Name
ISIN
  Type of yield
Currency
Investment company Repurchase p.
Date
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1Y)
Vola. (1Y)
 
AIS Select - Équilibre P
FR0010292920
reinvestment
EUR
Federal Finance 144.4900
7/18/2024
+2.66% +6.15% +0.61% - 0.50
4.91%
AIS Select - Modéré P
FR0000988594
reinvestment
EUR
Federal Finance 152.1800
7/18/2024
+1.97% +4.83% -1.95% - 0.31
3.63%
Federal Ethi-Patrimoine B
FR0013516523
reinvestment
EUR
Federal Finance 1,077.5601
7/19/2024
+1.39% +6.55% +1.16% - 0.89
3.22%
Federal Ethi-Patrimoine I
FR0013215944
reinvestment
EUR
Federal Finance 1,105.8600
7/19/2024
+1.47% +6.88% +2.08% - 0.99
3.21%
Federal Ethi-Patrimoine P
FR0013215969
reinvestment
EUR
Federal Finance 106.7500
7/19/2024
+1.32% +6.24% +0.29% - 0.79
3.22%