Cours Branche 23

Les valeurs sur 1 et 3 ans sont respectivement les rendements annualisés sur 1 et 3 ans.

Nom Classe de risque Date Cours YTD 1 ans 3 ans Création
All In One Fund 4 31/10/2024 816,77 € 6,62% 10,37% -1,88% 30/12/2010
Aureus gold 6 31/10/2024 136,21 € 24,45% 27,59% 10,35% 30/03/2012
Global Alternative Fund 4 30/09/2024 146,79 € 6,67% 9,28% -2,97% 02/02/2004
Global Investment Research Value Fund 4 30/10/2024 180,74 € 5,79% 10,55% -3,04% 16/11/2002
MAESTRO FUND 33025 5 30/10/2024 817,40 € 7,26% 16,14% -1,56% 31/05/1998
Market Neutral Alpha 4 31/10/2024 865,21 € 16,55% 11,66% 3,16% 01/05/2006
PL Belfius Plan Equities 4 30/10/2024 333,90 € 10,55% 17,65% 0,59% 03/12/1997
PL Belfius Plan High 3 30/10/2024 240,20 € 6,41% 12,38% -1,21% 03/12/1997
PL Belfius Plan Low 2 30/10/2024 220,99 € 1,82% 6,36% -2,02% 03/12/1997
PL Belfius Plan Medium 3 30/10/2024 230,03 € 3,81% 9,05% -2,41% 03/12/1997
PL Carmignac Patrimoine A 4 31/10/2024 108,09 € 4,80% 10,32% -2,94% 01/11/2011
PL Carmignac Sécurité 3 31/10/2024 101,50 € 3,48% 5,93% -0,06% 01/11/2011
PL Cash Fund 2 30/10/2024 237,32 € 2,26% 2,69% 0,92% 24/10/2007
PL Dierickx Leys Fund I Balance 3 30/10/2024 1.055,59 € 5,85% 11,48% 0,27% 10/03/2021
PL DNCA Invest Eurose 3 30/10/2024 1.076,61 € 1,93% 4,81% 1,63% 19/09/2018
PL DNCA Invest Evolutif 3 30/10/2024 1.311,79 € 10,39% 18,72% 3,18% 14/11/2018
PL DPAM Invest B Equities Euroland 4 30/10/2024 1.734,00 € 7,81% 18,39% 1,75% 02/01/2019
PL DPAM L Bonds Corporate High Yield 3 30/10/2024 1.055,15 € 3,84% 9,78% 0,33% 12/06/2019
PL DPAM L Global Target Income 3 30/10/2024 1.062,16 € 2,08% 8,39% -1,43% 09/01/2019
PL DWS ESG Money Market Fund 1 30/10/2024 555,83 € 3,35% 4,04% 1,76% 21/08/2002
PL Ethna Aktiv E 4 31/10/2024 121,15 € 6,33% 12,10% 2,06% 01/11/2011
PL Flossbach von Storch Multiple Opportunities II 3 30/10/2024 1.148,94 € 7,01% 12,06% 0,36% 30/09/2020
PL Future Stability 4 31/10/2024 99,10 € -2,63% 5,83% -5,48% 01/04/2012
PL Invesco Pan European Equity Income 4 30/10/2024 1.369,28 € 2,87% 10,36% 2,71% 16/01/2019
PL Invesco Pan European High Income 3 30/10/2024 1.122,34 € 4,12% 10,11% 0,37% 19/09/2018
PL LT Funds European General C 6 31/10/2024 965,70 € -1,36% 7,99% -3,96% 01/05/2016
PL M&G Conservative Allocation 3 30/10/2024 959,73 € 1,53% 10,05% -1,83% 16/08/2018
PL MercLin Global Equity 4 30/10/2024 1.793,07 € 17,06% 27,75% 7,52% 16/01/2019
PL MercLin Patrimonium 3 30/10/2024 1.414,59 € 12,19% 18,65% 4,06% 21/11/2018
PL Nordea Global Climate and Evironment Fund 4 30/10/2024 1.890,47 € 9,04% 19,72% 0,84% 30/01/2019
PL PTAM Global Allocation UI 3 30/10/2024 1.589,69 € 9,72% 17,00% 0,74% 14/11/2018
PL Ram Emerging Markets Equities 4 30/10/2024 1.682,31 € 14,42% 18,35% 3,46% 15/04/2020
PL Real Estate Fund 5 30/10/2024 1.228,71 € 4,71% 14,38% 2,18% 12/06/2019
PL Robeco BP Global Premium Equities 4 30/10/2024 1.742,52 € 12,14% 20,52% 8,64% 09/01/2019
PL Robeco QI Global Conservative Equities 4 30/10/2024 1.557,92 € 14,72% 16,33% 6,38% 02/01/2019
PL Share Gold 7 31/10/2024 68,35 € 25,06% 41,07% 2,68% 01/11/2011
PL Shelter Core-Satellite 60 3 30/10/2024 108,76 € 8,23% 14,44% 0,44% 30/11/2017
PL T Rowe Price Global Focused Growth Equity 4 30/10/2024 1.301,05 € 18,74% 26,41% 1,32% 04/11/2020
PL Varenne Valeur 4 31/10/2024 1.322,08 € 5,57% 16,54% -0,60% 01/05/2016
PL Vector Flexible 4 31/10/2024 1.071,28 € 3,19% 8,75% 1,79% 01/05/2016
PL Vector Navigator 5 31/10/2024 1.442,38 € 10,73% 18,04% 3,77% 15/01/2019
Quantitative Trend Following 6 15/10/2024 901,00 € -0,17% -13,20% 3,76% 02/01/2009
Reactive Return 100/60 4 31/10/2024 1.201,43 € 23,90% 28,37% 2,13% 01/05/2006
ROBECO SAFE 33043 1 30/10/2024 51,44 € 3,02% 8,55% -3,55% 11/02/2004
Smoothed Diversified Return Fund 2 16/10/2024 105,50 € 3,40% 4,86% 0,86% 16/10/2007
Target Return 3 4 31/10/2024 241,99 € 8,73% 15,24% 0,76% 18/12/2006