+0.30%
7749,170 pts
| ISIN | Nom | Gestion | Date | VL | Nombre de parts | Actif |
|---|---|---|---|---|---|---|
| FR0010564336 | Arevalor (c) | - | 20 mars 2026 | 209,710 EUR | 772754 | 162060838.590 |
| FR0010057711 | Arevalor (d) | - | 20 mars 2026 | 165,240 EUR | 79687 | 13167619.150 |
| FR0007010129 | Argofund Dynamique | Axa Investment ManagersParis | 20 mars 2026 | 45,470 EUR | 393759 | 17904219.000 |
| FR0007475827 | Argofund Modere | Axa Investment ManagersParis | 20 mars 2026 | 39,240 EUR | 349109 | 13699055.820 |
| FR0007457742 | Ariane Invest | Financiere de L'Oxer | 18 juil. 2012 | 26,850 EUR | 52155 | 1400361.750 |
| FR0010296012 | Ariel | - | 19 mars 2026 | 233,180 EUR | 36280 | 8460095.000 |
| FR0010539742 | Aris Strategy | - | 13 mars 2026 | 164,280 EUR | 25271 | 4151514.000 |
| FR0010370437 | Arlequin | - | 20 mars 2026 | 258,740 EUR | 86661 | 22423145.260 |
| FR0007075585 | Atomys Pilote | - | 10 oct. 2024 | 194,550 EUR | 18477 | 3594687.000 |
| FR0010106880 | Atout Euroland | - | 20 mars 2026 | 280,870 EUR | 4126972 | 1159142544.850 |
| FR0010101972 | Atout Europe (c) | - | 20 mars 2026 | 1013,980 EUR | 320530 | 325010768.910 |
| FR0010106856 | Atout Europe (d) | - | 20 mars 2026 | 684,830 EUR | 9396 | 6434664.880 |
| FR0010093716 | Atout France (c) | - | 20 mars 2026 | 474,490 EUR | 2139994 | 1015405525.490 |
| FR0010106864 | Atout France (d) | - | 20 mars 2026 | 214,560 EUR | 2007761 | 430785296.360 |
| FR0010251736 | Atout Moderactions | - | 20 mars 2026 | 121,030 EUR | 1000121 | 121044701.620 |
| FR0010536565 | Atout Prem'S Actions | - | 20 mars 2026 | 10,720 EUR | 15785584 | 169221456.430 |
| FR0000991424 | Atout Valeurs Durables | - | 20 mars 2026 | 260,810 EUR | 4798263 | 1251435008.350 |
| FR0010036962 | Atout Vert Horizon | - | 20 mars 2026 | 23,620 EUR | 23772248 | 561500488.220 |
| FR0010267476 | Audeo Clipper | - | 20 mars 2026 | 173,840 EUR | 334318 | 58118589.910 |
| FR0010599399 | Aureus | BFT Gestion | 23 mars 2026 | 118,114 EUR | 63582321 | 7509931049.830 |
| FR0010500322 | Auxense Actions Alpha | - | 13 mars 2026 | 20064,380 EUR | 534 | 10714380.790 |
| FR0010359323 | Avenir Alizes (c) | CM-CIC AM | 20 mars 2026 | 998,690 EUR | 25207 | 25173978.830 |
| FR0010361311 | Avenir Alizes (d) | CM-CIC AM | 20 mars 2026 | 591,760 EUR | 2820 | 1668763.200 |
| FR0007031653 | Avenir Euro | - | 08 déc. 2025 | 3025,670 EUR | 3955 | 11966554.920 |
| FR0007012919 | Avenir Finance Select Monde C | - | 20 mars 2026 | 284,010 EUR | 8341 | 2368964.790 |
| FR0010814400 | Avenir Partage Isr A | - | 20 mars 2026 | 59,530 EUR | 178 | 10626.720 |
| FR0010279034 | Avenir Partage Isr I | - | 20 mars 2026 | 100,310 EUR | 86977 | 8724979.980 |
| FR0007017587 | Avip Top Croissance | Opcvm | 17 fév. 2026 | 52,720 EUR | 175072 | 9230370.690 |
| FR0007017579 | Avip Top Defensif | Opcvm | 20 mars 2026 | 36,940 EUR | 1554908 | 57448458.420 |
| FR0007017595 | Avip Top Harmonie | Opcvm | 25 jan. 2023 | 45,460 EUR | 1065273 | 48427310.580 |
| FR0007025846 | Aviva Actions Croissance | Aviva Investors France | 20 mars 2026 | 42,910 EUR | 76531 | 3284105.300 |
| FR0007022108 | Aviva Actions Euro | Aviva Investors France | 20 mars 2026 | 194,440 EUR | 1367056 | 265817023.530 |
| FR0007473798 | Aviva Actions Europe | Aviva Investors France | 20 mars 2026 | 118,970 EUR | 330867 | 39364922.220 |
| FR0007485263 | Aviva Actions France | Aviva Investors France | 20 mars 2026 | 967,210 EUR | 28547 | 27611050.340 |
| FR0007017488 | Aviva Amerique | Aviva Investors France | 20 mars 2026 | 758,540 EUR | 1569381 | 1190448882.130 |
| FR0007478052 | Aviva Asie | Aviva Investors France | 20 mars 2026 | 383,880 EUR | 118225 | 45384827.500 |
| FR0000014292 | Aviva Convertibles A | Aviva Investors France | 20 mars 2026 | 53,700 EUR | 1706188 | 91635589.620 |
| FR0010746776 | Aviva Croissance Durable Isr A | Aviva Investors France | 20 mars 2026 | 2592,590 EUR | 21579 | 55944893.890 |
| FR0000290926 | Aviva Developpement | Aviva Investors France | 20 mars 2026 | 364,580 EUR | 29257 | 10666705.030 |
| FR0000097529 | Aviva Diversifie | Aviva Investors France | 20 mars 2026 | 341,200 EUR | 93131 | 31776638.830 |
| FR0000097537 | Aviva Europe | Aviva Investors France | 20 mars 2026 | 74,830 EUR | 345489 | 25855621.330 |
| FR0007385000 | Aviva France Opportunites | Aviva Investors France | 20 mars 2026 | 428,570 EUR | 173035 | 74158331.770 |
| FR0011586544 | Aviva Grandes Marques Isr A | Aviva Investors France | 20 mars 2026 | 2766,360 EUR | - | 481.998 |
| FR0007032719 | Aviva Harmonie | Aviva Investors France | 20 mars 2026 | 229,620 EUR | 5246413 | 1204699913.990 |
| FR0007488671 | Aviva Interoblig | Aviva Investors France | 20 mars 2026 | 444,410 EUR | 59166 | 26294206.830 |
| FR0010821462 | Aviva Inv Sm & Mid Caps Eur A | Aviva Investors France | 20 mars 2026 | 2259,830 EUR | 3413 | 7712987.020 |
| FR0013392057 | Aviva Invest Euro Crd Bd Isr A | Aviva Investors France | 20 mars 2026 | 99,670 EUR | - | 42.711 |
| FR0010297473 | Aviva Invest Oblig Variables I | Aviva Investors France | 22 jan. 2026 | 1200,360 EUR | 46 | 55601.140 |
| FR0007069547 | Aviva Invest Prof Equilibre | Aviva Investors France | 20 mars 2026 | 1108,050 EUR | 1399419 | 1550633377.890 |
| FR0007069554 | Aviva Invest Prof Offensif | Aviva Investors France | 20 mars 2026 | 1436,920 EUR | 1177230 | 1691585946.700 |