Name
ISIN
  Type of yield
Currency
Investment company Repurchase p.
Date
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1Y)
Vola. (1Y)
 
Federal Euro Aggregate 3-5 ESG GP
FR0010222067
reinvestment
EUR
Federal Finance 134.8400
7/12/2024
+0.62% +5.20% -5.06% - 0.55
2.81%
Federal Euro Aggregate 3-5 ESG I
FR0013476496
reinvestment
EUR
Federal Finance 95.0100
7/12/2024
+0.61% +5.20% -5.06% - 0.55
2.8%
Federal Euro Aggregate 3-5 ESG P
FR0010485250
reinvestment
EUR
Federal Finance 51.3500
7/12/2024
+0.55% +4.88% -5.92% - 0.43
2.8%
Federal Global Green Bonds I
FR0010207548
reinvestment
EUR
Federal Finance 129,109.1875
7/12/2024
-0.45% +5.50% -9.06% - 0.35
5.27%
Federal Global Green Bonds P
FR0007394846
reinvestment
EUR
Federal Finance 16.2100
7/12/2024
-0.49% +5.26% -9.59% - 0.30
5.24%
Federal Obligations Court Terme ESG...
FR0010859785
reinvestment
EUR
Federal Finance 1,167.9100
7/12/2024
+1.13% +4.60% +7.57% - 2.83
0.33%
Federal Obligations Court Terme ESG...
FR0013332624
reinvestment
EUR
Federal Finance 159.5200
7/12/2024
+1.08% +4.39% +6.92% - 2.19
0.33%
Federal Obligations Court Terme ESG...
FR0013387305
reinvestment
EUR
Federal Finance 10,840.5098
7/12/2024
+1.15% +4.71% +7.89% - 3.10
0.34%
Federal Première LCR ESG I
FR0007418587
reinvestment
EUR
Federal Finance 381.9400
7/12/2024
+0.69% +3.89% -0.77% - 0.16
1.42%