Notre gamme de fonds

Valeurs liquidatives et performances au 18/01/2022

Fonds obligataire

 ISIN VLYTD20212020201920182017
Rentoblig CFR0010698472 169,46€   -0,30% +3.06%+0.62%+5.06%-5,13%+3,90%

Fonds patrimonial

 ISIN VLYTD20212020201920182017
Alterna PlusFR0010466128 17,11€ -0,29% +4,38%+0,98%+5,99%-5,59%+5,58%

Fonds actions

 ISIN VLYTD20212020201920182017
TrendSelection PEA EvolutifFR0010602623 139,14€ -0,86% +15,78%+0,21%+7,28%-9,23%+7,41%
TrendSelection InternationalFR0013210549 157,43€ -8,01% +28,33%+7,70%+27,73%-10,39%+5,82%
GTA FranceFR0010602615 174,83€ -5,84% +32,90%+0,63%+23,67%-13,27%+13,54%

Fonds performance absolue

 ISIN VLYTD20212020201920182017
SCR Optimum IFR0012453348 98 870,73€ +0,60% +4,26%-2,79%-3,42%-5,07%+6,33%

La performance passée ne présage pas des performances futures