Société de gestion d’actifs financiers

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Nos fonds : Institutionnels

FONDS ACTIONS
FONDS ACTIONS ISIN VL DATE DE DERNIERE VL PERFORMANCE YTD PERFORMANCE 1 AN PERFORMANCE 3 ANS PERFORMANCE 5 ANS NIVEAU RISQUE LABEL
EGAMO ACTION EURO PART S FR0013498474 140,65 06/05/2024 9,05% 15,23% 23,82% N/A SRRI 6
EGAMO ACTION EURO PART I FR0013498458 7 007,62 06/05/2024 9,00% 15,16% 23,42% N/A SRRI 6
EGAMO ACTION MIEUX VIVRE PART S FR0014008UQ1 109,00 06/05/2024 6,51% 9,00% N/A N/A SRI 5
EGAMO ACTION MIEUX VIVRE PART I FR0014008US7 6 458,06 06/05/2024 6,69% 11,29% N/A N/A SRRI 6
EGAMO MULTI ACTION MONDE PART S FR0013422805 148,97 03/05/2024 7,56% 21,29% 21,74% N/A SRI 4
EGAMO MULTI ACTION MONDE PART I FR0013422789 7 671,09 03/05/2024 7,79% 22,06% 24,10% N/A SRRI 6
EGAMO MULTI ACTION EURO PART S FR0013421567 138,24 03/05/2024 6,49% 11,88% 15,25% 35,48% SRI 4
EGAMO MULTI ACTION EURO PART I FR0010789156 277,91 03/05/2024 6,72% 12,58% 17,44% 39,46% SRRI 6
EGAMO ACTION FRANCE PART S FR0013422771 140,06 06/05/2024 7,50% 9,95% 25,57% N/A SRI 4 ISR
EGAMO ACTION FRANCE PART I FR0013422755 7 162,99 06/05/2024 7,69% 10,49% 27,46% N/A SRRI 6 ISR
FONDS OBLIGATIONS
FONDS OBLIGATIONS ISIN VL DATE DE DERNIERE VL PERFORMANCE YTD PERFORMANCE 1 AN PERFORMANCE 3 ANS PERFORMANCE 5 ANS NIVEAU RISQUE LABEL
EGAMO OBLIGATION EURO PART S FR0013422821 93,82 06/05/2024 0,01% 4,74% -6,04% N/A SRI 2 Greenfin
EGAMO OBLIGATION EURO PART I FR0013422839 4 707,80 06/05/2024 0,04% 4,85% -5,75% N/A SRRI 3 Greenfin
EGAMO OBLIGATION COURT TERME PART S FR0013421963 102,20 06/05/2024 0,99% 4,17% 0,80% 2,22% SRI 2
EGAMO OBLIGATION COURT TERME PART I FR0011461219 10 631,80 06/05/2024 1,02% 4,27% 1,08% 2,43% SRRI 2
EGAMO MARCHE MONETAIRE ACTION S FR0013421716 104,92 09/05/2024 1,45% 4,08% 5,09% N/A SRI 1
EGAMO MARCHE MONETAIRE ACTION I FR0010666578 1 095,22 09/05/2024 1,44% 4,03% 4,94% N/A SRRI 1
FONDS DIVERSIFIÉS
FONDS DIVERSIFIÉS ISIN VL DATE DE DERNIERE VL PERFORMANCE YTD PERFORMANCE 1 AN PERFORMANCE 3 ANS PERFORMANCE 5 ANS NIVEAU RISQUE LABEL
EGAMO CONVERTIBLES EURO PART S FR0013421708 100,93 06/05/2024 3,71% 6,22% -3,92% 0,10% SRI 3
EGAMO CONVERTIBLES EURO PART I FR0013253408 4 816,80 06/05/2024 3,82% 6,53% -3,09% 1,10% SRRI 4
EGAMO ALLOCATION FLEXIBLE PART S FR0013421955 109,28 06/05/2024 2,90% 7,90% 2,42% 9,50% SRI 3 ISR
EGAMO ALLOCATION FLEXIBLE PART I FR0010941302 15 050,80 06/05/2024 3,17% 8,67% 4,65% 13,20% SRRI 4 ISR