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Actions Amérique du Nord
Actions Amérique du Nord Small/Mid Cap
Actions Amérique Latine Small/Mid Cap
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Actions Asie pacifique Ex Japon
Actions Asie pacifique Ex Japon Small/Mid Cap
Actions Australie
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Actions Etats-Unis Small/Mid Cap
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Actions Europe Ex-UK
Actions Europe Ex-UK Small/Mid Cap
Actions Europe Small/Mid Cap
Actions Eurozone
Actions Eurozone Small/Mid Cap
Actions Finances
Actions France Small/Mid Cap
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Actions Industriels
Actions Information Technologie
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Actions Japon Small/Mid Cap
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Actions Mondial Small/Mid Cap
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Autres
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Fonds alternatifs
Fonds d'épargne-pension défensive
Fonds d'épargne-pension offensive
Fonds structuré
Fonds structuré avec protection du capital
Lifecycle/Target Maturity
Mixte Europa Monnaie dominante EUR Flexible
Mixte Europe Flexible
Mixte Europe Monnaie dominante EUR Défensif
Mixte Europe Monnaie dominante EUR Dynamique
Mixte Europe Monnaie dominante EUR Neutre
Mixte Europe Neutre
Mixte Eurozone Monnaie dominante EUR Défensif
Mixte Eurozone Monnaie dominante EUR Dynamique
Mixte Eurozone Monnaie dominante EUR Neutre
Mixte Marchés émergents Défensif
Mixte Marchés émergents Dynamique
Mixte Marchés émergents Flexible
Mixte Marchés émergents Neutre
Mixte Mondial Défensif
Mixte Mondial Dynamique
Mixte Mondial Flexible
Mixte Mondial Monnaie dominante EUR Défensif
Mixte Mondial Monnaie dominante EUR Dynamique
Mixte Mondial Monnaie dominante EUR Flexible
Mixte Mondial Monnaie dominante EUR Neutre
Mixte Mondial Neutre
Monétaire Monnaie unique EUR Regular
Monétaire Monnaie unique EUR Short Term
Monétaire Monnaie unique USD Regular
Monétaire Monnaie unique USD Short Term
Monétaire Regular
Obligation indexée sur l'inflation
Obligation indexée sur l'inflation Monnaie dominante EUR
Obligations Aggregate
Obligations Aggregate Longue Duration
Obligations Aggregate moyen Duration
Obligations Aggregate Rendement haut
Obligations Aggregate Rendement haut Courte Duration
Obligations Aggregate Rendement haut moyen Duration
Obligations Entreprises EUR
Obligations Entreprises moyen Duration
Obligations Flexibles
Obligations Gouvernement
Obligations Gouvernement Longue Duration
Obligations Marchés émergents Monde
Obligations Marchés émergents Monde Monnaie locale
Obligations Monnaie dominante CZK Aggregate moyen Duration
Obligations Monnaie dominante EUR Aggregate Courte Duration
Obligations Monnaie dominante EUR Aggregate Longue Duration
Obligations Monnaie dominante EUR Aggregate moyen Duration
Obligations Monnaie dominante EUR Entreprises Courte Duration
Obligations Monnaie dominante EUR Entreprises Longueue Duration
Obligations Monnaie dominante EUR Entreprises moyen Duration
Obligations Monnaie dominante EUR Gouvernement Courte Duration
Obligations Monnaie dominante EUR Gouvernement Longue Duration
Obligations Monnaie dominante EUR Gouvernement moyen Duration
Obligations Monnaie dominante EUR Rendement haut Courte Duration
Obligations Monnaie dominante EUR Rendement haut moyen Duration
Obligations Monnaie dominante NOK Gouvernement moyen Duration
Obligations Monnaie dominante USD Aggregate moyen Duration
Obligations Monnaie dominante USD Entreprises moyen Duration
Obligations Monnaie dominante USD Gouvernement moyen Duration
Obligations Monnaie dominante USD Rendement haut moyen Duration
Obligations Rendement haut
Obligations Rendement haut moyen Duration
Open-ended real estate
Rendement absolu
Couronnes
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0 couronnes ou plus
1 couronne ou plus
2 couronnes ou plus
3 couronnes
Institution d'investissement
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AG Insurance NV
Allianz Benelux SA
Aphilion
Argenta
Argenta Assuranties
Arvestar Asset Management SA
Athora Belgium
AXA SA
Banque Nagelmackers SA
BCEE Asset Management
Belfius Asset Management
Belfius Banque S.A.
BIENVENUES INVEST
BLI-Banque de Luxembourg Investments SA
BNP Paribas Asset Management Europe, Belgian Branch
BNP Paribas Asset Management, (Lux)
CADELUX S.A.
Candriam
Capfi Delen Asset Management
Capital at work
Chahine Capital
Conventum TPS
Crelan NV
Creutz & Partners The Art of Asset Management S.A.
Degroof Gestion Institutionnelle-Lux.
Degroof Petercam Asset Management S.A.
Degroof Petercam Asset Services S.A.
Dierickx Leys Private Bank N.V.
FIL Investment Management (Lux) S.A.
Funds Avenue
Goldman Sachs Asset Management B.V.
Hermes Fund Managers Ireland Limited
Indépendance et Expansion AM S.A.
ING Solutions Investment Management S.A.
KBC Asset Management (Belgium)
KBC Groep NV
La Française AM
La Mondiale Europartner
Lazard Frères Gestion SAS
Lazard Fund Managers (Ireland) Limited
Leleux Fund Management & Partners S.A.
Luxcellence Management Company S.A.
Montanaro Fund Managers Ltd
Pictet Asset Management (Europe) S.A.
PineBridge Investments Ireland Limited
Prudential PLC
Schroder Investment Management (Europe) S.A
Securities De Munter
Société Générale Private Wealth Mngt
Societe Generale SA
Sofidy
Syquant Capital SAS
Van Lanschot Kempen Investment Management
VP Fund Solutions (Luxembourg) SA
Waterloo Asset Management S.A.
Winterthur-Europe Assurances
Répartition type de placement
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Actions
Autres
Commodities
Derivés
Immobilier
Mixte
Monétaire
Obligations
Obligations convertibles
Performance Swaps
Secteur
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Biens de consommation
Biotechnologie
Energie
Engineering / Construction méchanique
Entreprises d'utilité
Finances
Immobilier
Matières premières
Non applicable
Pharmacie
Secteurs cycliques
Software / Hardware / Technologie
Région
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Amérique du Nord
Amérique du Sud
Asie Pacifique
Asie Pacifique ex Japon
Australie
Belgique
Chine & Hong-Kong
Chine Grande
États Unis
Europe
Europe Centrale et de l'Est
Eurozone
France
Inde
Japon
Marchés émergents
Mondial
Non applicable
Pays
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Belgique
France
Irlande
Luxembourg
Devise
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AUD
CHF
CZK
EUR
GBP
JPY
NOK
PLN
SGD
USD
Cap / Dis
-- Tous --
Capitalisations
Distribution
Benchmark
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€ STR capitalisé + 1.75%
€STER Capitalized
10% Cash Index EONIA (EUR) RI + 45% Bloomberg Barclays Euro Aggregate Corporate (EUR) RI + 45% Bloom
10% Eonia capitalisé, 5% Eonia capitalisé + marge 3%, 5% Exane Europe Convertible Bond, 5% EuroMTS Global, 45% SBF 120 hors dividendes, 30% MSCI AC World (en euro hors dividendes)
10% MSCI Europe Small Caps (USD) NR + 7.5% MSCI World ex-EMU (USD) NR + 32.5% MSCI EMU (EUR) NR + 12
10.5% MSCI World ex-EMU (USD) NR + 14% MSCI Europe Small Caps (USD) NR + 45.5% MSCI EMU (EUR) NR + 7
100% MSCI Europe ex UK Small Cap Index
100% MSCI Europe Small Cap Index
100% MSCI World Index Developed Countries Total Return (EUR)
12% EURO STOXX (EUR) NR + 10% Cash Index EONIA (EUR) RI + 22.5% Bloomberg Barclays Euro Aggregate Co
16,5% MSCI USA (Net Return) + 9% MSCI Europe (Net Return) + 3% MSCI Emerging Markets (Net Return) + 1.5% MSCI Japan (Net Return) + 70% Bloomberg Euro-Aggregate 1-10 Year Index (Total Return)
17% EURO STOXX (EUR) NR + 10% Cash Index EONIA (EUR) RI + 12.5% Bloomberg Barclays Euro Aggregate Co
20% €STR + 80% IBOX Euro Corporate 1-3 years
20% IBOXX Euro Corporates, 60% JP Morgan Euro GBI, 10% MSCI EMU, 10% MSCI World
20% MSCI World All Countries + 80% ICEBofA Euro Broad Market Index
20% MSCI World EUR, 20% MSCI Europe, 30% JPM Global Income Fund, 30% EONIA
20% MSCI World, 30% JP Morgan EMU aggregate alll maturities & 50% JP Morgan Euro cash 1 month
25% Bloomberg Euro Aggregate (TR) +75% MSCI ACWI Index (Net Return)
25% EURO STOXX (EUR) NR + 5% Cash Index EONIA (EUR) RI + 5% Topix 100 (EUR) RI + 11% STOXX Europe 60
25% Global Equity, 75% JPM GBI EMU IG
25% MSCI (AC) WORLD INDEX (NR), 75% BARCLAYS EURO AGGREGATE
25% MSCI World, 32.5% JP Morgan Global Govt Bond Index, 5% MSCI World Real Estate, 32,5% JP Morgan Global Govt Bond Index (ex-Japan) & 5% JP Morgan Euro cash 1 month
25,5% MSCI EMU Net Return, 4,5% MSCI World-ex-EMU Net Return, 45,5% Barclays Euro Aggregate Treasury Total Return, 24,5% Iboxx Euro Corporate Overall Total Return
27,5% MSCI USA (Net Return) + 15% MSCI Europe (Net Return) + 5% MSCI Emerging Markets (Net Return) + 2.5% MSCI Japan (Net Return) + 50% Bloomberg Euro-Aggregate 1-10 Year Index (Total Return)
30% Bloomberg Euro-Aggregate 1-10 Year Index |28% MSCI Europe|28% MSCI USA|10,5% MSCI Emerging Markets|3,5% MSCI Japan
30% Bloomberg Euro-Aggregate 1-10 Year Index|49% MSCI EMU|10.5% MSCI World ex EMU|10.5% MSCI EMU Small Cap
30% EURO STOXX (EUR) NR + 27.50% Bloomberg Barclays Euro Aggregate Corporate (EUR) RI + 27.50% Bloom
30% ML Hungarian Gov, 50% ML Polish Gov, 20% ML Czech Gov
32,5% JP Morgan Global Govt Bond Index, 25% MSCI World, 5% MSCI World Real Estate, 32,5% JP Morgan Global Govt Bond Index (ex-Japan) & 5% JP Morgan Euro cash 1 month
33% SBF 120 , 22% MSCI World All Countries in EUR ,20% Eonia Capitalized ,10% EuroMTS Global • 5% Eonia Capitalized + 3% margin , 5% Exane Europe Convertible Bond , 5% Merrill Lynch EMU Corporate
33.3% JPM Gov.Bonds op 3 Jaar in EUR + 33.3% Iboxx EUR Corp TR in EUR + 33.3% Barclays US Credit TR in USD
40% Global Equity (European Focus) / 60% Fixed Income
40% ML EMU Lg Cap Inv Grade, 35% MSCI AC World, 10% 7 Day Euro Libid, 10% DJ-AIG Com.Index, 5% FTSE Epra/Nareit Global
40% MSCI Europe Index Net Total Return (uitgedrukt in EUR) + 10% MSCI World Index Developed Countries Total Return (uitgedrukt in EUR) + 50% FTSE World Government Bond Index Total Return All Maturities (uitgedrukt in EUR)
40% MSCI Europe, 60% JPM Europe
40% MSCI Europe|40% MSCI USA|15% MSCI Emerging Markets|5% MSCI Japan
41,25% MSCI USA (Net Return) + 22,5% MSCI Europe (Net Return) + 7,5% MSCI Emerging Markets (Net Return) + 3.75% MSCI Japan (Net Return) + 25% Bloomberg Euro-Aggregate 1-10 Year Index (Total Return)
45% Bloomberg Barclays Euro Aggregate Corporate (RI) + 45% Bloomberg Barclays Euro Aggregate Treasur
45% MSCI World, 22,5% JP Morgan Global Govt Bond Index, 5% MSCI World Real Estate, 22,5% JP Morgan Global Govt Bond Index (ex-Japan) & 5% JP Morgan Euro cash 1 month
45.5% MSCI EMU (NR) + 14% MSCI Europe Small Cap (NR) + 10.5% MSCI World ex-EMU (NR) + 22.5% Bloomber
45.50% MSCI EMU (EUR) NR + 14% MSCI Europe Small Caps (USD) NR + 22.50% Bloomberg Barclays Euro Aggr
50% BLOOMBERG BARCLAYS US AGGREGATE CORPORATE (RI) + 50% BLOOMBERG BARCLAYS EURO AGGREGATE CORPORATE (HEDGED IN USD) (RI)
50% Bloomberg Euro-Aggregate (TR) + 50% MSCI ACWI Index (Net Return)
50% Bloomberg Euro-Aggregate 1-10 Year Index +35% MSCI EMU|7.5% MSCI World ex EMU|7.5% MSCI EMU Small Cap
50% Bloomberg Euro-Aggregate 1-10 Year Index|20% MSCI Europe|20% MSCI USA|7,5% MSCI Emerging Markets|2,5% MSCI Japan
50% JPM ASIA CREDIT (USD) RI + 50% MARKIT IBOXX ALBI (USD) RI
50% Morningstar Developed Markets Europe Large-Mid Cap(in EUR) + 50% Morningstar US Large Cap (in EUR)
50% MSCI (AC) WORLD INDEX (NR), 50% BARCLAYS EURO AGGREGATE
50% MSCI EUROPE 100% HEDGED TO EUR (NR), 50% BLOOMBERG BARCLAYS EURO-AGGREGATE
50% MSCI Europe minimum volatility (EUR) & 50% MSCI USA minimum volatility (EUR)
52.5% Bloomberg Barclays Euro Aggregate Treasury 500MM 1-10 Years (EUR) RI + 19.5% MSCI EMU (EUR) NR
55% MSCI EMU, 40% JP Morgan EMU aggregate all maturities & 5% JP Morgan Euro cash 1 month
55,25% MSCI EMU Net Return, 9,75% MSCI World-ex-EMU Net Return, 22,75% Barclays Euro Aggregate Treasury Total Return, 12,25% Iboxx Euro Corporate Overall Total Return
6% EURO STOXX (EUR) NR + 10% Cash Index EONIA (EUR) RI + 35% Bloomberg Barclays Euro Aggregate Corpo
6% EURO STOXX (EUR) NR + 2% STOXX Europe 600 (EUR) NR + 10% Cash Index EONIA (EUR) RI + 35% Bloomber
60% Cash Index EURIBOR 1 Month (RI) + 40% MSCI AC World (NR) --(EUR)
60% Global Equity (European Focus) / 40% Fixed Income
60% JP Morgan EMU aggregate all maturities, 20% MSCI EMU, 16% MSCI World (ex-Europe), 4% MSCI Europe (Ex-EMU)
60% JPM EMU Government Bond Total Return + 10% Iboxx Euro Corporates Overall Total Return + 20% MSCI EMU Net Return + 10% MSCI North America Net Return.
60% MSCI EMU & 40% CG EMU Govt Bond index
60% MSCI World Index, 20% MSCI Emerging Market Index et 20% Bloomberg Global Agregate Index
65% MSCI World, 12,5% JP Morgan Global Govt Bond Index, 5% MSCI World Real Estate, 12,5% JP Morgan Global Govt Bond Index (ex-Japan) & 5% JP Morgan Euro cash 1 month
70% Bloomberg Euro Aggregate (TR) +30% MSCI ACWI Index (Net Return)
70% Bloomberg Euro-Aggregate 1-10 Year Index|12% MSCI Europe|12% MSCI USA|4,5% MSCI Emerging Markets|1,5% MSCI Japan
70% Bloomberg Euro-Aggregate 1-10 Year Index|21% MSCI EMU|4.5% MSCI World ex EMU|4.5% MSCI EMU Small Cap
70% BREC & 30% GPR250 Netherlands
70% MSCI World + 10% JP Morgan Gov.Bonds + 10% Iboxx EUR Corp TR + 10% Barclays Cap.US Credit TR
75% Barclays TR hedged EUR , 25% Barclays Unhedged EUR
75% JPM EMU + 20% JPM EMBI Global diversified + 5% EONIA
75% MSCI (AC) WORLD INDEX (NR), 25% BARCLAYS EURO AGGREGATE
80% iBoxx Euro Corporate ex-BBB / 20% iBoxx Euro Corporate BBB
90% JPM USD Government Bonds + 10% EMBI Global Diversified
ASX All Ordinaries
Barclays Aggregate index
Barclays EUR Aggregate Corp Ex-Financials
Barclays Euro-Agg. 25% / FTSE World 75%
Barclays Euro-Agg. 50% / FTSE World 50%
Barclays Euro-Agg. 75% / FTSE World 25%
Barclays Euro-Aggregate Index
Barclays World Government Inflation Linked Hedged EUR 1-5Y
BC Euro Aggregate 1-10Y
BEL 20
BG benchmark 3 years DS Govt Index
BLOOMBERG BARCLAYS EURO AGGREGATE (RI)
BLOOMBERG BARCLAYS EURO AGGREGATE 3-5 YEARS (RI)
BLOOMBERG BARCLAYS EURO AGGREGATE CORPORATE (RI)
Bloomberg Barclays Euro Aggregate Corporate (TR)
Bloomberg Barclays Euro Aggregate Corporate ex financials Index (TR)
BLOOMBERG BARCLAYS EURO AGGREGATE TREASURY 500MM (RI)
BLOOMBERG BARCLAYS EURO GOVERNMENT INFLATION LINKED (RI)
Bloomberg Barclays Euro High Yield 3% Capped ex Fin
BLOOMBERG BARCLAYS EURO-AGGREGATE CORPORATE
Bloomberg Barclays Global Developed Treasuries GDP Weighted Index
BLOOMBERG BARCLAYS MSCI EURO GREEN BOND (NR)
BLOOMBERG BARCLAYS US AGGREGATE CORPORATE
Bloomberg Universal Inflation Linked GDP Weighted IG
CAC Mid & Small NR
Citi WBIG ex-JPY ex-MBS Hedged EUR
Citigroup 1M Euro Deposit
Citigroup 3M USD Deposit
Citigroup WGBI in Euros
Credit Suisse High Yield
EONIA
Epra Global
Euribor
Euribor 12 month + 1%
Euribor 3 months
Euro STOXX
Euro STOXX 50
Eurobench Flanders-index (In. Flanders)
EuroStoxx 50
FTSE 4 Good Global Index
FTSE EPRA NAREIT Europe (25% UK Capped) 8/32 (NR) (Lux tax Rate)
FTSE EPRA/NAREIT Developed Europe Net Return
FTSE EPRA/NAREIT Euro Zone Capped dividendes nets réinvestis
FTSE EPRA/NAREIT Eurozone Capped Net Return
FTSE EPRA/NAREIT Eurozone Capped Net Return index
FTSE EPRA/NAREIT Global
GPR Europe UK 25% Capped Net Return
HFRX Global Hedge Fund EUR index
iBoxx Euro
iBoxx Euro +7
iBoxx Euro 1-3
iBoxx Euro Corporate
iBoxx euro corporate all maturities
iBoxx Euro Corporate All Maturities Total Return
iBoxx Euro Corporate Bond All Maturities index Total Return
iboxx Euro Corporates
iBoxx Euro overall
ICE BofA BB-B Euro Non-Financial High Yield Constrained Index (Total Return)
ICE BofA European Crncy Non-Fin High Yield BB-B Constrained (hedged in EUR) RI
ICE BOFA US GOVERNMENT & CORPORATE 1-5 YEARS (USD) RI
IHS Market iBoxx USD Corporates
Indicateur de performance: 35% Morgan-Stanley Capital International World Index + 65% JP Morgan Global Government Bond EMU Index.
Indicateur de performance: 50% 'Morgan Stanley Capital International World Index' + 50% ‘JP Morgan Global Government Bond EMU Index’
Indicateur de performance: 'Morgan Stanley Capital International World Index'
J.P. MORGAN EMERGING MARKET BOND (EMBI) GLOBAL DIVERSIFIED EUR (HEDGED)
JP Morgan EMBI composite-index (OFCL)
JP Morgan EMBI Global Diversified
JP Morgan EMU
JP Morgan EMU aggregate 3-5 year
JP Morgan EMU aggregate all maturities
JP Morgan EMU Bond index
JP Morgan EMU IG Government TR
JP Morgan EMU Investment Grade Government Bond Index
JP Morgan Euro cash 3 month
JP Morgan Euro Linkers Securities index (ELSI)
JP MORGAN GBI-EM GLB. DIV. COMPOSITE
JP Morgan Global
JP Morgan Global Government Broad Index
JP Morgan US Govt Bond Index
JPM EMU Government Bond Total Return
JPM EMU Government Investment Grade 1-10 years
JPM EMU Government Investment Grade Total Return
JPM Euro Linkers Securities Total Return
JPM GBI-EM Global Diversified (USD) RI
MCSI World Index
Merrill Lynch Global Investment Grade index
Merrill Lynch US Non-Financial High Yield BB-B Constrained (USD) RI
Morningstar Global Markets index in EUR
MSCI AC Asia ex Japan Daily Total Return Net Index
MSCI AC Asia ex Japan NR USD
MSCI AC Asia ex-Japan
MSCI AC Asia Free (ex-Japan)
MSCI AC Asia Pacific Net Return
MSCI AC Far East Free ex Japan Index
MSCI AC Pacific Free index
MSCI AC World
MSCI AC WORLD
MSCI AC World (Net)
MSCI AC WORLD (NR)
MSCI AC WORLD EUR CHAINLINK
Msci Ac World Euro
MSCI AC WORLD EURO
MSCI AC World Net Return
MSCI AC World NR
MSCI AC World NR EUR
MSCI ACWI
MSCI ACWI NR
MSCI ACWI SRI Net Return
MSCI Asia Ex Japan Index
MSCI China
MSCI China 10/40
MSCI Czech Republic
MSCI EM
MSCI EM (Emerging Markets) NR EUR
MSCI EM Gross index (TR)
MSCI Emerging Europe, Middle East, Africa
MSCI Emerging Markets
MSCI Emerging Markets free
MSCI Emerging Markets Free Index
MSCI Emerging Markets Index
MSCI Emerging Markets Latin America 10-40 Index
MSCI Emerging Markets Net Return
MSCI EMERGING MARKETS SELECTION INDEX in Euros
MSCI EMU
MSCI EMU (Net)
MSCI EMU (NR)
MSCI EMU Mid Net Return
MSCI EMU Net Return
MSCI EMU SRI Net Return
MSCI Europe
MSCI Europe (EUR)
MSCI Europe (Net)
MSCI Europe Energy, MSCI Europe Materials, MSCI Europe Industrials, MSCI Europe Auto Components & MSCI Europe Consumer Durables & Apparel
MSCI Europe ex-EMU
MSCI Europe Index
MSCI Europe ND index
MSCI Europe Net Return
MSCI Europe NR EUR
MSCI Europe Small & Mid Cap
MSCI Europe Small Cap Net Return
MSCI Europe Small Cap net return index
MSCI Europe Small Cap NR EUR
MSCI EUROPE SMALL CAPS (NR)
MSCI Europe Total Return Net
MSCI Europe Value Net Return
MSCI India
MSCI India Net Total Return
MSCI Japan (Net Return)
MSCI Japan Net Return
MSCI Japan NR JPY
MSCI Japan Selection Net Total Return
MSCI Japan Small Cap
MSCI North America Net-dividend Reinvested
MSCI Pacific Net-dividend Reinvested
MSCI The World Index Free
MSCI Total Return JAPAN
MSCI US Small + Mid Cap 2200 NR USD
MSCI USA
MSCI USA Net Return
MSCI USA Net Total Return
MSCI USA NR USD
MSCI USA Selection Net Total Return
MSCI USA SRI Net Return
MSCI World
MSCI World (net)
MSCI WORLD (NR)
MSCI World /InfoTec
MSCI World AC NR in EUR
MSCI World ex JEU Net Return
MSCI World Financials
MSCI World Food Beverage & Tobacco
MSCI World Health Care
MSCI World Health Care Equipment & Services
MSCI World Index
MSCI World Information Technology
MSCI World Information Technology 10/40 (Net)
MSCI World Materials (Net)
MSCI World Media
MSCI World Net Return
MSCI World Net Total Return
MSCI World NR
MSCI World NR USD
MSCI World USD
Nasdaq Biotechnology
Nikkei 300 index
No Benchmark
Pas
Pas d'application
Refinitiv Convertible Europe (EUR) RI
RUSSELL 2000 (USD) RI + CASH INDEX EUR INTERBANK RATE 1 MONTH (EUR) RI + -100% CASH INDEX USD INTERBANK RATE 1 MONTH (USD) RI
S&P 100 RI
S&P 500
S&P 500 Composite
S&P 600 Small Cap
S&P Pan Asia ex-Japan
Salomon European Property
STOXX® Europe ex UK Small NR
Thomson Reuters Convertible Global Focus (hedged in USD) RI
Tokyo Stock Price Index (TOPIX Index)
US Federal Funds Rate
Vlam-21-index
Méthode de tri
-- Aucune --
Couronnes
Rendements
Risque (SRI)
Periode
YTD
1 mois
3 mois
1 an
2 ans
3 ans
5 ans
10 ans
Participant à
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