-0.36%
7698,320 pts
| ISIN | Nom | Date | VL | Nombre de parts | Actif |
|---|---|---|---|---|---|
| FR0000011884 | Allianz Monetaire | 23 mars 2026 | 206,421 EUR | 651022 | 134384891.630 |
| FR0000011892 | Allianz Obligations Intles (c) | 12 jan. 2026 | 106,650 EUR | 74471 | 7942295.782 |
| FR0000011918 | Allianz Obligations Intles (d) | 12 jan. 2026 | 63,730 EUR | 4979 | 317328.304 |
| FR0000011975 | Allianz Actions France (c) | 20 mars 2026 | 1881,360 EUR | 61739 | 116153652.900 |
| FR0000095861 | Allianz Actio France | 07 déc. 2023 | 341,740 EUR | 103588 | 35400840.030 |
| FR0000449274 | Allianz Multi Dynamisme | 20 mars 2026 | 625,440 EUR | 225795 | 141221727.700 |
| FR0000449282 | Allianz Multi Equilibre | 20 mars 2026 | 549,960 EUR | 857467 | 471576837.340 |
| FR0000449324 | Allianz Multi Opportunites | 20 mars 2026 | 409,720 EUR | 166589 | 68255851.000 |
| FR0000945453 | Allianz Actions France (d) | 20 mars 2026 | 1498,720 EUR | 4874 | 7304796.930 |
| FR0000979338 | Allianz Multi Horizon Ct | 10 sep. 2025 | 132,380 EUR | 234619 | 31060925.420 |
| FR0000979379 | Allianz Multi Horizon Long Ter | 03 sep. 2025 | 261,910 EUR | 215312 | 56393246.500 |
| FR0000994782 | Allianz Securite Pea | 20 mars 2026 | 266,320 EUR | 147047 | 39161733.340 |
| FR0007017579 | Avip Top Defensif | 20 mars 2026 | 36,940 EUR | 1554908 | 57448458.420 |
| FR0007017587 | Avip Top Croissance | 17 fév. 2026 | 52,720 EUR | 175072 | 9230370.690 |
| FR0007017595 | Avip Top Harmonie | 25 jan. 2023 | 45,460 EUR | 1065273 | 48427310.580 |
| FR0007022694 | Allianz Multi Croissance | 19 mars 2026 | 335,140 EUR | 93386 | 31297489.480 |
| FR0007432208 | Allianz Finance Actions France | 03 nov. 2025 | 1153,240 EUR | 3608 | 4160484.950 |
| FR0007472691 | Allianz Euro High Yield R/d | 20 mars 2026 | 119,440 EUR | 19283 | 2303174.880 |
| FR0007492749 | Allianz Actions Emergentes | 20 mars 2026 | 1089,620 EUR | 10650 | 11604236.770 |
| FR0010004663 | Allianz Actions Euro (c) | 20 mars 2026 | 399,780 EUR | 266483 | 106534945.230 |
| FR0010017731 | Allianz Securicash Sri I | 23 mars 2026 | 132067,562 EUR | 16643 | 2197947470.180 |
| FR0010032326 | Allianz Euro High Yield R/c | 20 mars 2026 | 379,050 EUR | 266916 | 101175966.120 |
| FR0010117341 | Allianz Securite (c) | 23 mars 2026 | 1949,227 EUR | 91217 | 177803277.380 |
| FR0010117416 | Allianz Securite (d) | 23 mars 2026 | 996,181 EUR | 19262 | 19188312.040 |
| FR0010117473 | Allianz Obligations Revenus | 06 sep. 2013 | 143,780 EUR | 7105 | 1021507.730 |
| FR0010152165 | Allianz Octomax 2 | 30 sep. 2013 | 99,960 EUR | 301558 | 30143700.000 |
| FR0010317701 | Allianz Multi Horizon 2027-29 | 17 sep. 2025 | 203,210 EUR | 55600 | 11298746.760 |
| FR0010317719 | Allianz Multi Horizon 2030-32 | 17 sep. 2025 | 217,060 EUR | 53215 | 11551207.350 |
| FR0010317727 | Allianz Multi Horizon 2033-35 | 17 sep. 2025 | 228,930 EUR | 47224 | 10811072.680 |
| FR0010317735 | Allianz Multi Horizon 2036-38 | 26 fév. 2025 | 217,740 EUR | 33741 | 7346850.300 |
| FR0010317743 | Allianz Multi Horizon 2039-41 | 26 fév. 2025 | 217,640 EUR | 41270 | 8982135.340 |
| FR0010339481 | Allianz Valeurs Durables I | 20 mars 2026 | 440,950 EUR | 764632 | 337164360.130 |
| FR0010371609 | Allianz Euro High Yield I | 20 mars 2026 | 2839,990 EUR | 62406 | 177233008.510 |
| FR0010424341 | Allianz Multi Top Defensif | 03 sep. 2013 | 26,810 EUR | 223885 | 6002344.090 |
| FR0010451260 | Allianz Team I | 20 mars 2026 | 1419,950 EUR | 6443 | 9148470.360 |
| FR0010454769 | Allianz Euro Oblig 1-3 Plus T | 11 sep. 2013 | 97,450 EUR | 11705 | 1140683.730 |
| FR0010597336 | E.t.h.i.c.a I | 20 mars 2026 | 48344,780 EUR | 1830 | 88464952.647 |