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World Funds

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France - Funds

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Condition

Frequency

Once
%

Frequency

Frequency

Delivery Method

Status

 NameSymbolLastChg. %Total AssetsTime
 Afer-Sfer0P0000.80.820-0.25%4.79B27/03 
 Afer Actions Euro A0P0000.223.760-0.51%2.19B27/03 
 Afer Actions Euro I0P0000.214,042-0.51%2.19B27/03 
 Afer Actions Monde0P0000.1,682.510-0.48%1.7B27/03 
 Aviva Investors Conviction0P0000.1,347.880-0.55%1.59B27/03 
 Aviva Investors Valorisation0P0000.1,055.390-0.34%1.5B27/03 
 Aviva Conviction Patrimoine0P0000.260.270-0.55%1.41B27/03 
 Aviva Valorisation Patrimoine0P0000.221.500-0.34%1.14B27/03 
 Aviva Investors Japon0P0000.22,932.060-0.39%721.84M27/03 
 Aviva Actions Euro0P0000.183.730-0.51%650.28M27/03 
 Aviva Grandes Marques A0P0001.2,792.600-0.82%579.07M27/03 
 Aviva Grandes Marques I0P0001.3,177.500-0.81%579.07M27/03 
 Afer Diversifié Durable0P0000.865.590-0.05%595.95M27/03 
 Ofi RS Equilibre C/D0P0000.195.660-0.01%339.83M27/03 
 Afer Patrimoine0P0000.569.830-0.07%289.1M27/03 
 Aviva Valorisation Opportunités0P0000.165.970-0.35%281.82M27/03 
 Ofi RS Euro Equity N-D0P0001.178.730-0.40%231.91M27/03 
 Rendement Diversifié M0P0000.977.040-0.04%175.66M27/03 
 Aviva Investors Actions Euro IC0P0000.23,290.810-0.55%180.33M27/03 
 Aviva Multigestion0P0000.54.800-0.07%147.15M27/03 
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