IT EN
Non connesso Log in

Ricerca simboli

SICAV PRO K-Z / ROTHSCHILD
BnB ID Simbolo / Ticker ISIN Nome Prima data Ultima data
FR0010619908 FR0010619908 FR0010619908 ACAreas Prudence 08/07/2011 08/10/2025
FR0010697482 FR0010697482 FR0010697482 ACElan 2013 Acc 22/09/2025 13/10/2025
FR0010702902 FR0010702902 FR0010702902 ACElan 2013 Inc 22/09/2025 13/10/2025
FR0010541557 FR0010541557 FR0010541557 ACElan Club C 22/09/2025 13/10/2025
FR0010523191 FR0010523191 FR0010523191 ACElan Club D 22/09/2025 13/10/2025
FR0010537423 FR0010537423 FR0010537423 ACElan Club F 22/09/2025 13/10/2025
FR0007009139 FR0007009139 FR0007009139 ACElan Convertibles Europe 22/09/2025 13/10/2025
FR0007442496 FR0007442496 FR0007442496 ACElan Court Terme C 23/09/2025 14/10/2025
FR0010413997 FR0010413997 FR0010413997 ACElan Court Terme D 23/09/2025 14/10/2025
FR0010784330 FR0010784330 FR0010784330 ACElan Euro Dynamique A/I 19/09/2025 13/10/2025
FR0010187898 FR0010187898 FR0010187898 ACElan Euro Valeurs C A/I 22/09/2025 13/10/2025
FR0010807099 FR0010807099 FR0010807099 ACElan Euro Valeurs F A/I 22/09/2025 13/10/2025
FR0010839555 FR0010839555 FR0010839555 ACElan Euro Valeurs I A/I 22/09/2025 13/10/2025
FR0000400434 FR0000400434 FR0000400434 ACElan France Indice Bear 22/09/2025 13/10/2025
FR0010100495 FR0010100495 FR0010100495 ACElan Gestion Alternative C 12/09/2025 10/10/2025
FR0007387071 FR0007387071 FR0007387071 ACElan Midcap France 22/09/2025 13/10/2025
FR0007027404 FR0007027404 FR0007027404 ACElan Multi Obligations Réactif 19/09/2025 13/10/2025
FR0007025523 FR0007025523 FR0007025523 ACElan Multi Sélection Dynamique 19/09/2025 13/10/2025
FR0010323303 FR0010323303 FR0010323303 ACElan Multi Sélection Emergents 19/09/2025 13/10/2025
FR0000981458 FR0000981458 FR0000981458 ACElan Multi Sélection Equilibre 19/09/2025 13/10/2025
FR0007028907 FR0007028907 FR0007028907 ACElan Multi Sélection Prudence 19/09/2025 13/10/2025
FR0007075155 FR0007075155 FR0007075155 ACElan Multi Sélection Spécial 19/09/2025 13/10/2025
FR0000295610 FR0000295610 FR0000295610 ACElan R 19/09/2025 10/10/2025
FR0010784835 FR0010784835 FR0010784835 ACElan Sélection Europe A/I 22/09/2025 13/10/2025
FR0010784348 FR0010784348 FR0010784348 ACElan Sélection France Acc 22/09/2025 13/10/2025
FR0010233437 FR0010233437 FR0010233437 ACElan Sélection USA 19/09/2025 13/10/2025
FR0007053111 FR0007053111 FR0007053111 ACElite N 19/09/2025 13/10/2025
FR0010701433 FR0010701433 FR0010701433 ACEnjeux Nouveaux Mondes 19/09/2025 13/10/2025
FR0010611301 FR0010611301 FR0010611301 ACG Patrimoine 19/09/2025 13/10/2025
FR0010588335 FR0010588335 FR0010588335 ACKalyxia 19/09/2025 10/10/2025
FR0010332783 FR0010332783 FR0010332783 ACMassélia Investissements A/I 12/09/2025 10/10/2025
FR0010035592 FR0010035592 FR0010035592 ACMulti Sélection Biens Réels C 19/09/2025 13/10/2025
FR0007008750 FR0007008750 FR0007008750 ACR Euro Crédit C 22/09/2025 13/10/2025
FR0010134437 FR0010134437 FR0010134437 ACR Euro Crédit D 22/09/2025 13/10/2025
FR0010807107 FR0010807107 FR0010807107 ACR Euro Crédit F 22/09/2025 13/10/2025
FR0010807123 FR0010807123 FR0010807123 ACR Euro Crédit I 22/09/2025 13/10/2025
FR0011418359 FR0011418359 FR0011418359 ACR Euro Crédit K 19/09/2025 13/10/2025
FR0011839901 FR0011839901 FR0011839901 ACR Euro Crédit P EUR 22/09/2025 13/10/2025
FR0013111804 FR0013111804 FR0013111804 ACR Euro Crédit R EUR 22/09/2025 13/10/2025
FR0007001581 FR0007001581 FR0007001581 ACR Mines dOr 22/09/2025 13/10/2025
FR0010513523 FR0010513523 FR0010513523 ACR Sérénité PEA Acc 19/09/2025 13/10/2025
FR0011253624 FR0011253624 FR0011253624 ACR Valor C EUR 22/09/2025 13/10/2025
FR0011261197 FR0011261197 FR0011261197 ACR Valor F EUR 22/09/2025 13/10/2025
FR0011847409 FR0011847409 FR0011847409 ACR Valor P EUR 22/09/2025 13/10/2025
FR0014006PM4 FR0014006PM4 FR0014006PM4 ACR-co Conviction Credit SD Euro C EUR 22/09/2025 13/10/2025
FR0014006PL6 FR0014006PL6 FR0014006PL6 ACR-co Conviction Credit SD Euro D EUR 22/09/2025 13/10/2025
FR0011208073 FR0011208073 FR0011208073 ACR-co Conviction Credit SD Euro I EUR 22/09/2025 13/10/2025
FR0013367265 FR0013367265 FR0013367265 ACR-co Valor Balanced C EUR 19/09/2025 13/10/2025
FR0013367281 FR0013367281 FR0013367281 ACR-co Valor Balanced F EUR 19/09/2025 13/10/2025
FR0013367299 FR0013367299 FR0013367299 ACR-co Valor Balanced P EUR 19/09/2025 13/10/2025
FR0013367356 FR0013367356 FR0013367356 ACR-co Valor Balanced R EUR 19/09/2025 13/10/2025
FR0010479865 FR0010479865 FR0010479865 ACSolar Akicita A/I 19/09/2025 10/10/2025