Bull & Bear finance srl - LISTA DEI SIMBOLI

Esplora

Nr. BnB ID ISIN Name First Date Last Date
1FR0010152967FR0010152967ACAAA Actions Agro Alimentaire I (C)2005-01-192025-06-19
2FR0010058529FR0010058529ACAAA Actions Agro Alimentaire R (C)1985-06-282025-06-19
3FR0010062695FR0010062695ACAAA Actions Agro Alimentaire R (D)1985-12-062025-06-19
4LU0914732671LU0914732671ACMirova Europe Environmental Equity Fund I/A (EUR)2013-12-132025-06-19
5LU0914733059LU0914733059ACMirova Europe Environmental Equity Fund R/A (EUR)2013-12-132025-06-19
6LU0914733133LU0914733133ACMirova Europe Environmental Equity Fund R/D (EUR)2014-06-102025-06-19
7LU0914734537LU0914734537ACMirova Funds Euro Sustainable Aggregate I/A (EUR)2013-10-152025-06-19
8LU0914734701LU0914734701ACMirova Funds Euro Sustainable Aggregate R/A (EUR)2013-10-172025-06-19
9LU0914734966LU0914734966ACMirova Funds Euro Sustainable Aggregate RE/A (EUR)2013-10-172025-06-19
10LU0552643685LU0552643685ACMirova Funds Euro Sustainable Corporate Bonds I/A (EUR)2011-07-082025-06-19
11LU0552643768LU0552643768ACMirova Funds Euro Sustainable Corporate Bonds I/D (EUR)2011-07-082025-06-19
12LU0552643842LU0552643842ACMirova Funds Euro Sustainable Corporate Bonds R/A (EUR)2011-07-082025-06-19
13LU0914731780LU0914731780ACMirova Funds Euro Sustainable Equity I/A (EUR)2013-11-072025-06-19
14LU0914731947LU0914731947ACMirova Funds Euro Sustainable Equity R/A (EUR)2013-11-072025-06-19
15LU0914732085LU0914732085ACMirova Funds Euro Sustainable Equity R/D (EUR)2013-11-072025-06-19
16LU0914732168LU0914732168ACMirova Funds Euro Sustainable Equity RE/A (EUR)2013-11-082025-06-19
17LU0552643099LU0552643099ACMirova Funds Europe Sustainable Equity I/A (EUR)2011-09-072025-06-19
18LU0552643172LU0552643172ACMirova Funds Europe Sustainable Equity I/D (EUR)2011-09-082025-06-18
19LU0552643339LU0552643339ACMirova Funds Europe Sustainable Equity R/A (EUR)2011-09-082025-06-19
20LU0552643412LU0552643412ACMirova Funds Europe Sustainable Equity R/D (EUR)2011-09-082025-06-19
21LU0914729453LU0914729453ACMirova Funds Global Sustainable Equity I/A (EUR)2013-10-252025-06-19
22LU0914729966LU0914729966ACMirova Funds Global Sustainable Equity R/A (EUR)2013-10-252025-06-19
23LU0914730469LU0914730469ACMirova Funds Global Sustainable Equity RE/A (EUR)2013-10-252025-06-19
24FR0010144634FR0010144634ACNatixis Actions Small & Mid Cap Euro IC2005-01-192025-03-27
25FR0011010149FR0011010149ACNatixis Actions US Growth H-R2011-03-252025-06-18
26FR0011545524FR0011545524ACNatixis Actions US Growth I EUR2013-08-092025-06-18
27FR0010256404FR0010256404ACNatixis Actions US Growth I USD2005-12-202025-06-18
28FR0011545557FR0011545557ACNatixis Actions US Growth N USD2013-08-092025-06-18
29FR0011600410FR0011600410ACNatixis Actions US Growth R EUR2013-12-022025-06-18
30FR0010236877FR0010236877ACNatixis Actions US Growth R USD2005-12-202025-06-18
31LU0935225598LU0935225598ACNatixis AM Funds Natixis Credit Opportunities I/A (EUR)2013-11-202025-06-19
32LU0935223387LU0935223387ACNatixis AM Funds Natixis Euro Aggregate I/A (EUR)2013-11-152025-06-19
33LU0935223460LU0935223460ACNatixis AM Funds Natixis Euro Aggregate I/D (EUR)2013-11-182025-06-19
34LU0935223627LU0935223627ACNatixis AM Funds Natixis Euro Aggregate R/A (EUR)2013-11-182025-06-19
35LU0935223973LU0935223973ACNatixis AM Funds Natixis Euro Aggregate R/D (EUR)2013-11-182025-06-19
36LU0935219609LU0935219609ACNatixis AM Funds Natixis Euro Bonds Opportunities 12 months I/A (EUR)2013-12-182025-06-19
37LU0935220284LU0935220284ACNatixis AM Funds Natixis Euro Bonds Opportunities 12 months R/A (EUR)2013-12-182025-06-19
38LU0935222652LU0935222652ACNatixis AM Funds Natixis Euro Inflation I/A (EUR)2013-12-122025-06-19
39LU0935222900LU0935222900ACNatixis AM Funds Natixis Euro Inflation R/A (EUR)2013-12-122025-06-19
40LU0935221761LU0935221761ACNatixis AM Funds Natixis Euro Short Term Credit I/A (EUR)2013-10-242025-06-19
41LU0935222066LU0935222066ACNatixis AM Funds Natixis Euro Short Term Credit R/A (EUR)2013-10-242025-06-19
42LU0935222579LU0935222579ACNatixis AM Funds Natixis Euro Short Term Credit RE/A (EUR)2013-10-242025-06-19
43LU0935235399LU0935235399ACNatixis AM Funds Natixis Global Emerging Bonds Fund I/A (H-EUR)2014-01-232025-06-19
44LU0935234822LU0935234822ACNatixis AM Funds Natixis Global Emerging Bonds Fund I/A (USD)2014-01-232025-06-19
45LU0935235712LU0935235712ACNatixis AM Funds Natixis Global Emerging Bonds Fund R/A (H-EUR)2014-01-232025-06-19
46LU0935235555LU0935235555ACNatixis AM Funds Natixis Global Emerging Bonds Fund R/A (USD)2014-01-232025-06-19
47LU0935227370LU0935227370ACNatixis AM Funds Natixis Global Risk Parity I/A(EUR)2013-06-252025-06-19
48LU0935227537LU0935227537ACNatixis AM Funds Natixis Global Risk Parity R/A(EUR)2013-06-252025-06-19
49LU0935227701LU0935227701ACNatixis AM Funds Natixis Global Risk Parity R/D(EUR)2013-06-252025-06-19
50LU0935227883LU0935227883ACNatixis AM Funds Natixis Global Risk Parity RE/A(EUR)2013-06-252025-06-19
51LU0935227966LU0935227966ACNatixis AM Funds Natixis Global Risk Parity RE/D(EUR)2013-06-252025-06-19
52LU0935229152LU0935229152ACNatixis AM Funds Seeyond Europe MinVariance I/A (EUR)2013-11-262025-06-19
53LU0935229319LU0935229319ACNatixis AM Funds Seeyond Europe MinVariance I/D (EUR)2014-08-012025-06-19
54LU0935229400LU0935229400ACNatixis AM Funds Seeyond Europe MinVariance R/A (EUR)2013-11-262025-06-19
55LU0935230242LU0935230242ACNatixis AM Funds Seeyond Europe MinVariance RE/A (EUR)2014-04-032025-06-19
56LU0935229079LU0935229079ACNatixis AM Funds Seeyond Europe MinVariance SI/D (EUR)2013-11-262025-04-28
57LU0935230671LU0935230671ACNatixis AM Funds Seeyond Global MinVariance I/A (EUR)2013-12-182025-06-19
58LU0935231216LU0935231216ACNatixis AM Funds Seeyond Global MinVariance R/A (EUR)2013-12-182025-06-19
59LU0935230325LU0935230325ACNatixis AM Funds Seeyond Global MinVariance SI/D (EUR)2013-12-182025-06-19
60LU0935228261LU0935228261ACNatixis AM Funds Seeyond Multi Asset Conservative Growth Fund I/A (EUR)2013-10-072025-06-19
61LU0935228691LU0935228691ACNatixis AM Funds Seeyond Multi Asset Conservative Growth Fund R/A (EUR)2013-10-072025-06-19
62LU0935228774LU0935228774ACNatixis AM Funds Seeyond Multi Asset Conservative Growth Fund RE/A (EUR)2013-10-242025-06-19
63LU0935228931LU0935228931ACNatixis AM Funds Seeyond Multi Asset Conservative Growth Fund RE/D (EUR)2015-01-282025-06-19
64FR0010322438FR0010322438ACNatixis Cash A1P1 I (C)2004-08-192025-06-19
65FR0010731463FR0010731463ACNatixis Cash A1P1 I (D)2009-03-032025-06-19
66FR0011034735FR0011034735ACNatixis Cash A1P1 Soprane2011-05-262025-06-19
67FR0010845065FR0010845065ACNatixis Cash Euribor RE2010-01-212025-06-19
68FR0010227512FR0010227512ACNatixis European ABS Opportunities I C2005-09-012025-06-13
69FR0010286195FR0010286195ACNatixis European ABS Opportunities R2005-09-012025-06-13
70FR0010208421FR0010208421ACNatixis Souverains Euro 1-3 I1993-09-202025-06-19
71FR0010657387FR0010657387ACNatixis Souverains Euro 1-3 R2008-09-242025-06-19
72FR0010655456FR0010655456ACNatixis Souverains Euro I2008-09-042025-06-19
73FR0000003196FR0000003196ACNatixis Souverains Euro RC1993-12-212025-06-19
74FR0000171233FR0000171233ACNatixis Souverains Euro RD1993-12-312025-06-19
75FR0010885236FR0010885236ACNatixis Trésorerie Plus IC2010-05-042025-06-19
76FR0010885251FR0010885251ACNatixis Trésorerie Plus ID2010-05-042025-06-19
77FR0010885210FR0010885210ACNatixis Trésorerie Plus R2010-05-052025-06-19