VALEURS FONDS COMMUNS

FONDS DE DROITS MONÉGASQUES

Funds

Documents

NAV

Date

MONACO ECO+ (R €)

Graph

2613.71 EUR

24/09/2025

MONACO ECO+ (R $)

Graph

950.02 USD

24/09/2025

MONACO ECO+ (Instit. €)

Graph

138060.31 EUR

24/09/2025

MONACO ECO+ (ID)

Graph

131703.69 EUR

24/09/2025

MONACO SMART BETA USD - R

Graph

1061.85 USD

24/09/2025

MONACO SMART BETA USD - I

Graph

105746.69 USD

24/09/2025

MONACO SMART BETA USD - R EUR

Graph

1026.56 EUR

24/09/2025

MONACO SMART BETA EUROPE - R

Graph

1015.65 EUR

24/09/2025

MONACO SMART BETA EUROPE - I

Graph

98726.07 EUR

24/09/2025

MONACTION EMERGING MARKETS

Graph

2488.92 USD

24/09/2025

MONACO CORPORATE BOND USD

Graph

7334.29 USD

24/09/2025

MONACO CORPORATE BOND USD - RD USD

Graph

1072.93 USD

24/09/2025

MONACO CORPORATE BOND USD - RH EUR

Graph

5498.07 EUR

24/09/2025

MONACO CORPORATE BOND USD - I

Graph

105503.62 USD

24/09/2025

MONACO CORPORATE BOND EURO

Graph

1561.66 EUR

24/09/2025

MONACO CORPORATE BOND EURO - RD

Graph

1044.29 EUR

24/09/2025

MONACO CORPORATE BOND EURO - I

Graph

105387.07 EUR

24/09/2025

MONACO CORPORATE BOND EURO - ID

Graph

105348.99 EUR

24/09/2025

MONACO GREEN BOND EUR

Graph

1130.28 EUR

24/09/2025

MONACO GREEN BOND EUR RD

Graph

1090.02 EUR

24/09/2025

MONACO GREEN BOND EUR I

Graph

114477.18 EUR

24/09/2025

MONACO GREEN BOND EUR ID

Graph

109077.37 EUR

24/09/2025

MONACO HORIZON NOVEMBRE 2026 (R)

Graph

967.17 EUR

24/09/2025

MONACO HORIZON NOVEMBRE 2026 (Instit.)

Graph

98001.35 EUR

24/09/2025

MONACO SHORT TERM EUR (R)

Graph

5813.52 EUR

24/09/2025

MONACO SHORT TERM EUR RD

Graph

1014.83 EUR

24/09/2025

MONACO SHORT TERM EUR (Instit.)

Graph

114821.44 EUR

24/09/2025

MONACO SHORT TERM USD (R)

Graph

7462.83 USD

24/09/2025

MONACO SHORT TERM USD - RD

Graph

5109.58 USD

24/09/2025

MONACO SHORT TERM USD - RH GBP

Graph

5212.56 GBP

24/09/2025

MONACO SHORT TERM USD (Instit.)

Graph

120722.45 USD

24/09/2025

MONACO SHORT TERM USD Z (SUP INSTIT)

Graph

100040.61 USD

12/09/2025

FONDS DE DROITS LUXEMBOURGEOIS

Funds

Documents

NAV

Date

MEDIOBANCA SICAV SHORT TERM CREDIT EUR (R)

Graph

5603.87 EUR

25/09/2025

MEDIOBANCA SICAV SHORT TERM CREDIT EUR (Instit.)

Graph

111588.96 EUR

25/09/2025

MEDIOBANCA SICAV SHORT TERM CREDIT USD

Graph

5976.29 USD

25/09/2025

MEDIOBANCA SICAV CREDIT EUR

Graph

1066.66 EUR

25/09/2025

MEDIOBANCA SICAV EMERGING DEBT (EUR)

Graph

699.33 EUR

25/09/2025

MEDIOBANCA SICAV EMERGING DEBT (USD)

Graph

877.18 USD

25/09/2025

Les performances passées ne préjugent pas des performances futures, ne sont pas constantes dans le temps et ne constituent en aucun cas une garantie future de performance ou de capital.