Nom
ISIN
  Type de rendement
Devise
Société de fonds Prix de rachat
Date
Perf. 3M Perf. 1A Perf. 3A Perf. 5A SR (1A)
Vola (1A)
 
CM-AM CASH ISR ES
FR0013258886
reinvestment
EUR
Crédit Mutuel AM 104,166.2969
18/06/2024
+1.04% +4.09% +5.25% - 2.67
0.15%
CM-AM CASH ISR IC
FR0000979825
reinvestment
EUR
Crédit Mutuel AM 532,120.6875
18/06/2024
+1.03% +4.05% +5.09% - 2.37
0.15%
CM-AM CASH ISR ID
FR0010948190
reinvestment
EUR
Crédit Mutuel AM 507,727.9688
18/06/2024
+1.03% +3.48% +4.52% - -0.39
0.56%
CM-AM CASH ISR RC
FR0013353828
reinvestment
EUR
Crédit Mutuel AM 53,980.9297
18/06/2024
+1.02% +4.02% +5.02% - 2.20
0.15%
CM-AM CASH ISR RC2
FR0013400546
reinvestment
EUR
Crédit Mutuel AM 10.4017
18/06/2024
+1.01% +3.99% +4.91% +4.03% 2.01
0.15%
CM-AM DOLLAR CASH RC
FR0000984254
reinvestment
USD
Crédit Mutuel AM 2,081.9099
18/06/2024
+1.37% +5.67% +10.08% - 9.75
0.2%
CM-AM MONE PREMIUM RC
FR0000009946
reinvestment
EUR
Crédit Mutuel AM 66,951.1484
18/06/2024
+1.02% +3.99% +4.96% - 1.97
0.15%
CM-AM MONEPLUS RC
FR0013354230
reinvestment
EUR
Crédit Mutuel AM 104.2627
18/06/2024
+1.03% +4.05% +5.11% - 2.37
0.15%
CM-AM PEA SECURITE RC
FR0010455808
reinvestment
EUR
Crédit Mutuel AM 11,344.5996
17/06/2024
+1.03% +4.10% +5.80% - 2.70
0.15%
Union + IC
FR0000009987
reinvestment
EUR
Crédit Mutuel AM 198,845.4375
18/06/2024
+1.04% +4.07% +5.15% - 2.49
0.15%
Union + TC
FR0013360245
reinvestment
EUR
Crédit Mutuel AM 380.3290
18/06/2024
+1.03% +4.03% +5.05% - 2.25
0.15%