Name
ISIN
  Type of yield
Currency
Investment company Repurchase p.
Date
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1Y)
Vola. (1Y)
 
BFT FRANCE EMPLOI ISR - I (C)
FR00140039H4
reinvestment
EUR
BFT Inv.Managers 113,608.2031
30/09/2024
+3.62% +6.70% +14.83% - 0.28
12.07%
BFT Partners - Via Equity Europe SR...
FR0013385531
reinvestment
EUR
BFT Inv.Managers 1,525.8199
30/09/2024
+0.98% +22.26% +14.55% +47.45% 1.75
10.92%
BFT France Emploi ISR - P
FR00140039G6
reinvestment
EUR
BFT Inv.Managers 110.3800
30/09/2024
+3.43% +5.92% +12.24% - 0.22
12.07%
BFT Partners - Via Equity Europe SR...
FR0013385556
reinvestment
EUR
BFT Inv.Managers 145.9601
30/09/2024
+0.74% +21.20% +11.75% +42.44% 1.65
10.92%
BFT CREDIT 6 MOIS ISR - I (C)
FR0010816439
reinvestment
EUR
BFT Inv.Managers 111,601.0469
30/09/2024
+1.13% +4.53% +6.61% - 4.75
0.26%
BFT AUREUS ISR - I2
FR0013067790
reinvestment
EUR
BFT Inv.Managers 10,491.2813
01/10/2024
+0.96% +4.08% +6.46% +5.52% 3.76
0.2%
BFT CREDIT 12 MOIS ISR - I (C)
FR0010796433
reinvestment
EUR
BFT Inv.Managers 282,503.8125
30/09/2024
+1.46% +5.01% +6.43% - 3.68
0.47%
BFT AUREUS ISR - I2 (C)
FR0010599399
reinvestment
EUR
BFT Inv.Managers 113.9227
01/10/2024
+0.95% +4.06% +6.37% +5.37% 3.67
0.2%
BFT AUREUS ISR - R (C)
FR0014000EH1
reinvestment
EUR
BFT Inv.Managers 105.9602
01/10/2024
+0.94% +4.04% +6.33% - 3.59
0.2%
BFT FRANCE MONETAIRE COURT TERME IS...
FR0013067808
reinvestment
EUR
BFT Inv.Managers 10,424.3604
30/09/2024
+0.93% +4.00% +6.28% +5.22% 3.50
0.2%
BFT FRANCE MONETAIRE COURT TERME IS...
FR0010232298
reinvestment
EUR
BFT Inv.Managers 14,088.5498
30/09/2024
+0.93% +3.98% +6.22% +5.16% 3.44
0.2%
BFT CREDIT 6 MOIS ISR - E (C)
FR0010796425
reinvestment
EUR
BFT Inv.Managers 10,950.5303
30/09/2024
+1.08% +4.35% +6.08% - 4.04
0.26%
BFT Selection Rendement 2026 - I2 (...
FR0014002XJ3
reinvestment
EUR
BFT Inv.Managers 1,070.2880
30/09/2024
+2.08% +5.80% +5.95% - 2.57
0.97%
BFT Selection Rendement 2027 Reduct...
FR0014000EJ7
reinvestment
EUR
BFT Inv.Managers 1,076.9636
30/09/2024
+2.49% +10.25% +5.77% - 3.55
1.96%
BFT CREDIT 12 MOIS ISR - P
FR0012709004
reinvestment
EUR
BFT Inv.Managers 104.2200
30/09/2024
+1.36% +4.75% +5.74% +5.22% 3.15
0.46%
BFT AUREUS ISR - P (C)
FR0012903250
reinvestment
EUR
BFT Inv.Managers 105.2330
01/10/2024
+0.91% +3.92% +5.72% - 3.08
0.2%
BFT Selection Rendement 2026 - I (C...
FR0013222379
reinvestment
EUR
BFT Inv.Managers 1,152.2552
30/09/2024
+2.01% +5.52% +5.15% +6.72% 2.30
0.97%
BFT Selection Rendement 2026 - I
FR0013222387
paying dividend
EUR
BFT Inv.Managers 951.6284
30/09/2024
+2.01% +5.52% +5.15% +6.72% 2.30
0.97%
BFT CAPITAL PEA - I
FR0014003JW3
reinvestment
EUR
BFT Inv.Managers 10,445.3799
27/09/2024
+1.82% +4.81% +4.44% - 1.46
1.02%
BFT LCR SOCIAL GREEN (C)
FR0010544775
reinvestment
EUR
BFT Inv.Managers 11,392.4102
30/09/2024
+1.15% +3.47% +4.37% - 0.18
0.88%