Name
ISIN
  Type of yield
Currency
Investment company Repurchase p.
Date
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1Y)
Vola. (1Y)
 
SYCOMORE SELECTION RESPONSABLE I
FR0010971705
reinvestment
EUR
Sycomore AM 560.2500
2024-07-19
+2.72% +18.57% +16.85% +49.38% 1.46
10.21%
SYCOMORE EUROPE ECO SOLUTIONS I EUR
LU1183791281
reinvestment
EUR
Sycomore AM 168.0690
2024-07-19
+6.09% +0.66% -5.26% +47.27% -0.21
14.27%
SYCOMORE SELECTION RESPONSABLE A
FR0013076452
reinvestment
EUR
Sycomore AM 175.6900
2024-07-19
+2.56% +17.93% +15.04% +45.58% 1.40
10.21%
SYCOMORE SELECTION RESPONSABLE R
FR0011169341
reinvestment
EUR
Sycomore AM 494.2200
2024-07-19
+2.37% +17.27% +13.25% +42.01% 1.33
10.21%
SYCOMORE SELECTION RESPONSABLE RP
FR0010971721
reinvestment
EUR
Sycomore AM 488.2300
2024-07-19
+2.26% +17.00% +12.99% +41.73% 1.31
10.19%
SYCOMORE EUROPE HAPPY@WORK I
LU1301026206
reinvestment
EUR
Sycomore AM 181.0890
2024-07-19
+4.11% +15.60% +11.17% +41.51% 1.11
10.72%
SYCOMORE EUROPE ECO SOLUTIONS R EUR
LU1183791794
reinvestment
EUR
Sycomore AM 155.3450
2024-07-19
+5.81% -0.38% -8.12% +40.93% -0.28
14.32%
SYCOMORE SELECTION RESPONSABLE ID
FR0012719524
reinvestment
EUR
Sycomore AM 503.8300
2024-07-19
+1.12% +15.10% +12.20% +40.53% 1.10
10.36%
SYCOMORE EUROPE HAPPY@WORK R
LU1301026388
reinvestment
EUR
Sycomore AM 168.4220
2024-07-19
+3.84% +14.41% +7.80% +35.21% 1.00
10.72%
SYCOMORE SELECTION MIDCAP I
FR0013303534
reinvestment
EUR
Sycomore AM 103.7900
2024-07-19
+2.04% +5.89% -2.49% +26.31% 0.17
12.96%
SYCOMORE SELECTION MIDCAP A
FR0010376343
reinvestment
EUR
Sycomore AM 843.9800
2024-07-19
+1.91% +5.34% -3.82% +23.35% 0.13
12.94%
SYCOMORE SELECTION MIDCAP R
FR0010376368
reinvestment
EUR
Sycomore AM 771.3000
2024-07-19
+1.79% +4.81% -5.25% +20.41% 0.09
12.96%
SYCOMORE SOCIAL IMPACT I
FR0010117085
reinvestment
EUR
Sycomore AM 485.3700
2024-07-19
+5.24% +11.90% -6.31% +13.73% 0.80
10.26%
SYCOMORE PARTNERS I
FR0010601898
reinvestment
EUR
Sycomore AM 1,848.2700
2024-07-19
+2.09% +3.61% +5.51% +12.37% -0.01
7.49%
SYCOMORE PARTNERS IB
FR0012365013
reinvestment
EUR
Sycomore AM 1,812.0800
2024-07-19
+2.01% +3.31% +4.93% +11.13% -0.05
7.49%
SYCOMORE NEXT GENERATION CSC EUR
LU1961857809
reinvestment
EUR
Sycomore AM 110.6660
2024-07-19
+1.05% +6.81% +3.10% +10.47% 1.19
2.62%
SYCOMORE SOCIAL IMPACT A
FR0007073119
reinvestment
EUR
Sycomore AM 442.6000
2024-07-19
+5.11% +11.34% -7.71% +10.40% 0.75
10.26%
SYCOMORE NEXT GENERATION IC EUR
LU1961857478
reinvestment
EUR
Sycomore AM 110.3350
2024-07-19
+1.06% +6.85% +3.18% +10.14% 1.21
2.62%
SYCOMORE ALLOCATION PATRIMOINE I
FR0010474015
reinvestment
EUR
Sycomore AM 164.2100
2024-07-19
+1.05% +6.85% +3.69% +9.42% 1.19
2.65%
SYCOMORE NEXT GENERATION ID EUR
LU1973748020
paying dividend
EUR
Sycomore AM 108.9160
2024-07-19
+1.06% +5.22% +1.60% +8.72% 0.50
3.05%