Funds

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Performance as % at value date
Denomination ISINsort descending Value date Net asset value (€) YTD 1Y 3Y 5Y
Covéa Actions Euro I FR0010567487 23/02/17 136,15 2,36% 11,63% 17,14% 60,75%
Covéa Obligations Convertibles I FR0011070762 23/02/17 22 560,88 1,14% 5,67% 10,15% 27,55%
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