Légende des
indicateurs de risque

1 2 3 4 5 6 7
Faible Elevée

Notre gamme de fonds

Libellé Catégorie Indicateur de risque Valeurs liquidatives Date  
MYRIA CONCEPT MULTISTARS PART M FR0011399914 NA 4 984,5000 € 31-03-2020
MYRIA CONCEPT MULTISTARS PART E FR0013173390 NA 4 873,3900 € 31-03-2020
MYRIA CONCEPT EUROPE ALPHA part M FR0012914893 NA 3 876,8100 € 31-03-2020
UFF SELECTION ALPHA A FR0012881043 NA 3 80,5400 € 31-03-2020
MYRIA CONCEPT EUROPE ALPHA part Nette FR0013317229 NA 3 846,6600 € 31-03-2020
MYRIA CONCEPT EUROPE ALPHA part E FR0012914901 NA 3 829,4500 € 31-03-2020
MYRIA CONCEPT ACTIONS EUROPE FR0013028339 NA 5 792,5600 € 31-03-2020
CAPITAL PLANETE FR0010921452 Actions Internationales 5 138,7700 € 31-03-2020
MYRIA+RIVER 31 GLOBAL OPPORTUNITIES I FR0013300217 NA 6 680,4600 € 31-03-2020
MYRIA+RIVER 31 GLOBAL OPPORTUNITIES A FR0013300100 NA 6 669,6100 € 31-03-2020