Equities
/ European range - Small & Mid Cap
Echiquier Agenor SRI Mid Cap Europe A
As of 17/09/2024
NAV
435,83€
Performance 2024
+5,5%
Echiquier Agenor SRI Mid Cap Europe A
FR0010321810
435,83
1 739,5
+0,3
+5,5
+12,5
-19,8
+335,8
4/7
Tocqueville Small Cap Euro ISR C
As of 17/09/2024
NAV
65,53€
Performance 2024
-0,4%
Tocqueville Small Cap Euro ISR C
FR0010546903
65,53
576,4
+0,3
-0,4
+4,3
-7,5
+1 332,8
4/7
Tocqueville Small Cap Euro ISR D
As of 17/09/2024
NAV
46,62€
Performance 2024
-2,1%
Tocqueville Small Cap Euro ISR D
FR0010546911
46,62
576,4
+0,3
-2,1
+2,5
-12,1
+473,1
4/7
Echiquier Entrepreneurs A
As of 17/09/2024
NAV
261,63€
Performance 2024
+9,4%
Echiquier Entrepreneurs A
FR0011558246
261,63
368,5
+0,2
+9,4
+27,4
-19,3
+161,6
4/7
ESG
Echiquier Agenor SRI Mid Cap Europe Fund B
As of 17/09/2024
NAV
204,45€
Performance 2024
+5,8%
Echiquier Agenor SRI Mid Cap Europe Fund B
LU0969069516
204,45
16,8
+0,3
+5,8
+12,8
-18,3
+104,5
4/7
/ European range - Blend
Tocqueville Euro Equity ISR C
As of 17/09/2024
NAV
276,74€
Performance 2024
+7,8%
Tocqueville Euro Equity ISR C
FR0000008963
276,74
1 739,0
+0,6
+7,8
+11,5
+15,7
+176,7
4/7
Echiquier Agressor A
As of 17/09/2024
NAV
1 884,42€
Performance 2024
+7,4%
Echiquier Agressor A
FR0010321802
1 884,42
373,0
+0,2
+7,4
+11,5
+8,9
+1 877,8
4/7
ESG
Tocqueville Megatrends ISR C
As of 17/09/2024
NAV
20,39€
Performance 2024
+6,1%
Tocqueville Megatrends ISR C
FR0010546945
20,39
155,7
+0,2
+6,1
+8,6
-9,0
+103,9
4/7
/ European range - Growth
Echiquier Major SRI Growth Europe A
As of 17/09/2024
NAV
379,93€
Performance 2024
+8,1%
Echiquier Major SRI Growth Europe A
FR0010321828
379,93
1 454,7
+0,2
+8,1
+14,6
+3,4
+279,9
4/7
Echiquier Major SRI Growth Europe Fund B
As of 17/09/2024
NAV
204,44€
Performance 2024
+8,6%
Echiquier Major SRI Growth Europe Fund B
LU0969070365
204,44
22,7
+0,2
+8,6
+15,3
+5,9
+104,4
4/7
/ European range - Value
Tocqueville Value Euro ISR R
As of 17/09/2024
NAV
136,48€
Performance 2024
+10,5%
Tocqueville Value Euro ISR R
FR0013230059
136,48
1 147,7
+0,5
+10,5
+14,6
+30,2
+37,1
5/7
Tocqueville Value Europe ISR P
As of 17/09/2024
NAV
276,18€
Performance 2024
+7,7%
Tocqueville Value Europe ISR P
FR0010547067
276,18
515,0
+0,4
+7,7
+8,1
+20,1
+597,5
5/7
Echiquier Value Euro A
As of 17/09/2024
NAV
207,76€
Performance 2024
-4,0%
Echiquier Value Euro A
FR0011360700
207,76
326,6
+0,3
-4,0
+0,0
+11,7
+106,1
4/7
ESG
Tocqueville Dividende ISR C
As of 17/09/2024
NAV
27,09€
Performance 2024
+9,0%
Tocqueville Dividende ISR C
FR0010546929
27,09
219,9
+0,3
+9,0
+8,5
+17,6
+170,9
4/7
Tocqueville Dividende ISR D
As of 17/09/2024
NAV
12,31€
Performance 2024
+6,9%
Tocqueville Dividende ISR D
FR0010546937
12,31
219,9
+0,3
+6,9
+2,8
+1,4
+23,1
4/7
/ Global range - North America
Federis ISR Actions US L
As of 17/09/2024
NAV
205,43€
Performance 2024
+16,5%
Federis ISR Actions US L
FR0013342318
205,43
601,9
-0,2
+16,5
+19,6
+21,0
+107,0
5/7
/ Global range - World
Echiquier World Equity Growth A
As of 17/09/2024
NAV
413,08€
Performance 2024
+13,1%
Echiquier World Equity Growth A
FR0010859769
413,08
1 111,3
+0,1
+13,1
+16,9
+15,5
+313,1
5/7
ESG
Echiquier World Next Leaders A
As of 17/09/2024
NAV
194,70€
Performance 2024
+0,0%
Echiquier World Next Leaders A
FR0011449602
194,70
114,7
+0,4
+0,0
-0,4
-54,0
+94,7
6/7
ESG
Echiquier World Equity Growth Fund B
As of 17/09/2024
NAV
311,78€
Performance 2024
+13,9%
Echiquier World Equity Growth Fund B
LU0969070019
311,78
64,3
+0,0
+13,9
+17,8
+18,3
+211,8
4/7
ESG
/ Thematic range - Impact & Environment
Tocqueville Environnement ISR C
As of 17/09/2024
NAV
269,20€
Performance 2024
+12,7%
Tocqueville Environnement ISR C
FR0010748368
269,20
905,1
+0,9
+12,7
+19,0
-2,5
+169,2
5/7
Echiquier Positive Impact Europe A
As of 17/09/2024
NAV
296,75€
Performance 2024
+9,4%
Echiquier Positive Impact Europe A
FR0010863688
296,75
486,9
+0,3
+9,4
+18,3
+2,3
+196,8
4/7
Tocqueville Biodiversity ISR R
As of 17/09/2024
NAV
109,41€
Performance 2024
+11,2%
Tocqueville Biodiversity ISR R
FR001400BQH8
109,41
168,5
+0,3
+11,2
+14,6
-
+9,4
4/7
Echiquier Climate & Biodiversity Impact Europe A
As of 17/09/2024
NAV
103,34€
Performance 2024
+6,6%
Echiquier Climate & Biodiversity Impact Europe A
FR0013517273
103,34
108,2
+0,5
+6,6
+12,0
-7,3
+3,3
4/7
Tocqueville Materials for the Future P
As of 17/09/2024
NAV
135,15€
Performance 2024
+2,0%
Tocqueville Materials for the Future P
FR0010649772
135,15
33,5
+0,2
+2,0
+3,6
-6,7
+35,2
6/7
/ Thematic range - Technology
Echiquier Artificial Intelligence B
As of 17/09/2024
NAV
181,60€
Performance 2024
+14,1%
Echiquier Artificial Intelligence B
LU1819480192
181,60
870,0
-0,2
+14,1
+28,1
-23,4
+81,6
6/7
ESG
Echiquier Artificial Intelligence B USD
As of 17/09/2024
NAV
79,70€
Performance 2024
+14,9%
Echiquier Artificial Intelligence B USD
LU2276731333
79,70
870,0
-0,4
+14,9
+33,5
-28,5
-20,3
6/7
ESG
Echiquier Space B
As of 17/09/2024
NAV
98,73€
Performance 2024
+23,6%
Echiquier Space B
LU2466448532
98,73
66,4
-0,5
+23,6
+25,4
-13,4
-1,3
5/7
ESG
Echiquier Robotics A
As of 17/09/2024
NAV
243,06€
Performance 2024
+15,2%
Echiquier Robotics A
FR0012417350
243,06
12,8
-0,6
+15,2
+21,3
-0,5
+143,1
5/7
ESG
/ Thematic range - France
Tocqueville France ISR C
As of 17/09/2024
NAV
70,64€
Performance 2024
+0,0%
Tocqueville France ISR C
FR0010546960
70,64
226,0
+0,6
+0,0
+1,0
+3,4
+253,2
5/7
Tocqueville France ISR D
As of 17/09/2024
NAV
58,38€
Performance 2024
-2,0%
Tocqueville France ISR D
FR0010546978
58,38
226,0
+0,6
-2,0
-1,1
-2,7
+192,6
5/7
Multi assets
Echiquier ARTY SRI A
As of 17/09/2024
NAV
1 798,67€
Performance 2024
+3,6%
Echiquier ARTY SRI A
FR0010611293
1 798,67
714,1
0,0
+3,6
+8,6
+2,1
+79,9
3/7
Echiquier Patrimoine A
As of 17/09/2024
NAV
890,26€
Performance 2024
+2,8%
Echiquier Patrimoine A
FR0010434019
890,26
116,7
0,0
+2,8
+6,2
-1,2
+133,6
2/7
ESG
Echiquier ARTY SRI Fund A
As of 17/09/2024
NAV
128,09€
Performance 2024
+3,3%
Echiquier ARTY SRI Fund A
LU0969069607
128,09
9,3
0,0
+3,3
+8,2
+1,2
+77,5
3/7
ISR
Echiquier ARTY SRI Fund D
As of 17/09/2024
NAV
98,18€
Performance 2024
+2,5%
Echiquier ARTY SRI Fund D
LU1062933921
98,18
9,3
0,0
+2,5
+7,4
-5,3
+9,0
3/7
ISR
Bonds and Convertible bonds
/ Bonds
Echiquier Credit SRI Europe A
As of 17/09/2024
NAV
169,41€
Performance 2024
+2,9%
Echiquier Credit SRI Europe A
FR0010491803
169,41
329,9
0,0
+2,9
+7,8
-0,3
+69,4
2/7
/ Convertible bonds
Echiquier Convexité SRI Europe A
As of 17/09/2024
NAV
1 280,57€
Performance 2024
+2,5%
Echiquier Convexité SRI Europe A
FR0010377143
1 280,57
91,8
+0,2
+2,5
+5,0
-8,7
+28,1
3/7
Asset allocation
Echiquier Allocation Flexible B
As of 17/09/2024
NAV
114,28€
Performance 2024
+4,8%
Echiquier Allocation Flexible B
FR0013433505
114,28
205,8
+0,0
+4,8
+6,7
-1,7
+14,3
3/7
Echiquier Global Flexible A
As of 17/09/2024
NAV
113,87€
Performance 2024
-
Echiquier Global Flexible A
FR001400BE31
113,87
12,9
-
-
-
-
-
3/7
DPE L Patrimoine A
As of 17/09/2024
NAV
103,09€
Performance 2024
-
DPE L Patrimoine A
FR001400N913
103,09
1,1
-
-
-
-
-
2/7
DPE I Dynamique A
As of 17/09/2024
NAV
102,83€
Performance 2024
-
DPE I Dynamique A
FR001400N8Z8
102,83
0,7
-
-
-
-
-
4/7