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Fonds Internationaux

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Afrique du Sud - Fonds

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Condition

Fréquence

Une fois
%

Fréquence

Fréquence

Mode de réception

Statut

 NomSymboleDernier Var. %Actif totalHeures
 Discovery Target Retirement 2040 Fund A0P0000.2,163-0,04%2,04B31/05 
 Discovery Target Retirement 2035 Fund A0P0000.2,253-0,04%1,91B31/05 
 Discovery Target Retirement 2045 Fund A0P0000.2,184-0,03%1,73B31/05 
 Discovery Target Retirement 2030 Fund A0P0000.2,230-0,09%1,51B31/05 
 Discovery Target Retirement 2050 Fund A0P0001.1,402-0,01%1,26B31/05 
 Citadel SA Protected Equity H4 Fund B10P0001.13,339-0,61%788,7M30/05 
 Discovery Target Retirement 2025 Fund A0P0000.2,230-0,11%915,46M31/05 
 Discovery Target Retirement 2020 Fund A0P0000.2,160-0,12%302,69M31/05 
 Discovery Target Retirement 2015 Fund B0P0000.1,958+0,25%104,42M27/10 
 Discovery Target Retirement 2015 Fund A0P0000.2,140-0,13%57,64M31/05 

Allemagne - Fonds

 NomSymboleDernier Var. %Actif totalHeures
 Bremenkapital Zertifikate0P0000.40,330+0,07%77,75M31/05 
 Deka-PB Defensiv0P0000.113,590-0,37%71,88M31/05 
 Deka-DeepDiscount 2y0P0000.140,480-0,01%21,97M31/05 
 Deka-DeepDiscount 2y (III)0P0000.146,820-0,02%16,11M31/05 
 FFPB Substanz0P0000.6,790-0,15%7,63M31/05 

Bermudes - Fonds

 NomSymboleDernier Var. %Actif totalHeures
 Butterfield Bermuda ALP6000.46,050+0,15%14,65M22/05 

Espagne - Fonds

 NomSymboleDernier Var. %Actif totalHeures
 GESPRISA INVERSIONES, SICAV, SA0P0000.34,621-0,47%1,41B30/05 
 SOIXA, SICAV, SA0P0000.164,699-1,06%493,9M29/05 
 RENTABILIDAD 2009, SICAV, SA0P0000.35,395+0,35%166,49M30/05 
 GUNToN DE INVERSIONES SICAV, SA0P0000.19,905-0,34%150,98M29/05 
 ALTAIS INVEST SICAV SA0P0000.14,7420,00%145,44M18/10 
 BOYSEP INVESTMENT SICAV SA0P0000.20,103-0,71%137,49M29/05 
 DP Fonseleccion FI0P0000.3,856-0,30%131,66M29/05 
 INVERSIONES ECHEMU, SICAV, SA0P0000.28,184-0,57%125,45M29/05 
 INVERSIONES NAIRA, SICAV, SA0P0000.2,771-0,50%123,19M29/05 
 NIEVA DE INVERSIONES MOBILIARIAS SICAV SA0P0000.13,702-0,78%113,96M29/05 
 MANFREHASQUE SICAV SA0P0000.58,403+5,70%103,37M08/05 
 AZKARAN INVERSIONES, SICAV, SA0P0000.1,057-0,02%102,77M29/09 
 1948 INVERSIONS, SICAV SA0P0000.37,608-0,93%103,49M30/05 
 PLATINO FINANCIERA SICAV SA0P0000.1,339-0,33%92,47M29/05 
 CARFY, SICAV SA0P0000.99,766+0,37%89,26M30/05 
 RHO INVESTMENTS, SIL, SA0P0000.40,460-0,14%90,28M24/05 
 CARTERA KEFREN, SICAV, SA0P0000.1,952+2,39%87,87M07/07 
 EURO 21 DE INVERSIONES SICAV SA0P0000.8,266-0,48%81,66M29/05 
 INVERSIONES TEIDE, SA SICAV0P0000.34,339-0,60%83,54M29/05 
 HERCASOL, SA, SICAV0P0000.24,552-0,65%83,44M29/05 

France - Fonds

 NomSymboleDernier Var. %Actif totalHeures
 Agipi Immobilier0P0001.131,330+0,60%196,24M30/05 

Grèce - Fonds

 NomSymboleDernier Var. %Actif totalHeures
 3K Balanced Fund (Retail Share Class)0P0001.6,276-0,00%4,75M29/03 

Irlande - Fonds

 NomSymboleDernier Var. %Actif totalHeures
 Mercer Global Dynamic Multi Asset Fund A4 0.1000 J0P0001.11.923,580-0,28%7,77B30/05 
 Mediolanum Best Brands Financial Income Strategy L0P0001.6,884-0,42%1,41B29/05 
 Mercer Investment Fund 4 Class M-2ֲ£ Acc0P0001.80,480+0,49%709,81M30/05 
 Mercer Investment Fund 3 M-2ֲ£0P0001.94,860+0,56%564,29M30/05 
 Trojan Feeder Fund (Ireland) O SGD Acc0P0001.1,6800,00%564,6M31/05 
 Mercer Dynamic Asset Allocation Fund Class A15-H-00P0001.106,480-0,18%770,09M30/05 
 Mercer Dynamic Asset Allocation Fund Class A11-H-00P0001.107,380-0,18%770,09M30/05 
 Mercer Dynamic Asset Allocation Fund Class A17-H-00P0001.105,490-0,17%770,09M30/05 
 Mercer Dynamic Asset Allocation Fund Class A15-H-00P0001.111,620-0,16%770,09M30/05 
 Mercer Dynamic Asset Allocation Fund Class A20-H-00P0001.109,350-0,16%770,09M30/05 
 Mercer Dynamic Asset Allocation Fund Class A11-H-00P0001.112,720-0,17%770,09M30/05 
 Mercer Investment Fund 15 Class M-1 SGD0P0001.94,241-0,04%464,94M26/01 
 Mercer Investment Fund 7 M-4ֲ£ Acc0P0001.16,280+0,87%633,1M30/05 
 Mercer QIF CCF - Mercer Investment Fund 19 A1-0.330P0001.81,710-0,04%359,35M30/05 
 Mercer Synthetic Equity-Linked Nominal Bond Fund M0P0001.74,040+0,28%33,87M30/05 
 FAM Sustainable Target 20220P0001.115,544-0,55%30,22M30/05 
 FAM MegaTrends Target 2022 II Class L EUR Accumula0P0001.97,951-0,54%32,25M30/05 
 Mercer Synthetic Equity-Linked Nominal Bond Fund M0P0001.58,140+0,28%33,87M30/05 
 FAM MegaTrends Target 20250P0001.99,960-0,47%22,7M30/05 
 Mercer Synthetic Equity-Linked Real Bond Fund Clas0P0001.63,970-0,08%149,09M30/05 

Israël - Fonds

 NomSymboleDernier Var. %Actif totalHeures
 Yelin Lapidot 90/10 Overseas0P0001.124,120+0,61%580,55M29/05 
 Meitav 90/10 Glbl Portf Forex Protectd!0P0001.120,280-0,23%294,54M29/05 
 More 90/10 Global Portfolio0P0001.123,120+0,47%220,62M29/05 
 Tamir Fishman Global Bond Floating Rate0P0001.121,030+0,73%127,78M29/05 
 Excellence Global Bond Forex Hedged0P0001.104,2-0,18%103,01M29/05 
 Yelin Lapidot 90/10Glbl Bd Prtf Frx Pctd0P0001.109,470-0,20%28,82M29/05 
 Azimuth Investments0P0000.169,220+0,11%28,02M29/05 

Italie - Fonds

 NomSymboleDernier Var. %Actif totalHeures
 Eurizon Global Leaders ESG 50 Luglio 2026 D0P0001.4,839-0,27%615,16M30/05 
 Anima Investimento Clean Energy 20260P0001.4,813+0,10%574,01M24/05 
 Anima Investimento Cyber Security & Big Data 20270P0001.5,146-0,21%473,17M24/05 
 Anima Investimento AgriTech 20260P0001.4,678-0,49%466,84M24/05 
 BancoPosta Orizzonte Reddito D0P0001.4,887-0,55%341,32M30/05 
 BancoPosta Orizzonte Reddito A0P0001.5,390-0,54%341,32M30/05 
 Anima Investimento Robotica&Intelligenza Artificia0P0001.4,936+0,02%246,41M24/05 
 Arca Multi-Strategy Prudente 2026 V F0P0001.4,7220,00%231,59M30/05 
 Eurizon Global Trends 40 - Dicembre 20240P0001.5,298-0,39%215,1M30/05 
 Arca Opportunità Green 2026 R0P0001.4,798-0,08%207,14M30/05 
 Arca Opportunità Green 2026 II R0P0001.4,754-0,08%162,5M30/05 
 Euromobiliare Progetto 2021 Atto II A0P0001.5,696-0,02%139,97M30/05 
 Eurizon Global Dividend ESG 50 - Luglio 2025 A0P0001.5,198+0,25%135,86M30/05 
 Amundi Accumulazione Digital & Cyber Security 20260P0001.5,244-1,00%120,26M30/05 
 Arca Opportunitֳ  Sostenibili 2025 IV R0P0001.4,858+0,02%118,66M30/05 
 Amundi Accumulazione Trends & LifeStyle 20260P0001.4,761-0,17%103,72M30/05 
 Anima Patrimonio Globale & Clean Energy 20240P0001.4,897+0,27%101,54M24/05 
 BancoPosta Focus Rilancio 20260P0001.4,771-0,23%101,42M30/05 
 Eurizon Recovery Leaders ESG 40 Dicembre 2025 A0P0001.5,035-0,53%90,1M30/05 
 Amundi Accumulazione ESG Leaders&Improvers 20260P0001.4,926-0,14%88,25M30/05 

Japon - Fonds

 NomSymboleDernier Var. %Actif totalHeures
 Schroder Selection Euro Series Euro Balanced JPY A0P0000.2.036,503+0,19%21,23M31/05 

Luxembourg - Fonds

 NomSymboleDernier Var. %Actif totalHeures
 Fidelity Funds Global Multi Asset Income Fund A 0P0001.4.243,000+0,24%8,84B31/05 
 Allianz Global Investors Fund - Allianz Dynamic Mu0P0001.43.857,750-0,42%2,33B31/05 
 Allianz Global Investors Fund Allianz Income and0P0000.6,835-0,13%47,28B31/05 
 Allianz Global Investors Fund Allianz Income and0P0001.10,586-0,13%47,28B31/05 
 Fidelity Funds Global Multi Asset Income Fund A 0P0001.1.157,000+0,17%987,1M31/05 
 JPMorgan Investment Funds Global Income Fund A (0P0001.7,140+0,28%16,57B31/05 
 JPMorgan Investment Funds Global Income Fund C (0P0001.8,110+0,37%16,57B31/05 
 BlackRock Global Funds Global Allocation Fund A20P0001.171,850+0,01%249,68M31/05 
 Allianz Global Investors Fund - Allianz Income and0P0000.7,518-0,11%47,28B31/05 
 NN (L) First Class Multi Asset I Dis(HY) JPY (he0P0001.8.909,163+0,44%347,19M31/05 
 JPMorgan Investment Funds - Global Income Fund A (0P0000.13,810+0,22%16,57B31/05 
 UBS (Lux) Strategy Fund Growth (USD) (JPY hedged0P0001.13.073,000-0,20%319,2M30/05 
 AB FCP I All Market Income Portfolio AD ZAR H In0P0001.55,750-0,55%1,26B31/05 
 Fidelity Funds - Global Multi Asset Income Fund A-0P0001.0,778+0,26%395,36M31/05 
 JPMorgan Funds Asia Pacific Income Fund A (irc) 0P0001.8,570-0,12%1,37B31/05 
 JPMorgan Funds Asia Pacific Income Fund C (irc) 0P0001.9,230-0,11%1,37B31/05 
 Invesco Funds Invesco Pan European High Income F0P0001.8,440+0,12%450,31K31/05 
 Invesco Funds Invesco Pan European High Income F0P0001.8,220+0,12%3,79M31/05 
 Invesco Funds Invesco Pan European High Income F0P0001.8,690+0,12%715,79K31/05 
 First Eagle Amundi International Fund Class AHS C 0P0001.152,830+0,09%5,58B30/05 

Malte - Fonds

 NomSymboleDernier Var. %Actif totalHeures
 APS Income Fund AccumulationLP6827.175,369+0,02%60,95M30/05 
 APS Income Fund DistributionLP6827.108,467+0,02%60,95M30/05 

Philippines - Fonds

 NomSymboleDernier Var. %Actif totalHeures
 BPI Balanced Fund0P0000.167,830+0,48%4,65B31/05 
 ALFM Growth Fund0P0000.211,850+0,83%4,11B31/05 
 Metro Capital Growth Fund0P0000.3,252-0,35%1,02B30/05 
 UnionBank Peso Balanced Portfolio0P0001.140,920-0,77%139,25M29/05 
 Odyssey Diversified Capital Fund0P0000.190,350+0,38%31/05 
 BDO Balanced Fund0P0000.3.431,901+0,32%31/05 
 Odyssey Diversified Balanced Fund0P0000.199,850+0,48%31/05 
 Sun Life Of Canada Prosperity Balanced Fund A0P0000.3,579-0,68%29/10 
 First Metro Save and Learn Balanced Fund0P0000.2,650-0,97%02/11 
 Rizal Balanced Fund0P0000.2,038-0,38%30/05 
 MFCP Kabuhayan Fund0P0000.2,221-0,51%02/11 
 PAMI Horizon Fund0P0000.3,689-0,80%02/11 
 Philam Fund0P0000.16,524-0,79%02/11 
 Sun Life Prosperity Dollar Advantage Fund A0P0000.3,951-0,74%23/02 
 PNB Mabuhay Prestige0P0000.1,395+0,38%31/05 

Pologne - Fonds

 NomSymboleDernier Var. %Actif totalHeures
 Pioneer SFIO Elastycznego Inwestowania0P0000.15,010-0,07%581,7M21/12 
 Pekao Zrównoważony Rynku Amerykańskiego0P0000.68,770-0,26%188,95M21/12 
 MetLife Akcji Europy Srodkowej i Wschodniej A0P0000.10,510-0,19%47,37M11/10 
 MetLife Akcji Europy Srodkowej i Wschodniej I0P0000.10,520-0,09%47,37M11/10 
 Amplico Sub Akcji Nowa Europa A0P0000.7,420+0,27%40,15M11/10 
 Amplico Sub Malych Spólek A0P0000.10,400-0,38%24,43M11/10 
 Amplico Sub Zrównowazony Azjatycki A0P0000.11,700-1,68%3,77M11/10 
 Arka Platinum Stabilny0P0000.71,520-0,29%24/02 
 Amplico FIO Aktywnej Alokacji A0P0000.8,040-0,37%11/10 
 Amplico FIO Aktywnej Alokacji I0P0000.8,040-0,50%11/10 

Portugal - Fonds

 NomSymboleDernier Var. %Actif totalHeures
 BPI Brasil - Fundo de Investimento Aberto Flexֳ­ve0P0000.10,068-0,45%12,73M29/05 

Royaume-Uni - Fonds

 NomSymboleDernier Var. %Actif totalHeures
 VT RM Alternative Income Fund Retail GBP Accumulat0P0001.1,179+0,38%174,4M31/05 
 VT RM Alternative Income Fund Institutional GBP In0P0001.0,868+0,38%174,4M31/05 
 The Windrush Inc0P0000.22,95-0,94%13,13M31/05 
 CF Buxton Inc0P0000.29,62-0,40%6,77M31/05 
 CF Buxton Acc0P0000.41,36-0,40%4,37M31/05 
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