Name
ISIN
  Type of yield
Currency
Investment company Repurchase p.
Date
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1Y)
Vola. (1Y)
 
BFT Partners-Via Eq.E.SRI I EUR
FR0013385531
reinvestment
EUR
BFT Inv.Managers 1,523.0000
16/05/2024
+8.94% +20.59% +16.90% +52.33% 1.64
10.25%
BFT France Equilibre ISR P EUR
FR0011043009
reinvestment
EUR
BFT Inv.Managers 118.0300
16/05/2024
+2.82% +3.48% +1.83% +15.68% -0.05
7.37%
BFT Selection Rendement 2026 I EUR
FR0013222379
reinvestment
EUR
BFT Inv.Managers 1,121.1794
16/05/2024
+1.59% +4.65% +3.08% +5.90% 0.94
0.9%
BFT Selection Rendement 2026 I EUR
FR0013222387
paying dividend
EUR
BFT Inv.Managers 925.9635
16/05/2024
+1.59% +4.65% +3.08% +5.90% 0.94
0.9%
BFT Selection Rendement 2026 P EUR
FR0013222403
reinvestment
EUR
BFT Inv.Managers 107.2189
16/05/2024
+1.52% +4.34% +2.16% +4.33% 0.59
0.9%
BFT Selection Rendement 2026 P EUR
FR0013222429
paying dividend
EUR
BFT Inv.Managers 91.7682
16/05/2024
+1.52% +4.34% +2.16% +4.33% 0.59
0.9%
BFT AUREUS ISR - I2
FR0013067790
reinvestment
EUR
BFT Inv.Managers 10,340.2520
16/05/2024
+0.98% +4.01% +4.72% +3.91% 0.92
0.2%
BFT AUREUS ISR - I
FR0010599399
reinvestment
EUR
BFT Inv.Managers 112.2911
16/05/2024
+0.97% +3.99% +4.62% +3.75% 0.83
0.2%
BFT Monetaire Court Terme I2 C
FR0013067808
reinvestment
EUR
BFT Inv.Managers 10,277.3096
16/05/2024
+0.96% +3.95% +4.55% +3.61% 0.65
0.2%
BFT Monetaire Court Terme I
FR0010232298
reinvestment
EUR
BFT Inv.Managers 13,890.7500
16/05/2024
+0.96% +3.93% +4.50% +3.56% 0.56
0.2%
BFT Credit 12 Mois ISR P EUR
FR0012709004
reinvestment
EUR
BFT Inv.Managers 102.4200
16/05/2024
+1.14% +4.49% +3.81% +3.42% 1.52
0.44%
BFT Capital PEA P EUR
FR0013391901
reinvestment
EUR
BFT Inv.Managers 100.8900
15/05/2024
+0.66% +3.19% +1.64% +0.91% -0.55
1.15%
BFT Capital PEA I EUR
FR0014003JW3
reinvestment
EUR
BFT Inv.Managers 10,225.0596
15/05/2024
+0.68% +3.30% - - -0.45
1.15%
BFT Sel.Rend.2027 Red.Car.P EUR
FR0014000EC2
paying dividend
EUR
BFT Inv.Managers 108.2874
16/05/2024
+1.89% +10.09% - - 2.96
2.12%
BFT Sel.Rend.2027 Red.Car.I EUR
FR0014000EJ7
reinvestment
EUR
BFT Inv.Managers 1,044.0129
16/05/2024
+1.95% +10.37% +4.43% - 3.09
2.13%
BFT Sel.Rend.2027 Red.Car.I EUR
FR0014000EK5
paying dividend
EUR
BFT Inv.Managers 982.6139
16/05/2024
+1.95% +10.37% - - 3.09
2.13%
BFT Selection Rendement 2026 I2 EUR
FR0014002XJ3
reinvestment
EUR
BFT Inv.Managers 1,040.3485
16/05/2024
+1.66% +4.92% +3.83% - 1.23
0.9%
BFT Rendement 2027 I EUR
FR001400D3Y4
reinvestment
EUR
BFT Inv.Managers 1,104.9672
16/05/2024
+1.49% +9.11% - - 2.63
2.02%
BFT Rendement 2027 P EUR
FR001400D3V0
paying dividend
EUR
BFT Inv.Managers 104.6957
16/05/2024
+1.43% +8.88% - - 2.51
2.02%
BFT Rendement 2027 P EUR
FR001400D3W8
reinvestment
EUR
BFT Inv.Managers 110.1954
16/05/2024
+1.43% +8.83% - - 2.49
2.02%