La Française Rendement Global 2031 TD USD H Fonds
|
38783412
|
Credit Mutuel Asset Management
|
USD
|
7.54
|
29.93
|
28.61
|
211.01
|
La Française Sub Debt C Fonds
|
4682549
|
Credit Mutuel Asset Management
|
EUR
|
8.27
|
29.20
|
18.42
|
613.01
|
La Française Sub Debt D Fonds
|
12082040
|
Credit Mutuel Asset Management
|
EUR
|
8.27
|
29.22
|
18.44
|
613.01
|
La Française Sub Debt E Fonds
|
12864843
|
Credit Mutuel Asset Management
|
EUR
|
11.23
|
15.33
|
44.69
|
613.01
|
La Française Sub Debt IC CHF H Fonds
|
|
Credit Mutuel Asset Management
|
CHF
|
5.68
|
22.61
|
11.89
|
613.01
|
La Française Sub Debt IC USD H Fonds
|
|
Credit Mutuel Asset Management
|
USD
|
-
|
-
|
-
|
613.01
|
La Française Sub Debt R Fonds
|
24024549
|
Credit Mutuel Asset Management
|
EUR
|
7.62
|
26.86
|
15.02
|
613.01
|
La Française Sub Debt RC USD H Fonds
|
|
Credit Mutuel Asset Management
|
USD
|
-
|
-
|
-
|
613.01
|
La Française Sub Debt S Fonds
|
38842452
|
Credit Mutuel Asset Management
|
EUR
|
8.27
|
29.18
|
18.28
|
613.01
|
La Française Sub Debt TC EUR Fonds
|
38842433
|
Credit Mutuel Asset Management
|
EUR
|
8.26
|
29.17
|
18.42
|
613.01
|
La Française Sub Debt TC USD H Fonds
|
38842388
|
Credit Mutuel Asset Management
|
USD
|
10.03
|
37.52
|
28.78
|
613.01
|
La Française Sub Debt TS Fonds
|
|
Credit Mutuel Asset Management
|
EUR
|
8.36
|
29.50
|
-
|
613.01
|
La Française Sub Debt Y Fonds
|
40715038
|
Credit Mutuel Asset Management
|
EUR
|
8.27
|
29.23
|
19.92
|
613.01
|
La Française Trésorerie ISR I Fonds
|
3957769
|
Credit Mutuel Asset Management
|
EUR
|
2.76
|
9.69
|
8.64
|
3223.19
|