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Al 05/05/2021 NAV (€) Masse (M€) Performance (%) Livello di rischio Rapporto mensile KIID Investimento Responsabile
G-1 2021 1 anno 3 anni Lancio
  Azioni
/ Small & Mid Cap
Echiquier Entrepreneurs A
NAV Al 05/05/2021 302,21€
Performance 2021 +6,9%
Echiquier Entrepreneurs A

FR0011558246

302,21 707,3 +0,8 +6,9 +43,0 +43,0 +202,2 5/7 Download Download ESG
Echiquier Entrepreneurs G
NAV Al 05/05/2021 2 423,61€
Performance 2021 +7,3%
Echiquier Entrepreneurs G

FR0013111382

2 423,61 707,3 +0,8 +7,3 +44,5 +47,6 +142,4 5/7 Download Download ESG
Echiquier Agenor SRI Mid Cap Europe A
NAV Al 05/05/2021 489,20€
Performance 2021 +4,2%
Echiquier Agenor SRI Mid Cap Europe A

FR0010321810

489,20 2 489,0 +1,0 +4,2 +27,8 +39,6 +389,2 5/7 Download Download Label ISRLabel Febelfin
Echiquier Agenor SRI Mid Cap Europe G
NAV Al 05/05/2021 537,50€
Performance 2021 +4,6%
Echiquier Agenor SRI Mid Cap Europe G

FR0010581710

537,50 2 489,0 +1,0 +4,6 +29,2 +44,5 +219,6 5/7 Download Download Label ISRLabel Febelfin
Echiquier Agenor SRI Mid Cap Europe I
NAV Al 05/05/2021 3 459,76€
Performance 2021 +4,8%
Echiquier Agenor SRI Mid Cap Europe I

FR0011188259

3 459,76 2 489,0 +1,0 +4,8 +30,0 +47,3 +246,0 5/7 Download Download Label ISRLabel Febelfin
Echiquier Agenor SRI Mid Cap Europe Fund B
NAV Al 05/05/2021 224,75€
Performance 2021 +4,1%
Echiquier Agenor SRI Mid Cap Europe Fund B

LU0969069516

224,75 152,3 +1,0 +4,1 +28,4 +39,5 +124,8 5/7 Download Download ISR
Echiquier Agenor SRI Mid Cap Europe Fund K
NAV Al 05/05/2021 2 306,85€
Performance 2021 +4,4%
Echiquier Agenor SRI Mid Cap Europe Fund K

LU0969069359

2 306,85 152,3 +1,0 +4,4 +29,3 +43,1 +130,7 5/7 Download Download ISR
/ Large Cap
Echiquier Major SRI Growth Europe A
NAV Al 05/05/2021 332,73€
Performance 2021 +6,7%
Echiquier Major SRI Growth Europe A

FR0010321828

332,73 850,7 +1,5 +6,7 +24,5 +40,8 +232,7 6/7 Download Download Label ISRLabel FebelfinLabel FNG
Echiquier Major SRI Growth Europe G
NAV Al 05/05/2021 342,42€
Performance 2021 +7,1%
Echiquier Major SRI Growth Europe G

FR0010581728

342,42 850,7 +1,5 +7,1 +25,9 +45,6 +179,8 6/7 Download Download Label ISRLabel FebelfinLabel FNG
Echiquier Major SRI Growth Europe I
NAV Al 05/05/2021 2 646,87€
Performance 2021 +7,3%
Echiquier Major SRI Growth Europe I

FR0011188275

2 646,87 850,7 +1,5 +7,3 +26,6 +48,3 +164,7 6/7 Download Download Label ISRLabel FebelfinLabel FNG
Echiquier World Equity Growth A
NAV Al 05/05/2021 340,22€
Performance 2021 +2,1%
Echiquier World Equity Growth A

FR0010859769

340,22 951,4 -0,3 +2,1 +28,0 +42,0 +240,2 6/7 Download Download ESG
Echiquier World Equity Growth G
NAV Al 05/05/2021 381,41€
Performance 2021 +2,5%
Echiquier World Equity Growth G

FR0010868174

381,41 951,4 -0,3 +2,5 +31,5 +50,0 +281,4 6/7 Download Download ESG
Echiquier World Equity Growth I
NAV Al 05/05/2021 3 570,71€
Performance 2021 +2,8%
Echiquier World Equity Growth I

FR0011188267

3 570,71 951,4 -0,3 +2,8 +32,2 +53,4 +257,1 6/7 Download Download ESG
/ All Cap
Echiquier Agressor A
NAV Al 05/05/2021 1 677,11€
Performance 2021 +8,9%
Echiquier Agressor A

FR0010321802

1 677,11 532,2 +1,5 +8,9 +37,7 -16,9 +1 660,2 6/7 Download Download ESG
Echiquier Agressor G
NAV Al 05/05/2021 1 663,92€
Performance 2021 +8,9%
Echiquier Agressor G

FR0010581702

1 663,92 532,2 +1,5 +8,9 +39,1 -14,3 +49,9 6/7 Download Download ESG
Echiquier Agressor I
NAV Al 05/05/2021 1 657,51€
Performance 2021 +9,1%
Echiquier Agressor I

FR0011188150

1 657,51 532,2 +1,5 +9,1 +40,6 -11,8 +65,8 6/7 Download Download ESG
Echiquier Positive Impact Europe G
NAV Al 05/05/2021 145,31€
Performance 2021 +5,2%
Echiquier Positive Impact Europe G

FR0013299294

145,31 365,7 +1,5 +5,2 +30,5 +40,2 +45,3 6/7 Download Download Label ISRLabel FebelfinLabel FNG
Echiquier Positive Impact Europe I
NAV Al 05/05/2021 1 416,99€
Performance 2021 +5,3%
Echiquier Positive Impact Europe I

FR0013286911

1 416,99 365,7 +1,5 +5,3 +30,7 +41,1 +41,7 6/7 Download Download Label ISRLabel FebelfinLabel FNG
Echiquier Value Euro A
NAV Al 05/05/2021 187,35€
Performance 2021 +19,8%
Echiquier Value Euro A

FR0011360700

187,35 377,7 +1,5 +19,8 +56,6 -14,1 +85,8 6/7 Download Download ESG
Echiquier Value Euro G
NAV Al 05/05/2021 3 883,70€
Performance 2021 +20,2%
Echiquier Value Euro G

FR0007070883

3 883,70 377,7 +1,5 +20,2 +58,0 -11,7 +288,4 6/7 Download Download ESG
Echiquier Value Euro D
NAV Al 05/05/2021 163,22€
Performance 2021 +19,8%
Echiquier Value Euro D

FR0011404425

163,22 377,7 +1,5 +19,8 +56,0 -14,4 +63,2 6/7 Download Download ESG
Echiquier Climate Impact Europe G
NAV Al 05/05/2021 107,88€
Performance 2021 -
Echiquier Climate Impact Europe G

FR0013517281

107,88 20,7 - - - - - 6/7 Download Download Label ISR
Echiquier Climate Impact Europe I
NAV Al 05/05/2021 1 081,12€
Performance 2021 -
Echiquier Climate Impact Europe I

FR0013517299

1 081,12 20,7 - - - - - 6/7 Download Download Label ISR
Echiquier Climate Impact Europe F
NAV Al 05/05/2021 1 083,21€
Performance 2021 -
Echiquier Climate Impact Europe F

FR0014000TH9

1 083,21 20,7 - - - - - 6/7 Download Download Label ISR
/ Tematiche
Echiquier Artificial Intelligence B
NAV Al 05/05/2021 189,33€
Performance 2021 -10,7%
Echiquier Artificial Intelligence B

LU1819480192

189,33 816,5 -1,1 -10,7 +43,2 - +89,3 6/7 Download Download ESG
Echiquier Artificial Intelligence K
NAV Al 05/05/2021 195,47€
Performance 2021 -11,3%
Echiquier Artificial Intelligence K

LU1819479939

195,47 816,5 -1,1 -11,3 +45,0 - +95,5 6/7 Download Download ESG
Echiquier World Next Leaders A
NAV Al 05/05/2021 366,12€
Performance 2021 -11,0%
Echiquier World Next Leaders A

FR0011449602

366,12 426,9 -1,7 -11,0 +45,6 +116,1 +266,1 6/7 Download Download ESG
Echiquier World Next Leaders K
NAV Al 05/05/2021 198,39€
Performance 2021 -10,9%
Echiquier World Next Leaders K

FR0013423357

198,39 426,9 -1,7 -10,9 +50,2 - +77,3 6/7 Download Download ESG
Echiquier Robotics K
NAV Al 05/05/2021 255,81€
Performance 2021 -0,6%
Echiquier Robotics K

FR0012413722

255,81 22,0 -0,4 -0,6 +41,5 +82,1 +155,8 6/7 Download Download ESG
  Multi assets
Echiquier Patrimoine A
NAV Al 05/05/2021 868,79€
Performance 2021 +0,8%
Echiquier Patrimoine A

FR0010434019

868,79 203,3 +0,2 +0,8 +10,0 -6,7 +128,0 4/7 Download Download ESG
Echiquier Patrimoine I
NAV Al 05/05/2021 952,12€
Performance 2021 +0,9%
Echiquier Patrimoine I

FR0013286648

952,12 203,3 +0,2 +0,9 +10,5 -5,5 -4,8 4/7 Download Download ESG
Echiquier Patrimoine G
NAV Al 05/05/2021 94,89€
Performance 2021 +0,9%
Echiquier Patrimoine G

FR0013286622

94,89 203,3 +0,2 +0,9 +10,4 -5,8 -5,1 4/7 Download Download ESG
Echiquier ARTY SRI A
NAV Al 05/05/2021 1 732,12€
Performance 2021 +2,9%
Echiquier ARTY SRI A

FR0010611293

1 732,12 943,8 +0,3 +2,9 +14,3 +6,5 +73,2 4/7 Download Download Label ISR
Echiquier ARTY SRI I
NAV Al 05/05/2021 1 304,44€
Performance 2021 +3,1%
Echiquier ARTY SRI I

FR0011645555

1 304,44 943,8 +0,3 +3,1 +15,0 +8,4 +30,4 4/7 Download Download Label ISR
Echiquier ARTY SRI G
NAV Al 05/05/2021 1 192,87€
Performance 2021 +3,0%
Echiquier ARTY SRI G

FR0013084043

1 192,87 943,8 +0,3 +3,0 +14,7 +7,8 +19,3 4/7 Download Download Label ISR
Echiquier ARTY SRI D
NAV Al 05/05/2021 1 135,51€
Performance 2021 +2,7%
Echiquier ARTY SRI D

FR0011667989

1 135,51 943,8 +0,1 +2,7 +13,0 +4,2 +13,6 4/7 Download Download Label ISR
Echiquier ARTY SRI R
NAV Al 05/05/2021 1 627,80€
Performance 2021 +2,7%
Echiquier ARTY SRI R

FR0011039304

1 627,80 943,8 +0,3 +2,7 +13,7 +4,9 +31,5 4/7 Download Download Label ISR
Echiquier Arty SRI Fund A
NAV Al 05/05/2021 124,44€
Performance 2021 +2,8%
Echiquier Arty SRI Fund A

LU0969069607

124,44 13,6 +0,3 +2,8 +14,0 +6,2 +72,5 4/7 Download Download ISR
  Obbligazioni e Convertibili
/ Obbligazioni
Echiquier Short Term Credit A
NAV Al 05/05/2021 101,24€
Performance 2021 -0,1%
Echiquier Short Term Credit A

FR0010839282

101,24 97,4 0,0 -0,1 +0,8 -0,7 +1,2 2/7 Download Download ESG
Echiquier Short Term Credit I
NAV Al 05/05/2021 998,72€
Performance 2021 0,0%
Echiquier Short Term Credit I

FR0013390564

998,72 97,4 0,0 0,0 +1,0 - -0,1 2/7 Download Download ESG
Echiquier Credit SRI Europe A
NAV Al 05/05/2021 169,20€
Performance 2021 0,0%
Echiquier Credit SRI Europe A

FR0010491803

169,20 221,4 +0,0 0,0 +4,2 +1,3 +69,2 3/7 Download Download Label ISR
Echiquier Credit SRI Europe I
NAV Al 05/05/2021 111,62€
Performance 2021 +0,1%
Echiquier Credit SRI Europe I

FR0011829050

111,62 221,4 +0,0 +0,1 +4,6 +2,5 +11,6 3/7 Download Download Label ISR
Echiquier Credit SRI Europe G
NAV Al 05/05/2021 101,43€
Performance 2021 +0,0%
Echiquier Credit SRI Europe G

FR0013286614

101,43 221,4 +0,0 +0,0 +4,4 +1,9 +1,4 3/7 Download Download Label ISR
Echiquier Altarocca Hybrid Bonds I
NAV Al 05/05/2021 1 072,25€
Performance 2021 +0,5%
Echiquier Altarocca Hybrid Bonds I

FR0013217999

1 072,25 83,1 0,0 +0,5 +7,5 +5,3 +7,2 4/7 Download Download ESG
Echiquier Altarocca Hybrid Bonds G
NAV Al 05/05/2021 108,22€
Performance 2021 +0,4%
Echiquier Altarocca Hybrid Bonds G

FR0013340957

108,22 83,1 0,0 +0,4 +7,3 - +8,2 4/7 Download Download ESG
/ Convertibili
Echiquier Altarocca Convertibles I
NAV Al 05/05/2021 -
Performance 2021 -
Echiquier Altarocca Convertibles I

FR0011672807

- - - - - - - -
Echiquier Convexité SRI Europe A
NAV Al 05/05/2021 1 386,81€
Performance 2021 +0,5%
Echiquier Convexité SRI Europe A

FR0010377143

1 386,81 357,3 +0,3 +0,5 +10,2 +2,4 +38,7 4/7 Download Download Label ISR
Echiquier Convexité SRI Europe G
NAV Al 05/05/2021 105,02€
Performance 2021 +0,7%
Echiquier Convexité SRI Europe G

FR0013299286

105,02 357,3 +0,3 +0,7 +10,8 +4,1 +5,0 4/7 Download Download Label ISR
Echiquier Convexité SRI Europe I
NAV Al 05/05/2021 1 525,58€
Performance 2021 +0,7%
Echiquier Convexité SRI Europe I

FR0010383448

1 525,58 357,3 +0,3 +0,7 +11,0 +4,6 +52,6 4/7 Download Download Label ISR
Echiquier Convexité SRI Europe D
NAV Al 05/05/2021 11 874,50€
Performance 2021 -1,6%
Echiquier Convexité SRI Europe D

FR0010979039

11 874,50 357,3 -1,9 -1,6 +8,4 +1,9 +18,4 4/7 Download Download Label ISR
  Asset allocation
Echiquier Allocation Flexible A
NAV Al 05/05/2021 130,74€
Performance 2021 +5,2%
Echiquier Allocation Flexible A

FR0012870657

130,74 262,0 +0,6 +5,2 +24,2 +17,0 +30,7 4/7 Download Download
Echiquier Allocation Flexible G
NAV Al 05/05/2021 135,60€
Performance 2021 +5,3%
Echiquier Allocation Flexible G

FR0012870673

135,60 262,0 +0,5 +5,3 +24,7 +18,6 +35,6 4/7 Download Download
  Alternativi
/ Sistematica
Echiquier QME R
NAV Al 05/05/2021 1 044,17€
Performance 2021 +2,0%
Echiquier QME R

FR0013174836

1 044,17 90,3 +0,4 +2,0 +2,6 +4,3 +4,4 4/7 Download Download
Echiquier QME A
NAV Al 05/05/2021 1 098,61€
Performance 2021 +2,2%
Echiquier QME A

FR0012815876

1 098,61 90,3 +0,4 +2,2 +3,1 +5,6 +9,9 4/7 Download Download
Echiquier QME I
NAV Al 05/05/2021 1 103,97€
Performance 2021 +2,3%
Echiquier QME I

FR0013133618

1 103,97 90,3 +0,4 +2,3 +3,7 +7,0 +10,4 4/7 Download Download

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Disclaimer

Le informazioni sopra illustrate non si configurano come elemento contrattuale né consiglio di investimento. Le performance passate non sono un indicatore affidabile delle performance future. Le commissioni di gestione sono incluse nelle performance. Il valore dell’investimento può variare con le fluttuazioni di mercato e l’investitore può perdere tutto o parte dell’importo in capitale investito poiché non è garantito il capitale degli OIC. L’accesso ai prodotti e servizi qui presentati può essere soggetto a restrizioni nei confronti di alcune persone o di alcuni paesi. Il trattamento fiscale dipende dalla situazione di ognuno. I rischi, le spese e l’orizzonte di investimento raccomandato per gli OIC presentati sono descritti nei KIID (Informazione chiave per gli investitori) e i prospetti sono disponibili su questo sito Internet. Il KIID deve essere consegnato al sottoscrittore prima della sottoscrizione.