Name
ISIN
  Type of yield
Currency
Investment company Repurchase p.
Date
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1Y)
Vola. (1Y)
 
SYCOYIELD 2030 RC
FR001400MCQ6
reinvestment
EUR
Sycomore AM 102.5600
2024-07-19
+2.11% - - - -
-
SYCOYIELD 2030 ID
FR001400MCR4
paying dividend
EUR
Sycomore AM 102.8200
2024-07-19
+2.24% - - - -
-
SYCOYIELD 2030 IC
FR001400MCP8
reinvestment
EUR
Sycomore AM 102.8200
2024-07-19
+2.24% - - - -
-
SYCOVEST 1 I
FR0000009995
reinvestment
EUR
Sycomore AM 4,735.0298
2024-07-19
-2.06% -1.03% -5.07% - -0.50
9.46%
SYCOMORE SOCIAL IMPACT R
FR0010117093
reinvestment
EUR
Sycomore AM 403.7300
2024-07-19
+4.98% +10.78% -9.09% +8.40% 0.69
10.26%
SYCOMORE SOCIAL IMPACT ID
FR0012758704
paying dividend
EUR
Sycomore AM 455.0300
2024-07-19
+5.24% +11.04% -7.56% - 0.71
10.38%
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 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 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 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 ID
FR0012719524
reinvestment
EUR
Sycomore AM 503.8300
2024-07-19
+1.12% +15.10% +12.20% +40.53% 1.10
10.36%
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 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 PME R
FR0011707488
reinvestment
EUR
Sycomore AM 5,581.0601
2024-07-19
+0.22% -1.53% -13.43% - -0.44
11.86%
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 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 CREDIT X
FR0011288539
reinvestment
EUR
Sycomore AM 139.1600
2024-07-19
+1.71% - - - -
-
SYCOMORE SELECTION CREDIT R
FR0011288513
reinvestment
EUR
Sycomore AM 127.2700
2024-07-19
+1.56% +7.15% -0.69% +1.10% 1.57
2.21%
SYCOMORE SELECTION CREDIT ID
FR0011288505
paying dividend
EUR
Sycomore AM 100.4700
2024-07-19
+1.69% +7.72% +1.01% +4.03% 1.83
2.2%