Name
ISIN
  Type of yield
Currency
Investment company Repurchase p.
Date
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1Y)
Vola. (1Y)
 
ETOILE MULTI GESTION FRANCE
FR0011482074
reinvestment
EUR
Societe Generale Ges 179.5600
2024-07-18
-1.57% +3.65% +16.05% - 0.00
11.72%
ETOILE MULTI GESTION FRANCE - R
FR0013372802
reinvestment
EUR
Societe Generale Ges 290.0200
2024-07-18
-1.31% +4.76% +19.81% +34.92% 0.09
11.72%
SG ACTIONS EURO PME (C)
FR0011674738
reinvestment
EUR
Societe Generale Ges 225.7100
2024-07-18
+5.36% +5.38% -9.29% - 0.15
11.27%
SG ACTIONS EURO RENDEMENT ISR - R (...
FR0013382512
reinvestment
EUR
Societe Generale Ges 152.9600
2024-07-18
+1.93% +14.68% +29.37% +40.30% 1.11
9.96%
SG ACTIONS EURO RENDEMENT ISR - R (...
FR0013382520
paying dividend
EUR
Societe Generale Ges 126.4600
2024-07-18
+1.93% +14.67% +17.86% +20.48% 1.10
9.96%
SG ACTIONS EURO RENDEMENT ISR (C)
FR0011082023
reinvestment
EUR
Societe Generale Ges 34.9000
2024-07-18
+1.54% +12.95% +23.63% - 0.93
9.93%
SG ACTIONS EURO RENDEMENT ISR (D)
FR0010501676
paying dividend
EUR
Societe Generale Ges 14.6600
2024-07-18
+1.52% +12.92% +16.64% - 0.93
9.92%
SG AMUNDI ACTIONS EUROPE ENVIRONNEM...
FR0000444275
reinvestment
EUR
Societe Generale Ges 1,186.7500
2024-07-18
+2.95% +7.32% -10.13% - 0.31
11.67%
SG AMUNDI MONETAIRE ISR - E
FR0010423228
reinvestment
EUR
Societe Generale Ges 18,767.6992
2024-07-18
+0.93% +3.85% +4.82% - 0.91
0.19%
SG AMUNDI MONETAIRE ISR - I
FR0010816421
paying dividend
EUR
Societe Generale Ges 10,609.3555
2024-07-18
+0.97% +4.01% +5.16% +4.05% 1.66
0.2%
SG AMUNDI MONETAIRE ISR - P
FR0011360684
reinvestment
EUR
Societe Generale Ges 102.0406
2024-07-18
+0.90% +3.75% +4.50% - 0.36
0.19%
SG MONETAIRE PLUS - E
FR0011047513
reinvestment
EUR
Societe Generale Ges 104.8505
2024-07-19
+0.95% +3.90% +5.00% - 1.55
0.15%
SG MONETAIRE PLUS - P
FR0011362094
reinvestment
EUR
Societe Generale Ges 102.3914
2024-07-19
+0.92% +3.80% +4.70% - 0.89
0.14%
SG PATRIMOINE
FR0011584416
reinvestment
EUR
Societe Generale Ges 117.2200
2024-07-18
+4.63% +9.59% -1.37% - 1.03
5.72%
SG TRESORERIE 6 MOIS - E
FR0010895052
reinvestment
EUR
Societe Generale Ges 16,143.7725
2024-07-18
+1.02% +4.23% +5.40% - 2.42
0.22%
SG TRESORERIE 6 MOIS - I
FR0010914598
reinvestment
EUR
Societe Generale Ges 219,920.0625
2024-07-18
+1.07% +4.42% +5.93% - 3.29
0.23%
SG TRESORERIE 6 MOIS - P
FR0011192285
reinvestment
EUR
Societe Generale Ges 101.9400
2024-07-18
+0.96% +3.99% +4.62% - 1.37
0.23%