Funds

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Performance as % at value date
Denominationsort ascending ISIN Value date Net asset value (€) YTD 1Y 3Y 5Y
Covéa Obligations Convertibles I FR0011070762 15/09/17 23 152,36 3,79% 6,32% 12,31% 25,18%
Covéa Actions Euro I FR0010567487 15/09/17 146,96 10,49% 15,00% 23,15% 60,63%
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