+0.89%
8136,890 pts
| ISIN | Nom | Gestion | Date | VL | Nombre de parts | Actif |
|---|---|---|---|---|---|---|
| FR0010622654 | Ccr Opportunites Monde 50 I | - | 17 sep. 2026 | 17359,140 EUR | 298 | 5177973.500 |
| FR0010172437 | Ccr Opportunites Monde 50 R | - | 17 sep. 2026 | 2027,970 EUR | 45129 | 91520880.660 |
| FR0010630913 | Cd Amerique Strategies A | - | 17 sep. 2026 | 980,840 EUR | 40541 | 39764561.980 |
| FR0000978231 | Cd Amerique Strategies B | - | 17 sep. 2026 | 344,190 EUR | 83836 | 28855740.940 |
| FR0007079512 | Cd Amplitude 5 Ans C | - | 17 sep. 2026 | 500,900 EUR | 117230 | 58720747.250 |
| FR0007080304 | Cd Amplitude 5 Ans D | - | 17 sep. 2026 | 458,740 EUR | 1974 | 905714.550 |
| FR0010250084 | Cd Euro Capital (c) | - | 17 sep. 2026 | 789,600 EUR | 89419 | 70605876.420 |
| FR0010250100 | Cd Euro Capital (d) | - | 17 sep. 2026 | 635,880 EUR | 1168 | 742529.530 |
| FR0010335943 | Cd Euro Capital I | - | 17 sep. 2026 | 105086,640 EUR | 256 | 26937152.570 |
| FR0007070677 | Cd Euro Convertibles | - | 17 sep. 2026 | 240,680 EUR | 153195 | 36872449.960 |
| FR0010249847 | Cd Euro Immobilier (c) | - | 17 sep. 2026 | 569,860 EUR | 10156 | 5787590.320 |
| FR0010249870 | Cd Euro Immobilier (d) | - | 17 sep. 2026 | 351,570 EUR | 1942 | 682765.460 |
| FR0010219501 | Cd Euro Monetaire C | - | 17 sep. 2026 | 4950,550 EUR | 51997 | 257412479.210 |
| FR0010636498 | Cd Euro Monetaire I | - | 16 sep. 2026 | 359264,790 EUR | 215 | 77289000.000 |
| FR0010250068 | Cd Europe Expertise C | - | 17 sep. 2026 | 421,610 EUR | 204376 | 86167637.280 |
| FR0010706986 | Cd Europe Expertise I | - | 17 sep. 2026 | 645739,120 EUR | 3 | 2191574.020 |
| FR0010249672 | Cd France Expertise | - | 17 sep. 2026 | 1140,660 EUR | 111145 | 126778509.780 |
| FR0010249664 | Cd Obligations Court Terme (c) | - | 17 sep. 2026 | 2028,160 EUR | 156868 | 318153146.560 |
| FR0010249680 | Cd Obligations Court Terme (d) | - | 17 sep. 2026 | 1243,840 EUR | 1299 | 1616257.620 |
| FR0000293912 | Cdc Plus (c) | Natixis Asset Management | 25 sep. 2012 | 538,300 EUR | 73066 | 39331427.800 |
| FR0000281297 | Cdc Plus (d) | Natixis Asset Management | 25 sep. 2012 | 266,870 EUR | 61451 | 16399428.370 |
| FR0010308114 | Centaure Latitude 75 | - | 16 sep. 2026 | 113,130 EUR | 39785 | 4501185.000 |
| FR0000980369 | Centaure Pea | - | 16 sep. 2026 | 158,370 EUR | 7300 | 1156177.000 |
| FR0007076930 | Centifolia C | DNCA Finance | 27 mars 2015 | 180,330 EUR | 5883950 | 1068466000.000 |
| FR0000988792 | Centifolia D | DNCA Finance | 26 juin 2012 | 153,750 EUR | 201781 | 31240000.000 |
| CH1400898297 | Cert. Optimized Yield | - | 18 sep. 2026 | 102,040 CHF | - | - |
| FR0007450002 | Cg Nouvelle Asie | - | 17 sep. 2026 | 873,700 EUR | 95109 | 83097876.840 |
| FR0007497425 | Chaussier Croissance | Chaussier Gestion SA | 18 sep. 2026 | 149,650 EUR | 36764 | 40.355 |
| FR0007067863 | Chaussier France Europe | Chaussier Gestion SA | 11 sep. 2026 | 188,480 EUR | 66643 | 12561105.830 |
| FR0007006457 | Chaussier International | Chaussier Gestion SA | 18 sep. 2026 | 307,450 EUR | 36781 | 9.941 |
| FR0007023304 | Chaussier PME Croissance | Chaussier Gestion SA | 18 sep. 2026 | 170,560 EUR | 31383 | 5.172 |
| FR0010177899 | Choix Solidaire (c) | Ecofi Investissements | 18 sep. 2026 | 89,330 EUR | 2364940 | 212278197.920 |
| FR0010202663 | Choix Solidaire (d) | Ecofi Investissements | 17 sep. 2026 | 58,770 EUR | 54346 | 3194029.710 |
| FR0010222281 | Choix Solidaire Cc Agir Unicef | Ecofi Investissements | 17 sep. 2026 | 63,960 EUR | 30985 | 1982025.820 |
| FR0010510123 | Choix Solidaire Fau | Ecofi Investissements | 17 sep. 2026 | 59,020 EUR | 498 | 29423.170 |
| FR0010510115 | Choix Solidaire Fcs | Ecofi Investissements | 17 sep. 2026 | 70,380 EUR | 654 | 46043.700 |
| FR0010576215 | Choix Solidaire Frm | Ecofi Investissements | 17 sep. 2026 | 62,450 EUR | 1371 | 85602.320 |
| FR0000296345 | Cipec Diversifie Intl Dyn | CM-CIC AM | 16 sep. 2026 | 937,430 EUR | 24855 | 23300000.000 |
| FR0007059159 | Cm Pep Actions | CM-CIC AM | 06 sep. 2012 | 8,030 EUR | 41298 | 331622.940 |
| FR0000444366 | CM-CIC Actions ISR | CM-CIC AM | 22 mars 2012 | 6,590 EUR | 2212243 | 14579000.000 |
| FR0007479175 | CM-CIC Anticipations | CM-CIC AM | 23 mars 2012 | 681,890 EUR | 41386 | 28221000.000 |
| FR0000401853 | CM-CIC Associations | CM-CIC AM | 23 mars 2012 | 352,840 EUR | 16075 | 5672000.000 |
| FR0010359430 | CM-CIC Dynamique Europe | CM-CIC AM | 02 juil. 2012 | 31,720 EUR | 7070034 | 224261000.000 |
| FR0010361303 | Cm-cic Dynamique Europe (d) | CM-CIC AM | 17 sep. 2026 | 52,760 EUR | 420078 | 22163315.280 |
| FR0000447591 | CM-CIC Dynamique International | CM-CIC AM | 02 juil. 2012 | 27,950 EUR | 5038453 | 140825000.000 |
| FR0010362301 | Cm-cic Equilibre (d) | CM-CIC AM | 17 sep. 2026 | 108,950 EUR | 103065 | 11228931.750 |
| FR0010359448 | CM-CIC Equilibre C | CM-CIC AM | 02 juil. 2012 | 71,830 EUR | 4541601 | 326223000.000 |
| FR0010359331 | CM-CIC Euro Actions C | CM-CIC AM | 29 juin 2012 | 16,660 EUR | 12111052 | 201770000.000 |
| FR0000437162 | CM-CIC Europe | CM-CIC AM | 29 juin 2012 | 22,120 EUR | 3671637 | 81217000.000 |
| FR0007395207 | CM-CIC France 250 | CM-CIC AM | 29 juin 2012 | 43,190 EUR | 1381657 | 59674000.000 |