4/7 Article 8 2,74 % 375,96 EUR
DPAM Invest B Equities World Sustainable B BE0058652646 Degroof Petercam Asset Management S.A. 4/7 Article 9 2,74 % 408,75 EUR
DPAM Invest B Real Estate Europe BE0058187841 Degroof Petercam Asset Management S.A. 5/7 Article 8 2,77 % 442,97 EUR
Echiquier Agenor SRI Mid Cap Europe A FR0010321810 La Financière de l'Echiquier 4/7 Article 8 3,43 % 484,70 EUR
Echiquier Agressor FR0010321802 La Financière de l'Echiquier 4/7 Article 8 3,26 % 2 220,89 EUR 1
Echiquier Altarocca Hybrid Bond R FR0013277571 La Financière de l'Echiquier 3/7 Article 8 2,30 % 111,43 EUR
Echiquier Artificial Intelligence LU1819480192 La Financière de l'Echiquier 5/7 Article 8 2,73 % 298,11 EUR 1
Echiquier Credit Target Income 2027 A FR001400KTQ4 La Financière de l'Echiquier 3/7 Article 8 2,00 %
Echiquier Major SRI Growth Europe – Action A FR0010321828 La Financière de l'Echiquier 4/7 Article 8 3,39 % 378,93 EUR
Echiquier Patrimoine FR0010434019 La Financière de l'Echiquier 3/7 Article 8 1,98 %
Echiquier Value Euro – Action A FR0011360700 La Financière de l'Echiquier 4/7 Article 8 3,41 %
Edgewood L Select – US Select Growth – A EUR LU0304955437 Edgewood Management LLC 5/7 ND 2,89 % 670,87 EUR
Edmond de Rothschild Fund – Bond Allocation – A EUR LU1161527038 Edmond de Rothschild Asset Management (Luxembourg) 2/7 Article 8 2,17 % 237,84 EUR 1
Edmond de Rothschild Fund – Human Capital A EUR LU2221884310 Edmond de Rothschild Asset Management (Luxembourg) 4/7 Article 8 2,97 %
Edmond de Rothschild Fund Equity Opportunities A EUR LU1160358633 Edmond de Rothschild Asset Management (Luxembourg) 5/7 Article 6 2,73 %
Edmond de Rothschild Goldsphere FR0010664086 Edmond de Rothschild Asset Management (France) 6/7 Article 8 3,58 % 360,91 EUR
Edmond de Rothschild India FR0010479931 Edmond de Rothschild Asset Management (France) 5/7 Article 8 3,00 % 481,13 EUR
Edmond de Rothschild Japan C FR0010983924 Edmond de Rothschild Asset Management (France) 4/7 Article 6 3,00 %
EdR Fund Euro High Yield A EUR LU1160363633 Edmond de Rothschild Asset Management (Luxembourg) 3/7 Article 8 2,22 % 451,44 EUR
EdR Fund Europe Convertibles A EUR cap LU1103207525 Edmond de Rothschild Asset Management (Luxembourg) 3/7 Article 8 2,34 %
EdR Fund Europe Synergy A LU1102959951 Edmond de Rothschild Asset Management (Luxembourg) 4/7 Article 8 3,16 %
EdR Fund Global Convertibles A EUR cap LU1160353758 Edmond de Rothschild Asset Management (Luxembourg) 3/7 Article 8 2,53 %
EdR Fund US Value A- EUR H LU1103303670 Edmond de Rothschild Asset Management (Luxembourg) 5/7 Article 8 3,20 % 212,96 EUR
EdR Income Europe – B LU0992632611 Edmond de Rothschild Asset Management (Luxembourg) 3/7 Article 8 2,60 % 104,88 EUR
EDR SICAV – Equity Euro Solve A FR0013219243 Edmond de Rothschild Asset Management (France) 4/7 Article 8 2,56 % 134,19 EUR
EdR SICAV – Equity US Solve A EUR (H) FR0013404274 Edmond de Rothschild Asset Management (France) 4/7 Article 8 2,31 %
EdR SICAV – Green New Deal A EUR FR0013428927 Edmond de Rothschild Asset Management (France) 4/7 Article 9 2,86 %
EdR SICAV – Short Duration Credit A EUR FR0013460920 Edmond de Rothschild Asset Management (France) 2/7 Article 8 1,87 % 113,12 EUR
EdR SICAV European Smaller Companies A EUR FR0014009Z77 Edmond de Rothschild Asset Management (France) 4/7 Article 8 ND 135,37 EUR
EdR SICAV Millésima Select 2028 A Eur FR001400JGB5 Edmond de Rothschild Asset Management (France) 2/7 Article 8 1,95 % 113,44 EUR
EDR Tricolore Convictions A EUR FR0010588343 Edmond de Rothschild Asset Management (France) 4/7 Article 8 3,16 % 486,68 EUR
Efimmo SCPI00000419 Sofidy 3/7 Article 8 2,48 % 28
EIFFEL RENDEMENT 2028 – R – EUR FR001400GXY8 EIFFEL INVESTMENT GROUP 3/7 Article 8 2,30 %
Eleva UCITS Eleva Absolute Return Europe A2EUR acc LU1920211973 Eleva Capital 2/7 Article 8 3,63 % 139,52 EUR
Eleva UCITS Eleva Euroland Sel A2EUR acc LU1616921158 Eleva Capital 4/7 Article 8 3,14 % 229,47 EUR
Eleva UCITS Eleva Leaders Small & Mid-Cap Europe A2 EUR acc LU1920214563 Eleva Capital 4/7 Article 8 3,40 % 164,00 EUR
EMTN 18 AP Oxygène Dégressif Avril 2024 FR001400NZS1 Natixis Investment Managers S.A. ND ND
EMTN 19AP Trimestriel Juin 2024 FR001400ORK3 Natixis Investment Managers S.A. ND ND
EMTN Athena Degressif Basic Mai 2024 Part (A) FRIP00000AE3 Morgan Stanley & Co International PLC ND ND
EMTN Athéna Privilège Septembre 2024 FR001400NCM3 BNP Paribas Arbitrage Issuance B.V 7/7 ND ND
EMTN Autocall Baisse des Taux Avril 2024 FR001400O1I8 SG Issuer ND ND
EMTN Autocall Banques Mensuel Avril 2024 FRIP000006Q2 Morgan Stanley & Co International PLC 6/7 ND ND
EMTN Autocall Premium BNP Paribas Mai 2024 FRIP00000B56 Morgan Stanley & Co International PLC ND ND
EMTN Autocall Taux Juin 2024 FR001400OJ49 BNP Paribas Issuance B.V ND ND
EMTN AZALEA TAUX 2024 FR001400OCJ7 SG Issuer ND ND
EMTN C&S PREMIUM S LUXE 05-2024 FR001400NLO0 Natixis Investment Managers S.A. 5/7 ND ND
EMTN Callable Plus 2024 FR001400NQ90 Société Générale ND ND
EMTN CMS Bear Mai 2024 FR001400OFY9 SG Issuer ND ND
EMTN COUPON OBJECTIF TAUX 2024 FR001400NY41 SG Issuer ND ND
EMTN D Rendement Taux Avril 2024 FR001400NJ08 SG Issuer ND ND
EMTN D Rendement US Mai 2024 FR001400NZZ6 BNP Paribas Arbitrage Issuance B.V ND ND
EMTN Daily Autocall Action ENGIE Avril 2024 FR1459AB2775 Goldman Sachs Finance Corp International Ltd ND ND
EMTN Horizon Mai 2024 FR1459AB3468 Goldman Sachs Finance Corp International Ltd ND ND
EMTN K Energy Degressif Mai 2024 FR1459AB2783 Goldman Sachs Finance Corp International Ltd ND ND
EMTN K Rendement CMS Mai 2024 FR2CIBFS8097 Crédit Agricole CIB Financial Solutions ND ND
EMTN K TAUX CMS MAI 2024 FR2CIBFS8014 Crédit Agricole CIB Financial Solutions ND ND
EMTN K Taux Juin 2024 FR001400OI99 BNP Paribas Issuance B.V ND ND
EMTN KS Mercedes Decrement 5EUR Juin 2024 FR1459AB2627 Goldman Sachs Finance Corp International Ltd ND ND
EMTN KS Steepener Mai 2024 FR001400MYY4 BNP Paribas Arbitrage Issuance B.V 1/7 ND ND
EMTN Lotus 10 Wordline Mai 2024 FR001400OUI1 Natixis Structured Issuance SA ND ND
EMTN Lotus 11 Ressources Mai 2024 FRIP00000D47 Morgan Stanley & Co International PLC ND ND
EMTN Lotus 12 Energie Mai 2024 FR001400OUE0 Citigroup Global Markets Funding Luxembourg S.C.A. ND ND
EMTN Lotus 13 Tech Mai 2024 FR001400OUL5 BNP Paribas Arbitrage Issuance B.V ND ND
EMTN Lotus 8 Forvia Mai 2024 FR001400OUO9 BNP Paribas Issuance B.V ND ND
EMTN Lotus 9 Valeo Mai 2024 FR001400OUP6 BNP Paribas Issuance B.V ND ND
EMTN M Equilibre FR001400P983 BNP Paribas Issuance B.V ND ND
EMTN Medicia Phoenix Semestriel CMS10 – Juin 2024 FR001400ORO5 SG Issuer ND ND
EMTN Mélèze Avril 2034 FR1459AB2205 Goldman Sachs Finance Corp International Ltd 1/7 ND ND
EMTN Millenium Distribution Basic Ressources Avril 24 FRSG00014QI0 SG Issuer ND ND
EMTN Monthlycall Dégressif Santé Mai 2024 FR001400NV44 Natixis Structured Issuance SA ND ND
EMTN NexAthena Renault Mai 2024 FR001400OTA0 Natixis Structured Issuance SA ND ND
EMTN Note Autocall Taux Avril 2024 FR001400O9F7 BNP Paribas Issuance B.V ND ND
EMTN Note Autocall Taux Avril 2024 – U FR001400NOA3 BNP Paribas Issuance B.V ND ND
EMTN Note Autocall Taux Septembre 2024 FR001400NX18 BNP Paribas Issuance B.V ND ND
EMTN Note Taux 12 ans Juin 2024 FR1459AB2502 Goldman Sachs Finance Corp International Ltd ND ND
EMTN Note Taux Fixe Avril 2024 FRSG000304W7 Société Générale 1/7 ND ND
EMTN Note Taux Fixe Callable Juin 2024 FRSG000305K9 Société Générale 1/7 ND ND
EMTN Note Taux Fixe Juin 2024 FR1459AB1900 Goldman Sachs Finance Corp International Ltd 1/7 ND ND
EMTN NTF AVRIL 2024 FR2CIBFS5044 Crédit Agricole CIB Financial Solutions 1/7 ND ND
EMTN Objectif Eurostoxx 50 Avril 2024 FRIP00000D13 Morgan Stanley & Co International PLC ND ND
EMTN Objectif Mensuel Action BNP Paribas Avril 2024 FR1459AB2593 Goldman Sachs Finance Corp International Ltd ND ND
EMTN Objectif Rendement Trimestriel Mai 2024 FR001400OIW7 SG Issuer ND ND
EMTN Objectif Taux Euro Avril 2024 FR001400NO27 SG Issuer ND ND
EMTN Objectif Taux Trimestriel Mai 2024 FR1459AB2759 Goldman Sachs Finance Corp International Ltd ND ND
EMTN Obligation Callable Taux Fixe Mai 2024 FR2CIBFS5853 Crédit Agricole CIB Financial Solutions ND ND
EMTN Olympe Distribution Taux Mai 2024 FR001400OEL9 SG Issuer ND ND
EMTN Opportunité Action BNP Paribas Mai 2024 – Part A FRSG00014NZ1 SG Issuer ND ND
EMTN Opportunité France Mai 2024 – Part A FR001400NU94 BNP Paribas Issuance B.V 7/7 ND ND
EMTN Opportunite Transatlantique Mai 2024 FR1459AB2700 Goldman Sachs Finance Corp International Ltd ND ND
EMTN Opti Strike Mensuel BNP Paribas Avril 2024 FR1459AB2684 Goldman Sachs Finance Corp International Ltd ND ND
EMTN Pacific Call Avril 2024 FRIP00000AL8 Morgan Stanley & Co International PLC ND ND
EMTN Patrimoine Oil and Gas Mai 2024 part S FR1459AB2734 Goldman Sachs Finance Corp International Ltd 2/7 ND ND
EMTN Performance Mensuel Basic Mai 2024 EMTN FRIP00000AF0 ND 1,00 %
EMTN Perspective Action Bnp Mensuelle juin 2024 FR1459AB2635 Goldman Sachs Finance Corp International Ltd ND ND
EMTN Perspective Action Mercedes Avril 2024 FRIP000006Z3 Morgan Stanley & Co International PLC 6/7 ND ND
EMTN Phoenix Baisse de Taux Mai 2024 FR001400OCI9 SG Issuer ND ND
EMTN Phoenix Bearish Mai 2024 EMTN FR001400OWF3 ND 1,00 %
EMTN Phoenix Degressif Klepierre Decrement 1.70 Juin 2024 FR001400OPO9 Citigroup Global Markets Funding Luxembourg S.C.A. ND ND
EMTN Phoenix Taux Euro Mai 2024 – Part B FR001400O3D5 SG Issuer ND ND
EMTN Planifique Dégressif 8 FRIP000004U9 Morgan Stanley & Co International PLC 5/7 ND ND
EMTN Prestige Auto Avril 2024 FRSG00014ND8 SG Issuer ND ND
EMTN Rendement Taux Juillet 2024 FR001400OE28 BNP Paribas Issuance B.V ND ND
EMTN Rendement Taux Juin 2024 FR001400OQF5 SG Issuer ND ND
EMTN Strat Target Performance USA EU FRIP00000CT7 Morgan Stanley & Co International PLC ND ND
EMTN Strat Taux CMS Juin 2024 FR001400OTK9 SG Issuer ND ND
EMTN Taux Avril 2024 FR001400OJA1 SG Issuer ND ND
EMTN Taux Mai 2024 FRSG000305B8 Société Générale 1/7 ND ND
EMTN Twin-Win Europe Juin 2024 FR1459AB2080 Goldman Sachs Finance Corp International Ltd 1/7 ND ND
Epargne Foncière SCPI00000449 La Française Real Estate Managers 3/7 Article 9 2,06 % 25
Epargne Pierre SCPI00003929 Atland Voisin 3/7 Article 8 1,74 % 24
Equities Sustainable Food Trends BE0947764743 Degroof Petercam Asset Management S.A. 4/7 Article 9 2,79 % 189,81 EUR
Ethna-AKTIV E – R-T LU0564184074 ETHENEA Independent Investors S.A. 3/7 Article 8 3,35 %
EUODIA DYNAMIQUE FR001400F9H4 Gay-Lussac Gestion 4/7 ND 3,80 %
EUODIA EQUILIBRE FR001400F9I2 Gay-Lussac Gestion 3/7 Article 8 3,80 %
Exane Funds 2 Exane Pleiade Fund B EUR ACC LU0616900774 Exane Asset Management 2/7 Article 8 3,13 % 126,37 EUR 1
FCP Insertion Emplois Dynamique FR0010702084 Natixis Investment Managers International 4/7 Article 9 2,79 % 261,00 EUR
FCPR AMUNDI MEGATENDANCES III EVOLUTION – Part A FR001400E235 et autres fonds non côtés Amundi Private Equity Funds 6/7 Article 8 3,36 %
FCPR APEO FR0013533619 et autres fonds non côtés Seven2 6/7 Article 8 2,95 %
FCPR Eiffel Infrastructures Vertes Part C FR001400BCG0 et autres fonds non côtés EIFFEL INVESTMENT GROUP 3/7 Article 9 3,30 % 1
FCPR Entrepreneurs & Rendement N 8 Part L FR001400K9R6 et autres fonds non côtés Entrepreneur Invest 6/7 Article 8 ND
FCPR ENTREPRENEURS SELECTION SECONDAIRE PART L FR001400HHK8 et autres fonds non côtés Entrepreneur Invest 6/7 Article 8 3,24 %
FCPR Eurazeo Principal Investments part D FR00140086L7 et autres fonds non côtés Eurazeo Investment Manager 5/7 Article 8 4,28 %
FCPR Eurazeo Private Value Europe 3 FR0013301553 et autres fonds non côtés Eurazeo Investment Manager 3/7 Article 6 2,93 % 1
FCPR EURAZEO STRATEGIC OPPORTUNITIES 3 Part D FR001400B3M1 et autres fonds non côtés Eurazeo Investment Manager 4/7 Article 6 4,64 %
FCPR Extend Sunny oblig et foncier FR0013304136 et autres fonds non côtés EXTENDAM 6/7 Article 6 4,21 %
FCPR TIKEHAU FINANCEMENT DECARBONATION -Part I FR001400HLW5 et autres fonds non côtés Tikehau Investment Management 6/7 Article 8 2,61 % 1
FF – Sustainable Water & Waste Fund A-ACC-Euro LU1892829828 FIL Investment Management (Luxembourg) S.A. 4/7 Article 8 2,90 % 15,14 EUR
Fidelity Emerging Markets A-Eur-Dis LU0307839646 FIL Investment Management (Luxembourg) S.A. 4/7 Article 8 2,93 % 25,83 EUR
Fidelity European Dynamic Grth A-Acc-EUR LU0261959422 FIL Investment Management (Luxembourg) S.A. 4/7 Article 8 2,89 % 34,38 EUR
Fidelity Funds – America Fund A Acc EUR LU0251127410 FIL Investment Management (Luxembourg) S.A. 4/7 Article 8 2,89 % 45,55 EUR
Fidelity Funds – America Fund A EUR LU0069450822 FIL Investment Management (Luxembourg) S.A. 4/7 Article 8 2,89 % 16,46 EUR 1
Fidelity Funds – ASEAN A Acc USD LU0261945553 FIL Investment Management (Luxembourg) S.A. 4/7 Article 8 2,94 % 33,28 USD
Fidelity Funds – EMEA A EUR (C) LU0303816705 FIL Investment Management (Luxembourg) S.A. 5/7 ND 2,95 % 25,32 EUR
Fidelity Funds – Emerging Europe, Middle East & Africa E LU0303816887 FIL Investment Management (Luxembourg) S.A. 5/7 ND 3,70 % 21,91 EUR
Fidelity Funds – Global Multi Asset Income Fund A-Acc-EUR LU0987487336 FIL Investment Management (Luxembourg) S.A. 3/7 Article 8 2,74 % 13,54 EUR 1
Fidelity Funds – Sustainable Asia Equity Fund A EUR Cap LU0261946445 FIL Investment Management (Luxembourg) S.A. 4/7 Article 8 2,92 % 47,93 EUR
Fidelity Funds – Sustainable Japan Equity Fund A EUR (D) LU0069452018 FIL Investment Management (Luxembourg) S.A. 4/7 Article 8 2,92 % 2,55 EUR
Fidelity Global Dividend E-Acc-EUR LU1038895451 FIL Investment Management (Luxembourg) S.A. 4/7 Article 8 3,64 % 28,54 EUR
Fidelity Japan advantage A hedged Eur LU0611489658 FIL Investment Management (Luxembourg) S.A. 4/7 Article 8 2,92 % 62,47 EUR 1
Fidelity Target 2025 Fund A EUR LU0251131792 FIL Investment Management (Luxembourg) S.A. 3/7 ND 2,28 % 17,02 EUR
Fidelity Target 2030 Fund A EUR LU0251131362 FIL Investment Management (Luxembourg) S.A. 3/7 ND 2,53 % 23,26 EUR
Fidelity Target 2040 Fund A EUR LU0251120084 FIL Investment Management (Luxembourg) S.A. 4/7 Article 6 2,94 % 66,03 EUR
Fidelity Target 2045 Fund A EUR LU1025014389 FIL Investment Management (Luxembourg) S.A. 4/7 Article 6 2,95 % 27,93 EUR
Fidelity Target 2050 Fund A EUR LU1025014629 FIL Investment Management (Luxembourg) S.A. 4/7 ND 2,95 % 27,91 EUR
Fidelity World A-Acc-EUR LU1261432659 FIL Investment Management (Luxembourg) S.A. 4/7 Article 8 2,89 % 27,56 EUR
Financiere Du Fay 3 – part R FR001400JDX6 Auris Gestion 3/7 Article 8 2,20 %
First Eagle Amundi Income Builder AHE-C LU1095740236 Amundi Luxembourg S.A. 3/7 Article 6 2,80 % 146,88 EUR 1
FLEXIBILIS – Part C FR001400CAU3 Auris Gestion 3/7 Article 8 3,50 %
FOURPOINTS ALTERNATIVE SELECTION – Part R FR001400CVF0 Fourpoints 3/7 ND 3,80 %
Franklin Gold and Precious Metals Fund A (acc) EUR LU0496367763 Franklin Templeton International Services S.à r.l. 6/7 Article 6 2,85 % 26,42 EUR
Franklin India A EUR (C) LU0231205187 Franklin Templeton International Services S.à r.l. 5/7 Article 6 2,85 % 63,81 EUR
Franklin Mutual European Fund A Eur Cap LU0140363002 Franklin Templeton International Services S.à r.l. 5/7 Article 6 2,85 % 44,52 EUR
Franklin Mutual Global Discovery A EUR (C) LU0211333025 Franklin Templeton International Services S.à r.l. 5/7 Article 6 2,84 % 36,09 EUR
Franklin Mutual US Value A EUR Cap LU0140362707 Franklin Templeton International Services S.à r.l. 5/7 Article 6 2,83 % 116,07 EUR
Franklin Technology Fund N Acc EUR LU0140363697 Franklin Templeton International Services S.à r.l. 5/7 Article 8 3,56 % 51,91 EUR
Franklin US Opportunities A EUR (C) LU0260869739 Franklin Templeton International Services S.à r.l. 5/7 Article 8 2,81 % 34,87 EUR
Fundsmith Equity Fund T EUR Acc LU0690375182 FundRock Management Company S.A. 4/7 Article 8 2,08 % 62,04 EUR
Ginjer Actifs 360 Part A – EUR FR0011153014 Ginjer AM 4/7 Article 8 2,85 % 1
GIS SRI Ageing Population DX EUR LU1234787460 Generali Investments Luxembourg S.A 4/7 Article 9 2,72 % 182,65 EUR
Groupama Avenir Euro N FR0010288308 Groupama Asset Management 5/7 Article 8 2,89 % 1 801,72 EUR
Groupama Convertibles Part N (C – EUR) FR0010301317 Groupama Asset Management 3/7 Article 8 2,47 %
Guinness Global Energy C EUR Accumulation IE00BGHQF524 Guinness Asset Management Limited 7/7 Article 6 2,99 % 14,28 EUR
Helium Fund – Helium Performance B EUR LU0912262275 Syquant Capital 2/7 Article 6 2,93 % 1 523,38 EUR
Helium Fund – Helium Selection B-EUR LU1112771503 Syquant Capital 3/7 Article 6 2,97 % 1 838,33 EUR
Helium Fund B EUR LU0912261624 Syquant Capital 2/7 Article 6 2,92 % 1 319,32 EUR
HMG Globetrotter C FR0010241240 HMG FINANCE 3/7 Article 6 3,39 % 1
HSBC Actions Patrimoine (C) FR0010143545 HSBC Global Asset Management (France) 5/7 Article 6 2,53 % 1 380,34 EUR
HSBC GIF – Indian Equity A (C) LU0164881194 HSBC Investment Funds (Luxembourg) S.A. 5/7 Article 6 2,90 % 1 096,97 PLN
HSBC GIF Euro High Yield Bond LU0165128348 HSBC Investment Funds (Luxembourg) S.A. 3/7 Article 8 2,35 % 218,22 PLN
HSBC GIF GEM Debt Total Return – M1CHEUR LU0795840619 HSBC Investment Funds (Luxembourg) S.A. 3/7 Article 6 2,37 % 9,76 EUR
Immobilier 21- AC – C FR0010541821 Gestion 21 5/7 Article 8 3,20 % 1
Immorente SCPI00000619 Sofidy 3/7 Article 8 2,50 % 30
Incrementum Part C FR001400KTT8 Auris Gestion 3/7 ND 5,00 %
Independance et Expansion France Small A Eur LU0131510165 Indépendance AM 4/7 Article 8 3,06 % 1
Invesco Balanced-Risk Allocation Fund LU0432616901 Invesco Management S.A. 3/7 Article 6 3,14 % 19,35 EUR
Invesco Energy Transition Fund E LU0123358656 Invesco Management S.A. 4/7 Article 9 2,85 % 8,41 EUR
Invesco Euro Equity Fund E Acc LU1240329380 Invesco Management S.A. 5/7 Article 8 3,44 % 127,48 EUR
Invesco Funds SICAV – Invesco Asia Opportunities Equity Fund E Accumulation EUR LU0115143082 Invesco Management S.A. 4/7 Article 6 3,77 % 152,90 EUR
ISATIS CAPITAL VIE & RETRAITE FR0013222353 et autres fonds non côtés ISATIS Capital 3/7 Article 8 3,88 %
IVO 2028 R FR001400BJT8 IVO Capital Partners 3/7 Article 6 2,30 %
IVO Funds – IVO Fixed Income EUR R Acc LU1165644672 IVO Capital Partners 3/7 Article 8 2,68 %
IVO Funds – IVO Fixed Income Short Duration EUR R Acc LU2061939729 IVO Capital Partners 3/7 Article 8 2,33 %
JPM Em Mkts Small Cap D (acc) perf EUR LU0318933487 JP Morgan Asset Management (Europe) S.à r.l. 4/7 Article 8 3,80 % 191,82 EUR
JPM Europe Dynamic A (acc) – EUR LU0210530662 JP Morgan Asset Management (Europe) S.à r.l. 4/7 Article 8 2,75 % 48,15 EUR
JPM Europe Strategic Growth D (acc) – EUR LU0117858679 JP Morgan Asset Management (Europe) S.à r.l. 4/7 Article 8 3,48 % 33,76 EUR
JPM Funds – Latin America Equity A LU0210535034 JP Morgan Asset Management (Europe) S.à r.l. 6/7 Article 6 2,79 % 36,30 EUR
JPM Global Convertibles Bond A LU0210533500 JP Morgan Asset Management (Europe) S.à r.l. 4/7 Article 8 2,47 %
JPM Global Healthcare A (acc) – EUR LU0880062913 JP Morgan Asset Management (Europe) S.à r.l. 4/7 Article 8 2,70 % 303,08 EUR
JPM Global Income D (acc) – EUR LU0740858492 JP Morgan Asset Management (Europe) S.à r.l. 3/7 Article 8 2,75 % 168,91 EUR
JPM Greater China A LU0210526801 JP Morgan Asset Management (Europe) S.à r.l. 5/7 Article 8 2,75 % 57,68 EUR
JPM Income Opportunity D (acc) – EUR (hedged) LU0289473059 JP Morgan Asset Management (Europe) S.à r.l. 2/7 Article 6 2,46 % 137,05 EUR
JPM India A LU0210527015 JP Morgan Asset Management (Europe) S.à r.l. 5/7 Article 6 2,80 % 33,24 EUR
JPM US Smaller Companies D (acc) – USD LU0117881572 JP Morgan Asset Management (Europe) S.à r.l. 5/7 Article 8 3,79 % 40,96 USD
JPM US Technology A (acc) – EUR LU0159052710 JP Morgan Asset Management (Europe) S.à r.l. 5/7 Article 8 2,70 % 1 226,57 EUR
JPM US Value A (acc) – EUR (hedged) LU0244270301 JP Morgan Asset Management (Europe) S.à r.l. 5/7 Article 8 2,69 % 24,31 EUR
JPMF – China A-Share Opportunities Fund A (acc) – EUR LU1255011097 JP Morgan Asset Management (Europe) S.à r.l. 5/7 Article 8 2,71 % 28,58 EUR
JPMorgan Funds – Income Fund A (acc) LU1041599587 JP Morgan Asset Management (Europe) S.à r.l. 3/7 Article 8 2,19 % 87,89 EUR
JPMorgan Funds Global Natural Ressources Fund D Eur Cap LU0208853944 JP Morgan Asset Management (Europe) S.à r.l. 5/7 Article 6 3,72 % 20,33 EUR
JPMorgan Investment Global Macro Opportunities Fund A Eur Cap LU0095938881 JP Morgan Asset Management (Europe) S.à r.l. 3/7 Article 6 2,46 % 192,65 EUR
JPMorgan Investment Global Macro Opportunities Fund D Eur Cap LU0115098948 JP Morgan Asset Management (Europe) S.à r.l. 3/7 Article 6 3,16 % 142,29 EUR
Jupiter Dynamic Bond L EUR Cap LU0853555380 Jupiter Asset Management International S.A. 2/7 Article 6 2,45 % 11,97 EUR
KAIROS PATRIMOINE FR001400DYT3 MCA Finance 3/7 Article 6 3,12 %
KARDINAL CROSS ASSET – part C FR001400G2K2 Meeschaert Asset Management 2/7 Article 6 3,69 %
Keren 2029 C FR001400J5O4 Keren Finance 2/7 Article 8 2,22 %
La Française Carbon Impact Global Government Bonds R FR0010225052 La Française Asset Management 3/7 Article 9 2,00 %
La Française Financial Bonds 2027 – Actions RC EUR FR001400I1A3 La Française Asset Management 2/7 Article 8 2,26 % 120,47 EUR
La Francaise Multistrategies Obligataires R FR0010657601 La Française Asset Management 2/7 Article 6 2,40 %
La Peyrouse Finance Part C FR001400AIU0 Auris Gestion 4/7 Article 8 3,60 %
Laffitte Pierre AEW Ciloger 3/7 Article 8 2,07 %
LANCENO EXCELLENCE – Part R FR001400E383 Auris Gestion 3/7 ND 3,40 %
Lazard Convertible Global R FR0010858498 Lazard Frères Gestion 3/7 Article 8 2,69 % 553,40 EUR
Lazard Credit 2028 RC Eur FR001400KCX6 Lazard Frères Gestion 2/7 Article 8 2,04 % 109,40 EUR
Lazard Credit Opportunities PC EUR FR0010235507 Lazard Frères Gestion 3/7 Article 8 2,04 % 1 609,81 EUR
Lazard Human Capital – Action RC EUR FR0014009F89 Lazard Frères Gestion 4/7 Article 9 3,28 % 142,77 EUR
Lazard Patrimoine Moderato RC EUR FR0013520798 Lazard Frères Gestion 2/7 Article 6 1,66 % 1 079,11 EUR
Lazard Patrimoine SRI RC EUR FR0012355139 Lazard Frères Gestion 3/7 Article 8 2,33 % 131,38 EUR 1
Lazard Small Caps Euro SRI R FR0010689141 Lazard Frères Gestion 4/7 Article 8 3,30 % 2 036,91 EUR 1
Legg Mason Royce US Small Cap Opportunity Fund Class A Euro Accumulating IE00B19Z4C24 Franklin Templeton International Services S.à r.l. 5/7 Article 6 2,97 % 515,49 EUR
LF Europimmo SCPI00004019 La Française Real Estate Managers 3/7 Article 9 2,19 % 29
LF Grand Paris Patrimoine SCPI00001149 La Française Asset Management 3/7 Article 9 2,00 %
LF LUX-Inflection Point Carbon Impact R Eur Cap LU1744646933 La Française Asset Management 4/7 Article 9 3,02 % 214,29 EUR
LFIS Vision UCITS – Diversified Market Neutral LU1012219207 LFIS Capital 2/7 Article 6 3,32 % 987,91 EUR
LFR Euro Développement Durable ISR P FR0010585281 La Financière Responsable 5/7 Article 8 3,20 %
LO Funds – World Brands Fund (EUR) LU1809976522 Lombard Odier Funds (Europe) S.A. 4/7 Article 8 3,22 % 711,90 EUR
Lombard Odier Funds – All Roads (EUR) PA LU0718509606 Lombard Odier Funds (Europe) S.A. 2/7 Article 8 2,29 % 15,80 EUR
Loomis Sayles U.S. Growth Equity Fund H-R/A(EUR) LU1435385593 Natixis Investment Managers S.A. 5/7 Article 8 2,80 % 318,88 EUR
M Climate Solutions R FR0013476678 Montpensier Finance 5/7 Article 9 2,80 % 166,13 EUR
M International Convertible 2028 RC FR001400DLQ6 Montpensier Finance 3/7 ND 2,20 %
M&G (Lux) Global Listed Infrastructure Fund A EUR Acc LU1665237704 M&G Luxembourg S.A. 4/7 Article 8 3,16 % 17,83 EUR
M&G (Lux) Global Macro Bond Fund A EUR Acc LU1670719613 M&G Luxembourg S.A. 3/7 Article 8 2,47 % 13,44 EUR
M&G (Lux) Investment Funds 1 – M&G (Lux) Global Dividend Fund A EUR Inc LU1670710158 M&G Luxembourg S.A. 4/7 Article 6 2,92 % 16,64 EUR
M&G (Lux) Japan Smaller Companies Fund A EUR Acc LU1670715975 M&G Luxembourg S.A. 4/7 Article 6 2,70 % 66,68 EUR
M&G (Lux) Optimal Income FD A EUR Acc LU1670724373 M&G Luxembourg S.A. 3/7 Article 8 2,33 % 10,71 EUR 1
M&G (Lux) Positive Impact Fund A EUR Acc LU1854107221 M&G Luxembourg S.A. 4/7 Article 9 2,97 % 17,03 EUR
Mandarine Europe Microcap Action R LU1303940784 Mandarine Gestion 4/7 Article 8 3,22 % 28,92 EUR
Mandarine Funds – Mandarine Global Microcap R LU1329694266 Mandarine Gestion 4/7 Article 8 3,22 % 237,79 EUR 1
Mandarine Funds – Mandarine Global Sport R LU2257982228 Mandarine Gestion 4/7 Article 8 3,30 % 101,01 EUR
Mandarine Funds – Mandarine Social Leaders R LU2052475568 Mandarine Gestion 4/7 Article 9 3,47 % 998,59 EUR
Mandarine Global Transition – R LU2257980289 Mandarine Gestion 4/7 Article 9 3,23 % 187,75 EUR 1
Mandarine Unique Small And Mid Caps Europe LU0489687243 Mandarine Gestion 4/7 Article 8 3,22 % 1 683,42 EUR 1
MEILLEURTAUX HORIZON 2028 – ACTION C FR001400J0Y4 Financière Arbevel 3/7 ND 2,30 %
Mirova Europe Environmental Equity Fund R/A LU0914733059 Natixis Investment Managers International 4/7 Article 9 2,84 % 219,19 EUR
Mirova Funds – Mirova Global Green Bond Fund R/A (EUR) LU1472740767 Natixis Investment Managers International 2/7 Article 9 2,05 % 115,06 EUR
MIROVA GLOBAL ENVIRONMENTAL EQUITY FUND R/A (EUR) CAPITALISATION LU2193677676 Natixis Investment Managers International 5/7 Article 9 2,85 %
Mirova Global Sustainable Equity Fund – R/A LU0914729966 Natixis Investment Managers International 4/7 Article 9 2,85 % 353,52 EUR
Mirova Women Leaders Equity Fund R/A (EUR) LU1956003765 Natixis Investment Managers International 4/7 Article 9 2,85 % 185,34 EUR
Morgan Stanley Investment Funds – Asia Opportunity Fund AH (EUR) LU1378879248 MSIM Fund Management (Ireland) Limited 5/7 Article 8 2,92 % 47,68 EUR
Morgan Stanley Investment Funds – US Advantage Fund AH (EUR) LU0266117927 MSIM Fund Management (Ireland) Limited 6/7 Article 8 2,67 % 90,38 EUR
MS INVF European High Yield Bond Fund A EUR LU0073255761 MSIM Fund Management (Ireland) Limited 5/7 Article 8 2,12 % 35,86 USD
MS INVF Global Brands A – EUR LU0119620416 MSIM Fund Management (Ireland) Limited 4/7 Article 8 2,77 % 212,62 USD
MS INVF Global Convertible Bond A (C) LU0149084633 MSIM Fund Management (Ireland) Limited 3/7 Article 8 2,25 % 66,37 EUR
MS INVF US Growth Fund – A LU0073232471 MSIM Fund Management (Ireland) Limited 6/7 Article 8 2,65 % 250,75 USD
Natixis International Funds (Lux) I – Thematics Subscription Economy Fund R/A EUR LU2095319849 Natixis Investment Managers S.A. 5/7 Article 8 3,05 % 127,56 EUR
NextStage Croissance FR0013202108 et autres fonds non côtés NextStage AM 6/7 Article 6 4,27 % 1
Nordea 1 Norwegian Short-Term Bond Fund BP Eur Cap LU0173786863 Nordea Investment Funds S.A. 3/7 Article 8 1,36 % 24,11 EUR
NTG APPROCHE GLOBALE – Part R FR001400LQV8 Auris Gestion 3/7 Article 8 3,50 %
Octo Crédit Value AC FR0013436672 Octo Asset Management 2/7 Article 6 2,61 %
Octo Crédit Value Investment Grade AC FR001400J5Q9 Octo Asset Management 2/7 Article 6 2,50 %
OCTO RENDEMENT 2028 PART AC FR001400CPO4 Octo Asset Management 3/7 Article 6 2,20 %
ODDO BHF Artificial Intelligence CR-EUR LU1919842267 ODDO BHF Asset Management Lux 5/7 Article 9 2,73 % 254,84 EUR
ODDO BHF Convertible Global CR-EUR LU1493433004 ODDO BHF Asset Management S.A.S. 3/7 Article 6 2,54 % 146,70 EUR
Oddo BHF Euro High Yield Bond Fund C Eur LU0115290974 ODDO BHF Asset Management Lux 3/7 Article 8 2,57 % 32,64 EUR
Oddo BHF Global Target 2028 CR-EUR FR001400C7W0 ODDO BHF Asset Management S.A.S. 3/7 Article 8 2,10 % 120,81 EUR
Oddo BHF Immobilier CR-EUR FR0000989915 ODDO BHF Asset Management S.A.S. 5/7 Article 8 2,80 % 1 684,65 EUR
ODDO BHF Polaris Balanced CR-EUR LU1849527939 ODDO BHF Asset Management Lux 3/7 Article 8 2,50 % 71,41 EUR
ODDO BHF Polaris Moderate CR-EUR DE000A2JJ1W5 ODDO BHF Asset Management GMBH 3/7 Article 8 2,21 % 126,08 EUR 1
OFI Financial Investment – Energy Strategic Metals – Actions R FR0014008NN3 OFI Asset Management 4/7 Article 8 2,50 % 1 181,71 EUR
Ofi RS Equity Climate Change – RC FR0013267150 OFI Asset Management 4/7 Article 9 2,80 % 1 708,65 EUR
Ofi RS Euro Equity R FR0013275112 OFI Asset Management 4/7 Article 8 2,80 % 179,59 EUR
Oikos Nomos Part c FR001400KR01 Auris Gestion 3/7 Article 8 4,50 %
OPCI ALTIXIA VALEUR P OPCI FR0013442845 Article 6 2,56 %
OPCI PREIM ISR Vie FR0014000AM9 Primonial Reim 2/7 Article 8 2,81 % 27
OPCI PREIMIUM FR0013228715 Primonial Reim 2/7 Article 6 3,99 %
OPCI Swisslife ESG Dynapierre FR0013219722 Swiss Life Asset Managers France 2/7 Article 8 2,45 % 28
Origeen Equilibre Part C FR001400KME5 Auris Gestion 3/7 Article 8 ND
Ostrum Euro Inflation R/A Eur Cap LU0935222900 Natixis Investment Managers International 3/7 Article 6 1,84 % 48,83 EUR
Ostrum SRI Credit Ultra Short Plus RE FR001400KCZ1 Natixis Investment Managers International 2/7 Article 6 1,70 % 109,50 EUR
P2C ARMONIA FR0014008RO2 Rothschild & Co Asset Management Europe 3/7 Article 8 3,17 % 116,84 EUR
PANORAMA PATRIMOINE FR0013318136 Meeschaert Asset Management 3/7 Article 6 3,69 %
Patrimmo Commerce SCPI00003719 Primonial Reim 3/7 Article 8 2,97 %
Patrimmo Croissance SCPI00004049 Primonial Reim 3/7 Article 8 1,27 %
PF GRAND PARIS SCPI00000669 Perial Asset Management S.A.S. 3/7 Article 9 1,77 %
PFO SCPI00000659 Perial Asset Management S.A.S. 3/7 Article 8 1,88 % 4
PFO2 SCPI00001959 Perial Asset Management S.A.S. 3/7 Article 9 1,89 % 5
Pictet – Digital P EUR LU0340554913 Pictet Asset Management (Europe) S.A. 5/7 Article 8 2,99 % 730,77 EUR 1
Pictet – Global Environmental Opportunities P EUR LU0503631714 Pictet Asset Management (Europe) S.A. 4/7 Article 9 3,00 % 381,33 EUR
Pictet – Global Environmental Opportunities R EUR LU0503631987 Pictet Asset Management (Europe) S.A. 4/7 Article 9 3,70 % 340,93 EUR
Pictet – Global Megatrend Selection – P EUR LU0386882277 Pictet Asset Management (Europe) S.A. 4/7 Article 8 3,00 % 421,90 EUR 1
Pictet – Multi Asset Global Opportunities R – Eur LU0941349275 Pictet Asset Management (Europe) S.A. 3/7 Article 8 2,79 % 139,91 EUR
Pictet – Robotics P EUR LU1279334210 Pictet Asset Management (Europe) S.A. 5/7 Article 8 2,98 % 518,79 EUR
Pictet – USD Government Bonds – HP dy EUR LU1256216356 Pictet Asset Management (Europe) S.A. 3/7 Article 6 1,65 % 233,66 EUR
Pictet Clean Energy P LU0280435388 Pictet Asset Management (Europe) S.A. 5/7 Article 9 2,99 % 222,79 EUR
Pictet European Sustainable Equity P LU0144509717 Pictet Asset Management (Europe) S.A. 4/7 Article 8 2,17 % 500,36 EUR
Pictet Security P EUR LU0270904781 Pictet Asset Management (Europe) S.A. 5/7 Article 8 2,99 % 431,22 EUR
Pictet TR – Mandarin HP EUR LU0496443887 Pictet Asset Management (Europe) S.A. 4/7 Article 6 2,99 % 142,16 EUR
Pictet TR – Sirius P USD LU1799936197 Pictet Asset Management (Europe) S.A. 2/7 Article 6 3,02 % 124,81 EUR
Pictet-Emerging Local Currency Debt P EUR LU0280437673 Pictet Asset Management (Europe) S.A. 3/7 Article 8 2,53 % 170,81 EUR
Pictet-Global Emerging Debt-HP EUR LU0170994346 Pictet Asset Management (Europe) S.A. 3/7 Article 8 2,42 % 269,11 EUR
Pictet-Japanese Equity Opportunities LU0255979402 Pictet Asset Management (Europe) S.A. 4/7 Article 8 2,57 % 152,86 EUR
Pictet-Nutrition-R EUR LU0366534773 Pictet Asset Management (Europe) S.A. 4/7 Article 9 3,70 % 199,03 EUR
Pictet-Premium Brands-R EUR LU0217138725 Pictet Asset Management (Europe) S.A. 5/7 Article 8 3,69 % 234,72 EUR
Pictet-Timber-P EUR LU0340559557 Pictet Asset Management (Europe) S.A. 5/7 Article 9 3,00 % 185,78 EUR
Pictet-Water-R EUR LU0104885248 Pictet Asset Management (Europe) S.A. 4/7 Article 9 3,69 % 415,45 EUR
PIERVAL SANTE SCPI00003969 Euryale Asset Management 3/7 Article 8 1,69 % 24
Pimco GIS Global Investment Grade Credit Fund E Acc EUR IE00B11XZ434 PIMCO Global Advisors (Ireland) Limited 3/7 Article 6 2,39 % 16,11 EUR
Planifique Horizon (Part R) FR001400IN17 Sycomore AM Article 8 ND 114,69 EUR
Pluvalca Alterna Plus FR0010466128 Financière Arbevel 2/7 Article 8 2,20 %
PLUVALCA CREDIT OPPORTUNITES 2028 – ACTION A – FR001400A1J2 Financière Arbevel 3/7 Article 8 2,30 %
Pluvalca Global Blockchain Equity A FR001400CCI4 Financière Arbevel 4/7 Article 8 3,00 %
Prestige Luxembourg Uzès Sport R LU2595693115 Degroof Petercam Asset Services S.A. 4/7 Article 8 4,20 %
Primopierre SCPI00000999 Primonial Reim 3/7 Article 8 2,22 % 5
Primovie SCPI00003829 Primonial Reim 3/7 Article 8 2,38 % 27
Pyxis Actions Monde – Part C FR001400BP79 Auris Gestion 4/7 Article 6 3,30 %
R-co 4Change Moderate Allocation F Eur FR0011276617 Rothschild & Co Asset Management Europe 3/7 Article 8 2,41 % 133,74 EUR
R-co Alteor Equilibre C EUR FR001400G6P2 Rothschild & Co Asset Management Europe 3/7 Article 8 3,23 % 128,72 EUR
R-co Conviction Club FR0010537423 Rothschild & Co Asset Management Europe 6/7 Article 8 3,06 % 205,94 EUR
R-co Conviction Club FR0010541557 Rothschild & Co Asset Management Europe 4/7 Article 8 2,65 % 219,10 EUR 1
R-co Target 2027 HY F EUR FR001400IBH5 Rothschild & Co Asset Management Europe 3/7 Article 8 2,30 % 119,72 EUR
R-co Target 2029 IG C EUR FR001400KAL5 Rothschild & Co Asset Management Europe 2/7 ND 2,00 % 115,95 EUR
R-co Thematic Real Estate FR0011885797 Rothschild & Co Asset Management Europe 5/7 Article 8 3,10 % 122,12 EUR 1
R-co Thematic Silver Plus C – EUR FR0010909531 Rothschild & Co Asset Management Europe 4/7 Article 8 2,51 % 307,02 EUR 1
R-co Valor Balanced F EUR FR0013367281 Rothschild & Co Asset Management Europe 3/7 Article 8 2,67 % 145,53 EUR
R-co Valor F EUR FR0011261197 Rothschild & Co Asset Management Europe 4/7 Article 8 2,83 % 3 512,59 EUR
Robeco BP US Premium Equities DH Eur LU0320896664 Robeco Institutional AM BV 5/7 Article 8 2,71 % 424,71 EUR
RobecoSAM Smart Energy Equities D EUR LU2145461757 Robeco Institutional AM BV 5/7 Article 9 2,76 % 96,55 EUR
RobecoSAM Sustainable Water Equities D EUR LU2146190835 Robeco Institutional AM BV 4/7 Article 9 2,71 % 586,88 EUR
Russell Inv Multi-Asset Growth Strategy Euro B Eur Cap IE00B84TCG88 Russell Investments Ireland Limited 3/7 ND 2,80 % 16,31 EUR
Sagamartha Alpha Opportunites Part C FR001400KKU5 Auris Gestion 3/7 Article 8 4,00 %
SAINT-VAAST – Part C FR001400JJ04 Delubac Asset Management 3/7 Article 8 3,02 %
Sakura Avril 2032 FRSG00014KN3 SG Issuer 6/7 ND ND
Sanso Megatrends R EUR FR0011759364 Sanso Investment Solutions 4/7 Article 8 2,85 %
Sanso Objectif Durable 2024 A FR0010813329 Sanso Investment Solutions 3/7 Article 8 2,20 % 1
Sapienta Absolu R EUR FR0014009GC8 Sapienta Gestion 2/7 ND 3,50 %
SC LF Multimmo Durable FR0014003AZ5 La Française Real Estate Managers 2/7 Article 9 2,12 % 24
SC NOVAXIA R part A FR0014002KE1 Novaxia Investissement 3/7 Article 9 3,00 %
SC NOVAXIA VISTA Part A FR001400BUH0 Novaxia Investissement 3/7 Article 9 1,32 %
SC PIERRE IMPACT FR0014009XS9 BNP PARIBAS Reim 2/7 Article 9 2,83 % 27
SC PROXIMA VIE FR0013519790 Eternam 3/7 Article 8 3,79 %
SC SOFIDY CONVICTIONS IMMOBILIERES – PART A FR0013466117 Sofidy 2/7 Article 8 1,82 % 27
SC Trajectoire Santé_Part A FR0014005KJ3 Euryale Asset Management 3/7 Article 8 2,56 % 25
Schelcher Global Yield 2028 P FR001400EZY8 Schelcher Prince Gestion 2/7 Article 8 2,39 %
Schelcher Ivo Global Yield 2024 P FR0013408432 Schelcher Prince Gestion 2/7 ND 2,21 %
Schelcher Optimal Income ESG P FR0011034818 Schelcher Prince Gestion 2/7 ND 2,30 % 1
Schelcher Prince Oblig Moyen Terme ESG P FR0010707513 Schelcher Prince Gestion 2/7 Article 8 1,88 %
Schroder International Selection Fund Emerging Asia A Accumulation EUR LU0248172537 Schroder Investment Management (Europe) S.A. 4/7 Article 6 2,85 % 72,16 EUR
Schroder International Selection Fund Global Climate Change Equity A Accumulation EUR LU0302446645 Schroder Investment Management (Europe) S.A. 4/7 Article 8 2,84 % 37,18 EUR
Schroder ISF – Euro Equity A LU0106235293 Schroder Investment Management (Europe) S.A. 5/7 Article 8 2,84 % 63,68 EUR
Schroder ISF – Global Emerging Market Opportunities A EUR Acc LU0279459456 Schroder Investment Management (Europe) S.A. 4/7 Article 6 2,86 % 39,72 EUR
Schroder ISF Greater China A EUR LU0365775922 Schroder Investment Management (Europe) S.A. 5/7 Article 6 2,85 % 93,38 EUR
Schroder ISF UK Equity A Acc LU0106244527 Schroder Investment Management (Europe) S.A. 5/7 Article 8 2,44 % 6,27 EUR
SCI CAP SANTE (By Capimmo) FR0014009IF7 Primonial Reim 2/7 Article 8 3,10 % 27
SCI IMMO TREND PRIME – part B FR001400FJK8 La Française Real Estate Managers 2/7 Article 6 3,55 %
SCI LINASENS FR001400C4M8 Primonial Reim 2/7 Article 8 2,90 % 27
SCI PERIAL EURO CARBONE PART A FR0014002MX7 Perial Asset Management S.A.S. 3/7 Article 9 1,69 % 24
SCI Primonial Capimmo FR0014004GX5 Primonial Reim 2/7 Article 8 3,44 % 29
SCI SILVER AVENIR FR0013526100 Federal Finance Gestion 3/7 Article 8 3,14 % 25
SCP LFP Multimmo – Part LFP UniCimmo FR0013488038 La Française Asset Management 2/7 Article 6 3,01 % 24
SCP LFP Multimmo – Part Philosophale 2 FR0013488020 La Française Asset Management 2/7 Article 6 3,17 % 27
Sélectinvest 1 SCPI00001049 La Française Real Estate Managers 3/7 Article 9 2,39 %
State Street Emerging Markets Opportunities Equity Fd P EUR LU2373031488 State Street Global Advisors Funds Management Limited 4/7 ND 2,64 % 14,79 EUR
Stella Maris Sélection FR001400H0Y6 Richelieu Gestion 4/7 Article 6 3,14 %
Stewart Investors Asia Pacific Leaders Sustainability Fund Class I Acc EUR IE00BFY85L07 First Sentier Investors (Hong Kong) limited 4/7 Article 9 2,53 % 4,23 EUR
Sunny Managers – F FR0010922963 Sunny Asset Management 4/7 Article 6 3,38 %
Sunny Recovery R EUR FR0050000126 Sunny Asset Management 4/7 Article 6 3,39 %
Swiss Life Funds (F) Bond ESG 6M P FR0010914358 Swiss Life Asset Managers France 1/7 Article 8 1,40 % 115,11 EUR
Swiss Life Funds (LUX) Bond High Yield Opportunity 2026 EUR R Cap LU2182441571 Swiss Life Asset Managers Luxembourg 2/7 ND 2,15 % 116,33 EUR 1
Sycomore Europe Eco Solutions R LU1183791794 Sycomore AM 4/7 Article 9 3,00 % 181,52 EUR
Sycomore FranceCap R FR0010111732 Sycomore AM 4/7 Article 9 3,00 %
Sycomore Fund Happy @ Work R LU1301026388 Sycomore AM 4/7 Article 9 3,00 % 215,01 EUR
SYCOMORE FUND SICAV – SYCOMORE SUSTAINABLE TECH – Parts RC- EUR LU2181906426 Sycomore AM 5/7 Article 9 3,00 % 273,86 EUR
Sycomore L/S Opportunities R FR0010363366 Sycomore AM 3/7 Article 8 2,80 % 352,85 EUR
Sycomore Next Generation – RC LU1961857551 Sycomore AM 3/7 Article 8 2,60 % 117,15 EUR
Sycomore Partners P FR0010738120 Sycomore AM 3/7 Article 8 2,80 % 1 599,30 EUR
Sycomore Sélection Crédit – R FR0011288513 Sycomore AM 2/7 Article 9 2,20 % 136,75 EUR
Sycomore Sélection Responsable R FR0011169341 Sycomore AM 4/7 Article 9 3,00 % 621,19 EUR
SYCOYIELD 2026 RC FR001400A6Y0 Sycomore AM 2/7 Article 6 2,00 %
Sycoyield 2030 (Part RC) FR001400MCQ6 Sycomore AM 2/7 Article 8 ND 112,90 EUR
T. Rowe Price Funds SICAV – US Smaller Companies Equity Fund Qn EUR Hedged Acc LU1862449409 T. Rowe Price (Luxembourg) Management S.à r.l. 5/7 Article 6 2,02 % 19,13 EUR
Tailor Allocation Defensive C FR0010487512 Tailor AM 3/7 Article 6 3,29 %
Templeton Asian Growth A (C) EUR LU0229940001 Franklin Templeton International Services S.à r.l. 4/7 Article 6 3,18 % 54,70 EUR 1
Templeton Asian Growth A (C) USD LU0128522157 Franklin Templeton International Services S.à r.l. 5/7 Article 6 3,19 % 54,77 EUR
Templeton Asian Smaller Companies A (C) EUR LU0390135415 Franklin Templeton International Services S.à r.l. 4/7 Article 6 3,23 % 93,42 EUR
Templeton Emerging Markets Smaller Companies Fund A(acc)EUR LU0300743431 Franklin Templeton International Services S.à r.l. 4/7 Article 6 3,48 % 24,02 EUR
Templeton Frontier Markets A EUR Acc LU0390137031 Franklin Templeton International Services S.à r.l. 4/7 Article 6 3,63 % 40,43 EUR 1
Templeton Global Bond A EUR (C) LU0152980495 Franklin Templeton International Services S.à r.l. 3/7 Article 8 2,40 % 24,74 EUR
Templeton Global Total Return A (C) EUR LU0260870661 Franklin Templeton International Services S.à r.l. 3/7 Article 6 2,40 % 25,05 EUR 1
Templeton Global Total Return N (C) EUR-H1 LU0294221253 Franklin Templeton International Services S.à r.l. 3/7 Article 6 3,10 % 14,12 EUR
THE GOOD LIFE FUND – Part R FR001400CIA8 Fourpoints 4/7 ND 3,00 %
Thematics Al and Robotics R/A EUR LU1951200481 Natixis Investment Managers S.A. 5/7 Article 8 3,05 % 285,60 EUR
Thematics Meta R/A EUR LU1951204046 Natixis Investment Managers S.A. 5/7 Article 8 3,05 % 176,65 EUR 1
Thematics Safety R/A EUR LU1951225553 Natixis Investment Managers S.A. 5/7 Article 9 3,05 % 196,12 EUR
Thematics Water R/A EUR LU1951229035 Natixis Investment Managers S.A. 4/7 Article 9 3,05 % 188,38 EUR
Tikehau 2029 – Part R-Acc-EUR FR001400K2B5 Tikehau Investment Management 2/7 Article 8 2,20 % 114,77 EUR
Tikehau Equity Selection R-Acc-EUR FR0012127389 Tikehau Investment Management 4/7 Article 8 2,81 % 1 131,01 EUR
Tikehau International Cross Assets – R-Acc-EUR LU2147879543 Tikehau Investment Management 3/7 Article 8 2,61 % 782,36 EUR 1
TOBAM Anti-Benchmark Multi-Asset Fund B1 LU1899106907 TOBAM 3/7 Article 8 3,10 % 116,01 EUR
Tocqueville Dividende (C) FR0010546929 Tocqueville Finance 4/7 Article 8 3,05 % 41,99 EUR
Tocqueville Odyssée FR0010546960 Tocqueville Finance 5/7 Article 8 3,04 % 80,57 EUR 1
Tocqueville Small Cap Euro ISR ( C ) FR0010546903 Tocqueville Finance 4/7 Article 8 3,04 % 78,42 EUR
Tocqueville Value Europe P (C) FR0010547067 Tocqueville Finance 5/7 Article 8 3,05 % 395,35 EUR
UBAM – 30 Global Leaders Equity AHC EUR LU0877608710 UBP Asset Management (Europe) S.A. 4/7 Article 8 3,20 % 186,11 EUR
Valeur Intrinsèque FR0000979221 Fourpoints 4/7 Article 6 3,28 %
Varenne Valeur A EUR Cap LU2358392376 Varenne Capital Partners 3/7 Article 8 2,89 % 496,94 EUR 1
Vega Euro Rendement ISR – RX FR0012219848 Vega Investment Managers 3/7 Article 8 2,51 % 124,51 EUR
VEGA EURO RENDEMENT ISR_ Part P FR0013519618 Vega Investment Managers 3/7 Article 8 2,01 % 114,90 EUR
VITRUVE AMPLITUDE GLOBAL EQUILIBRE FR001400EK97 Meeschaert Asset Management 2/7 ND 3,89 %
Vontobel Global Environmental Change B EUR LU0384405600 Vontobel Asset Management S.A. 4/7 Article 9 3,04 % 723,94 EUR
Vontobel mtx Sustainable Emerging Markets Leaders B USD LU0571085413 Vontobel Asset Management S.A. 4/7 Article 8 3,03 % 214,35 EUR

600 supports affichés sur 1122 — le tableau est plafonné à 600 lignes. « Frais du fonds » sont les frais de gestion propres au support ; « frais du contrat » incluent en plus les frais de gestion du plan — les deux se cumulent pour l’épargnant. Un tiret signifie « non documenté dans nos sources », jamais « zéro ».