CAC40

ACCOR . -0.85%
AIR LIQUI. +0.12%
AIRBUS SE. +0.15%
ARCELORMI. -0.99%
AXA . -1.62%
BNP PARIB. -0.24%
BOUYGUES . -2.10%
BUREAU VE. -0.29%
CAP GEMIN. -0.11%
CARREFOUR. -0.29%
CREDIT AG. -0.57%
DANONE . -0.79%
DASSAULT . +0.97%
EIFFAGE -0.49%
ENGIE +0.46%
ESSILORLU. -0.60%
EUROFINS . -0.93%
EURONEXT -0.49%
HERMES IN. +0.09%
KERING . -1.36%
L'OREAL . -0.57%
LEGRAND +1.71%
LVMH . -0.71%
MICHELIN . -0.99%
ORANGE -0.07%
PERNOD RI. -1.39%
PUBLICIS . +0.25%
RENAULT . -0.19%
SAFRAN . +1.96%
SAINT-GOB. -1.65%
SANOFI . -0.05%
SCHNEIDER. +0.20%
SOCIETE G. -1.50%
STELLANTI. -1.38%
STMICROEL. +0.63%
THALES +2.31%
TOTALENER. +1.36%
UNIBAIL R. -0.31%
VEOLIA EN. +0.27%
VINCI . -0.38%
Dernière mise à jour: 23 jan. 2026 17:00

CAC40

-0.09%
8142,000 pts

Hausses

Baisses

Chiffres clés

Matières premières

Devises

Société de gestion

Neuflize Private Assets

Sélection de fonds gérés par Neuflize Private Assets

ISIN Nom Date VL Nombre de parts Actif
FR0000011884 Allianz Monetaire 22 jan. 2026 205,803 EUR 647072 133169415.618
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) 21 jan. 2026 1966,870 EUR 59787 117593418.340
FR0000095861 Allianz Actio France 07 déc. 2023 341,740 EUR 103588 35400840.030
FR0000449274 Allianz Multi Dynamisme 21 jan. 2026 642,560 EUR 229097 147209571.550
FR0000449282 Allianz Multi Equilibre 21 jan. 2026 561,120 EUR 878066 492704267.080
FR0000449324 Allianz Multi Opportunites 21 jan. 2026 422,050 EUR 93211 39339811.650
FR0000945453 Allianz Actions France (d) 21 jan. 2026 1566,840 EUR 4917 7703475.660
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 21 jan. 2026 292,490 EUR 146209 42764809.820
FR0007017579 Avip Top Defensif 21 jan. 2026 37,580 EUR 1552486 58350605.510
FR0007017587 Avip Top Croissance 21 jan. 2026 53,900 EUR 176993 9541099.040
FR0007017595 Avip Top Harmonie 25 jan. 2023 45,460 EUR 1065273 48427310.580
FR0007022694 Allianz Multi Croissance 21 jan. 2026 340,650 EUR 93770 31943552.970
FR0007432208 Allianz Finance Actions France 03 nov. 2025 1153,240 EUR 3608 4160484.950
FR0007472691 Allianz Euro High Yield R/d 21 jan. 2026 121,470 EUR 18926 2299082.020
FR0007492749 Allianz Actions Emergentes 21 jan. 2026 1091,140 EUR 10792 11775487.920
FR0010004663 Allianz Actions Euro (c) 21 jan. 2026 430,240 EUR 277898 119564459.360
FR0010017731 Allianz Securicash Sri I 22 jan. 2026 131671,496 EUR 15837 2085283464.710
FR0010032326 Allianz Euro High Yield R/c 21 jan. 2026 385,510 EUR 281611 108566351.790
FR0010117341 Allianz Securite (c) 22 jan. 2026 1943,396 EUR 105112 204274117.860
FR0010117416 Allianz Securite (d) 22 jan. 2026 993,201 EUR 19262 19130913.940
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 21 jan. 2026 470,800 EUR 798791 376073780.690
FR0010371609 Allianz Euro High Yield I 21 jan. 2026 2886,330 EUR 61674 178012453.830
FR0010424341 Allianz Multi Top Defensif 03 sep. 2013 26,810 EUR 223885 6002344.090
FR0010451260 Allianz Team I 21 jan. 2026 1434,720 EUR 6469 9281808.510
FR0010454769 Allianz Euro Oblig 1-3 Plus T 11 sep. 2013 97,450 EUR 11705 1140683.730