Particuliers

Our funds

  • Equities and Mixed
  • Bonds and Money Market
  • Funds of funds & Profiled Funds
Funds name ISIN code Part Asset class SRI NAV Date Perf. accumulated Perf. annualized SFDR AMF Labels
1 year 5 years 10 yers 1 year 5 years 10 yers
Covéa Actions Croissance I(C) FR0013367182 I(C) 4 139.58€ 27/07/2026 2.65% 3.92% - 2.65% 0.77% - 8 2
Covéa Actions Europe Opportunités I FR0010567529 I 4 318.26€ 27/07/2026 13.32% 17.38% 84.06% 13.32% 3.26% 6.29%
Covéa Obligations Convertibles I FR0011070762 I 3 30079.25€ 27/07/2026 5.51% 17.68% 38.22% 5.51% 3.31% 3.29%
Covéa Obligations Convertibles I (D) FR0013317674 I(D) 3 - 19/06/2024 - - - - - -