Loi Pacte
Dans le cadre des évolutions relatives aux obligations d’informations, nous vous communiquons les taux de rendement et les taux de participation aux bénéfices des supports exprimés en euros ou autres devises.
Dans le cadre des évolutions relatives aux obligations d’informations, nous vous communiquons les taux de rendement et les taux de participation aux bénéfices des supports exprimés en euros ou autres devises.
Cette publication est réalisée en application des dispositions de l’article L. 132-22 du code des assurances. Il ne s’agit pas d’une communication à caractère publicitaire.
Produit | Année | Support | Taux de rendement garanti moyen brut* (%) | Taux de participation aux bénéfices brut moyen* (%) | En cours de commercialisation | Date de début de commercialisation | Date de fin de commercialisation |
---|---|---|---|---|---|---|---|
ASTER EVOLUTION | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | oui | 11/2/2019 | - |
ASTER EVOLUTION | 2022 | FONDS EXPRIME EN USD | 0,00% | 1,25% | oui | 11/2/2019 | - |
ASTER EVOLUTION CAPI | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | oui | 11/2/2019 | - |
ASTER EVOLUTION CAPI | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | oui | 11/2/2019 | - |
ENEDIA LUX | 2022 | FONDS EXPRIME EN CHF | 0,00% | 0,50% | oui | 2/11/2020 | - |
ENEDIA LUX | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | oui | 2/11/2020 | - |
ENEDIA LUX CAPI | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | oui | 6/11/2020 | - |
ENEDIA LUX CAPI | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | oui | 6/11/2020 | - |
LIFE MOBILITY EVOLUTION | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | oui | 1/8/2022 | - |
LIFE MOBILITY EVOLUTION | 2022 | FONDS EXPRIME EN CHF | 0,00% | 0,50% | oui | 20/5/2019 | - |
LIFE MOBILITY EVOLUTION | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | oui | 20/5/2019 | - |
LIFE MOBILITY EVOLUTION | 2022 | FONDS EXPRIME EN GBP | 0,00% | 1,25% | oui | 20/5/2019 | - |
LIFE MOBILITY EVOLUTION | 2022 | FONDS EXPRIME EN USD | 0,00% | 1,25% | oui | 20/5/2019 | - |
LIFE MOBILITY EVOLUTION | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | oui | 20/5/2019 | - |
LIFE MOBILITY EVOLUTION CAPI | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | oui | 1/8/2022 | - |
LIFE MOBILITY EVOLUTION CAPI | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | oui | 1/8/2022 | - |
LIFE MOBILITY EVOLUTION CAPI | 2022 | FONDS EXPRIME EN CHF | 0,00% | 0,50% | oui | 20/5/2019 | - |
LIFE MOBILITY EVOLUTION CAPI | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | oui | 20/5/2019 | - |
LIFE MOBILITY EVOLUTION CAPI | 2022 | FONDS EXPRIME EN USD | 0,00% | 1,25% | oui | 20/5/2019 | - |
LIFE MOBILITY EVOLUTION CAPI | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | oui | 20/5/2019 | - |
SAINT HONORE UNIVERSEL 8 | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | oui | 1/1/2021 | - |
SAINT HONORE UNIVERSEL CAPI 8 | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | oui | 1/1/2021 | - |
SAINT HONORE UNIVERSEL CAPI 8 | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | oui | 1/1/2021 | - |
SAINT-HONORE UNIVERSEL 7 | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | oui | 20/2/2017 | - |
SAINT-HONORE UNIVERSEL 7 | 2022 | FONDS GARANTI EUR | 0,80% | 1,85% | oui | 16/1/2017 | - |
SAINT-HONORE UNIVERSEL 7 | 2022 | FONDS EXPRIME EN CHF | 0,00% | 0,50% | oui | 16/1/2017 | - |
SAINT-HONORE UNIVERSEL 7 | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | oui | 16/1/2017 | - |
SAINT-HONORE UNIVERSEL 7 | 2022 | FONDS EXPRIME EN GBP | 0,00% | 1,25% | oui | 16/1/2017 | - |
SAINT-HONORE UNIVERSEL 7 | 2022 | FONDS EXPRIME EN USD | 0,00% | 1,25% | oui | 16/1/2017 | - |
SAINT-HONORE UNIVERSEL CAPI 7 | 2022 | FONDS EXPRIME EN CHF | 0,00% | 0,50% | oui | 20/2/2017 | - |
SAINT-HONORE UNIVERSEL CAPI 7 | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | oui | 20/2/2017 | - |
SAINT-HONORE UNIVERSEL CAPI 7 | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | oui | 20/2/2017 | - |
A.G. EVOLUTION | 2022 | FONDS GARANTI EUR (2,25% BRUT) | 2,25% | 2,25% | non | 1/2/1996 | 27/2/1998 |
A.G. EVOLUTION | 2022 | FONDS GARANTI EUR | 1,04% | 1,85% | non | 1/2/1996 | 27/2/1998 |
A.G. EVOLUTION | 2022 | MONDIALE GARANTIE EUR (1,75% BRUT) | 1,75% | 1,85% | non | 1/2/1996 | 27/2/1998 |
A.G. EVOLUTION | 2022 | MONDIALE GARANTIE EUR + | 0,50% | 1,85% | non | 1/2/1996 | 27/2/1998 |
A.G. EVOLUTION | 2022 | MONDIALE GARANTIE EUR (0,50% BRUT) | 0,50% | 1,85% | non | 1/2/1996 | 27/2/1998 |
A.G. EVOLUTION | 2022 | MONDIALE GARANTIE EUR (0% BRUT) | 0,00% | 1,85% | non | 1/2/1996 | 27/2/1998 |
ACTIPASS | 2022 | FONDS GARANTI EUR | 1,10% | 1,85% | non | 10/10/2008 | 21/6/2017 |
ASTER EVOLUTION | 2022 | FONDS EXPRIME EN CHF | 0,00% | 0,50% | non | 1/1/2017 | 1/11/2019 |
ASTER EVOLUTION | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | non | 1/1/2017 | 1/11/2019 |
ASTER EVOLUTION | 2022 | FONDS EXPRIME EN GBP | 0,00% | 1,25% | non | 1/1/2017 | 1/11/2019 |
ASTER EVOLUTION | 2022 | FONDS EXPRIME EN USD | 0,00% | 1,25% | non | 1/1/2017 | 1/11/2019 |
ASTER EVOLUTION | 2022 | FONDS GARANTI EUR | 0,64% | 1,85% | non | 22/9/2015 | 21/6/2017 |
ASTER EVOLUTION | 2022 | FONDS GARANTI USD | 0,60% | 1,25% | non | 22/9/2015 | 21/6/2017 |
ASTER EVOLUTION | 2022 | EUROCITLUX | 0,65% | 1,15% | non | 1/6/2012 | 21/6/2017 |
ASTER EVOLUTION | 2022 | FONDS GARANTI EUR | 0,61% | 1,85% | non | 1/6/2012 | 21/6/2017 |
ASTER EVOLUTION | 2022 | FONDS GARANTI USD | 0,60% | 1,25% | non | 1/6/2012 | 21/6/2017 |
ASTER EVOLUTION | 2022 | FONDS GARANTI GBP | 0,60% | 1,25% | non | 1/6/2012 | 21/6/2017 |
ASTER EVOLUTION | 2022 | FONDS GARANTI CHF | 0,60% | 0,60% | non | 1/6/2012 | 21/6/2017 |
ASTER EVOLUTION CAPI | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | non | 1/1/2017 | 1/11/2019 |
ASTER EVOLUTION CAPI | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | non | 1/1/2017 | 1/11/2019 |
ASTER EVOLUTION CAPI | 2022 | FONDS GARANTI EUR | 0,75% | 1,85% | non | 22/9/2015 | 21/6/2017 |
ASTER EVOLUTION CAPI | 2022 | FONDS GARANTI EUR | 0,61% | 1,85% | non | 22/9/2015 | 21/6/2017 |
ASTER EVOLUTION CAPI | 2022 | FONDS GARANTI EUR | 0,59% | 1,85% | non | 1/6/2012 | 17/7/2015 |
ASTER EVOLUTION CAPI PMO IS | 2022 | EUROCITLUX | 0,69% | 1,15% | non | 1/6/2012 | 23/10/2015 |
ASTER EVOLUTION CAPI PMO IS | 2022 | FONDS GARANTI EUR | 0,62% | 1,85% | non | 1/6/2012 | 23/10/2015 |
AURALUX | 2022 | FONDS GARANTI EUR | 1,42% | 1,85% | non | 13/7/2012 | 16/3/2018 |
AURALUX | 2022 | FONDS GARANTI USD | 1,40% | 1,40% | non | 13/7/2012 | 16/3/2018 |
AURALUX | 2022 | FONDS GARANTI GBP | 1,40% | 1,40% | non | 13/7/2012 | 16/3/2018 |
AURALUX | 2022 | FONDS GARANTI CHF | 1,40% | 1,40% | non | 13/7/2012 | 16/3/2018 |
AURALYS 3 | 2022 | FONDS GARANTI EUR | 1,40% | 1,85% | non | 7/4/2014 | 16/3/2018 |
AURALYS 3 | 2022 | FONDS GARANTI USD | 1,40% | 1,40% | non | 7/4/2014 | 16/3/2018 |
AURALYS MANAGEMENT | 2022 | FONDS GARANTI USD (2,50% NET) | 3,96% | 3,96% | non | 1/1/1996 | 28/7/2010 |
AURALYS MANAGEMENT | 2022 | FONDS GARANTI EUR (2,50% NET) | 3,96% | 3,96% | non | 1/1/1996 | 28/7/2010 |
AURALYS MANAGEMENT | 2022 | FONDS GARANTI EUR (2,25% NET) | 3,70% | 3,70% | non | 1/1/1996 | 28/7/2010 |
AURALYS MANAGEMENT | 2022 | FONDS GARANTI EUR (3,50% NET) | 4,97% | 4,97% | non | 1/1/1996 | 28/7/2010 |
AURALYS MANAGEMENT | 2022 | FONDS GARANTI USD (3,00% NET) | 4,46% | 4,46% | non | 1/1/1996 | 28/7/2010 |
AURALYS MANAGEMENT | 2022 | FONDS GARANTI EUR (2,75% NET) | 4,21% | 4,21% | non | 1/1/1996 | 28/7/2010 |
AURALYS MANAGEMENT | 2022 | FONDS GARANTI EUR (3,00% NET) | 4,46% | 4,46% | non | 1/1/1996 | 28/7/2010 |
AURALYS MANAGEMENT | 2022 | FONDS GARANTI USD (1,50% NET) | 2,94% | 2,94% | non | 1/1/1996 | 28/7/2010 |
AURALYS MANAGEMENT | 2022 | TAUX GARANTI EUR (1,75% NET) | 3,19% | 3,19% | non | 1/1/1996 | 28/7/2010 |
AURALYS MANAGEMENT | 2022 | TAUX GARANTI USD (1,25% NET) | 2,69% | 2,69% | non | 1/1/1996 | 28/7/2010 |
AURALYS MANAGEMENT | 2022 | EUROCITLUX* | 1,40% | 1,40% | non | 1/1/1996 | 28/7/2010 |
AURALYS MANAGEMENT | 2022 | TAUX GARANTI EUR (1.50% NET) | 2,94% | 2,94% | non | 1/1/1996 | 28/7/2010 |
AURALYS MANAGEMENT | 2022 | TAUX GARANTI EUR +8 | 1,93% | 1,93% | non | 1/1/1996 | 28/7/2010 |
AURALYS MANAGEMENT | 2022 | TAUX GARANTI USD (1,00% NET) | 2,43% | 2,43% | non | 1/1/1996 | 28/7/2010 |
AURALYS MANAGEMENT | 2022 | TAUX GARANTI USD (1,50% NET) | 2,94% | 2,94% | non | 1/1/1996 | 28/7/2010 |
AURALYS MANAGEMENT | 2022 | TAUX GARANTI EUR (0,75% NET) | 2,18% | 2,18% | non | 1/1/1996 | 28/7/2010 |
AURALYS MANAGEMENT | 2022 | TAUX GARANTI EUR (0,50% NET) | 1,93% | 1,93% | non | 1/1/1996 | 28/7/2010 |
AURALYS MANAGEMENT | 2022 | TAUX GARANTI EUR (0% NET) | 1,42% | 1,85% | non | 1/1/1996 | 28/7/2010 |
AURALYS MANAGEMENT 2 | 2022 | FONDS GARANTI EUR | 0,90% | 1,85% | non | 1/5/2010 | 5/11/2014 |
AURALYS MANAGEMENT 2 | 2022 | MONDIALE GARANTIE EUR (1,75% BRUT) | 1,75% | 1,85% | non | 1/5/2010 | 5/11/2014 |
AURALYS MANAGEMENT 2 | 2022 | MONDIALE GARANTIE EUR (1.50% BRUT) | 1,50% | 1,85% | non | 1/5/2010 | 5/11/2014 |
AURALYS PRO | 2022 | FONDS GARANTI EUR (2,25% NET) | 3,28% | 3,28% | non | 1/7/2004 | 9/10/2013 |
AURALYS PRO | 2022 | TAUX GARANTI USD (1,50% NET) | 2,53% | 2,53% | non | 1/7/2004 | 9/10/2013 |
CILLENS | 2022 | FONDS GARANTI EUR (2,25% BRUT) | 2,25% | 2,25% | non | 1/9/1996 | 28/12/2001 |
CILLENS | 2022 | FONDS GARANTI EUR | 0,98% | 1,85% | non | 1/9/1996 | 28/12/2001 |
CILLENS | 2022 | MONDIALE GARANTIE EUR (0,50% BRUT) | 0,50% | 1,85% | non | 1/9/1996 | 28/12/2001 |
CILLENS | 2022 | FONDS GARANTI EUR (3,50% BRUT) | 3,50% | 3,50% | non | 1/9/1996 | 28/12/2001 |
ELITIS LUX FLEX | 2022 | FONDS GARANTI EUR (3,50% BRUT) | 3,50% | 3,50% | non | 1/3/1996 | 20/11/1998 |
EUROPA UNIVERSEL | 2022 | FONDS GARANTI EUR (3,50% NET) | 4,50% | 4,50% | non | 1/9/1997 | 22/9/1998 |
EUROPA UNIVERSEL | 2022 | FONDS GARANTI EUR (4,00% NET) | 5,01% | 5,01% | non | 1/9/1997 | 22/9/1998 |
EUROPA UNIVERSEL | 2022 | FONDS GARANTI EUR (3,00% NET) | 4,00% | 4,00% | non | 1/9/1997 | 22/9/1998 |
EXCELLENCE PRESTIGE | 2022 | FONDS GARANTI EUR | 1,00% | 1,85% | non | 1/7/2007 | 29/1/2010 |
GESTION INTERNATIONALE LUXEMBOURG | 2022 | MONDIALE GARANTIE EUR (0,50% BRUT) | 0,50% | 1,85% | non | 1/4/1997 | 25/2/2005 |
GESTION INTERNATIONALE LUXEMBOURG | 2022 | MONDIALE GARANTIE EUR (0% BRUT) | 0,00% | 1,85% | non | 1/4/1997 | 25/2/2005 |
HEI | 2022 | TAUX GARANTI EUR (1.50% NET) | 2,42% | 2,42% | non | 15/3/1993 | 13/7/2004 |
HEI | 2022 | TAUX GARANTI EUR +8 | 1,52% | 1,85% | non | 15/3/1993 | 13/7/2004 |
HEI | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | non | 15/3/1993 | 13/7/2004 |
HENIN EUROPALIFE | 2022 | FONDS GARANTI EUR (3,00% NET) | 4,04% | 4,04% | non | 1/1/1980 | 7/9/2001 |
HENIN EUROPALIFE | 2022 | FONDS GARANTI EUR (2,50% NET) | 3,54% | 3,54% | non | 1/1/1980 | 7/9/2001 |
HENIN EUROPALIFE | 2022 | FONDS GARANTI EUR (3,50% NET) | 4,55% | 4,55% | non | 1/1/1980 | 7/9/2001 |
HENIN EUROPALIFE | 2022 | FONDS GARANTI EUR (2,25% NET) | 3,28% | 3,28% | non | 1/1/1980 | 7/9/2001 |
HENIN EUROPALIFE | 2022 | FONDS GARANTI CHF (2,40% NET) | 3,43% | 3,43% | non | 1/1/1980 | 7/9/2001 |
HENIN EUROPALIFE | 2022 | FONDS GARANTI EUR (4,50% NET) | 5,56% | 5,56% | non | 1/1/1980 | 7/9/2001 |
LIFE EXCELLENCE CAPI | 2022 | FONDS GARANTI EUR | 0,50% | 1,85% | non | 1/5/2008 | 13/6/2008 |
LIFE MOBILITY | 2022 | EUROCITLUX | 0,63% | 1,15% | non | 1/10/2004 | 22/5/2009 |
LIFE MOBILITY | 2022 | FONDS GARANTI EUR | 0,68% | 1,85% | non | 1/10/2004 | 22/5/2009 |
LIFE MOBILITY | 2022 | FONDS GARANTI USD | 0,50% | 1,25% | non | 1/10/2004 | 22/5/2009 |
LIFE MOBILITY | 2022 | FONDS GARANTI GBP | 0,75% | 1,25% | non | 1/10/2004 | 22/5/2009 |
LIFE MOBILITY CAPI | 2022 | EUROCITLUX | 0,60% | 1,15% | non | 1/5/2005 | 18/7/2008 |
LIFE MOBILITY CAPI | 2022 | FONDS GARANTI EUR | 0,77% | 1,85% | non | 1/5/2005 | 18/7/2008 |
LIFE MOBILITY CAPI | 2022 | FONDS GARANTI USD | 0,82% | 1,25% | non | 1/5/2005 | 18/7/2008 |
LIFE MOBILITY EVOLUTION | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | non | 1/10/2016 | 02/11/2019 |
LIFE MOBILITY EVOLUTION | 2022 | FONDS GARANTI EUR | 0,72% | 1,85% | non | 1/10/2016 | 02/11/2019 |
LIFE MOBILITY EVOLUTION | 2022 | FONDS GARANTI CHF | 0,80% | 0,80% | non | 1/10/2016 | 02/11/2019 |
LIFE MOBILITY EVOLUTION | 2022 | FONDS EXPRIME EN CHF | 0,00% | 0,50% | non | 1/10/2016 | 02/11/2019 |
LIFE MOBILITY EVOLUTION | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | non | 1/10/2016 | 02/11/2019 |
LIFE MOBILITY EVOLUTION | 2022 | FONDS EXPRIME EN GBP | 0,00% | 1,25% | non | 1/10/2016 | 02/11/2019 |
LIFE MOBILITY EVOLUTION | 2022 | FONDS EXPRIME EN USD | 0,00% | 1,25% | non | 1/10/2016 | 02/11/2019 |
LIFE MOBILITY EVOLUTION | 2022 | EUROCITLUX 2 | 0,00% | 1,15% | non | 1/10/2016 | 02/11/2019 |
LIFE MOBILITY EVOLUTION | 2022 | EUROCITLUX | 1,00% | 1,15% | non | 29/2/2016 | 21/6/2017 |
LIFE MOBILITY EVOLUTION | 2022 | FONDS GARANTI EUR | 0,74% | 1,85% | non | 29/2/2016 | 21/6/2017 |
LIFE MOBILITY EVOLUTION | 2022 | FONDS GARANTI USD | 0,68% | 1,25% | non | 29/2/2016 | 21/6/2017 |
LIFE MOBILITY EVOLUTION | 2022 | FONDS GARANTI GBP | 0,95% | 1,25% | non | 29/2/2016 | 21/6/2017 |
LIFE MOBILITY EVOLUTION | 2022 | FONDS GARANTI CHF | 0,80% | 0,80% | non | 29/2/2016 | 21/6/2017 |
LIFE MOBILITY EVOLUTION | 2022 | FONDS EXPRIME EN GBP | 0,00% | 1,25% | non | 29/2/2016 | 21/6/2017 |
LIFE MOBILITY EVOLUTION | 2022 | EUROCITLUX | 0,99% | 1,15% | non | 1/10/2008 | 30/9/2012 |
LIFE MOBILITY EVOLUTION | 2022 | FONDS GARANTI EUR | 0,66% | 1,85% | non | 1/10/2008 | 30/9/2012 |
LIFE MOBILITY EVOLUTION | 2022 | FONDS GARANTI USD | 0,86% | 1,25% | non | 1/10/2008 | 30/9/2012 |
LIFE MOBILITY EVOLUTION | 2022 | FONDS GARANTI GBP | 0,77% | 1,25% | non | 1/10/2008 | 30/9/2012 |
LIFE MOBILITY EVOLUTION | 2022 | EURO1818 LUX | 0,60% | 1,15% | non | 1/10/2008 | 30/9/2012 |
LIFE MOBILITY EVOLUTION | 2022 | FONDS GARANTI CHF | 1,00% | 1,00% | non | 1/10/2008 | 30/9/2012 |
LIFE MOBILITY EVOLUTION | 2022 | FONDS EURO ACTIF SELECTION | 0,00% | 1,85% | non | 1/10/2008 | 30/9/2012 |
LIFE MOBILITY EVOLUTION | 2022 | FONDS GARANTI EUR | 0,50% | 1,85% | non | 1/10/2008 | 30/9/2012 |
LIFE MOBILITY EVOLUTION CAPI | 2022 | FONDS EXPRIME EN CHF | 0,00% | 0,50% | non | 1/10/2016 | 1/11/2019 |
LIFE MOBILITY EVOLUTION CAPI | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | non | 1/10/2016 | 1/11/2019 |
LIFE MOBILITY EVOLUTION CAPI | 2022 | FONDS EXPRIME EN GBP | 0,00% | 1,25% | non | 1/10/2016 | 1/11/2019 |
LIFE MOBILITY EVOLUTION CAPI | 2022 | FONDS EXPRIME EN USD | 0,00% | 1,25% | non | 1/10/2016 | 1/11/2019 |
LIFE MOBILITY EVOLUTION CAPI | 2022 | FONDS EXPRIME EN CHF | 0,00% | 0,50% | non | 1/10/2016 | 1/11/2019 |
LIFE MOBILITY EVOLUTION CAPI | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | non | 1/10/2016 | 1/11/2019 |
LIFE MOBILITY EVOLUTION CAPI | 2022 | FONDS GARANTI EUR | 1,00% | 1,85% | non | 11/7/2016 | 21/6/2017 |
LIFE MOBILITY EVOLUTION CAPI | 2022 | FONDS GARANTI EUR | 0,80% | 1,85% | non | 11/7/2016 | 21/6/2017 |
LIFE MOBILITY EVOLUTION CAPI | 2022 | EUROCITLUX | 0,89% | 1,15% | non | 6/11/2008 | 31/5/2013 |
LIFE MOBILITY EVOLUTION CAPI | 2022 | FONDS GARANTI EUR | 0,71% | 1,85% | non | 6/11/2008 | 31/5/2013 |
LIFE MOBILITY EVOLUTION CAPI | 2022 | FONDS GARANTI USD | 1,00% | 1,25% | non | 6/11/2008 | 31/5/2013 |
LIFE MOBILITY EVOLUTION CAPI | 2022 | FONDS GARANTI GBP | 1,00% | 1,25% | non | 6/11/2008 | 31/5/2013 |
LIFE MOBILITY EVOLUTION CAPI | 2022 | EURO1818 LUX | 1,00% | 1,15% | non | 6/11/2008 | 31/5/2013 |
LIFE MOBILITY EVOLUTION CAPI | 2022 | MONDIALE GARANTIE EUR (1.50% BRUT) | 1,50% | 1,85% | non | 6/11/2008 | 31/5/2013 |
LIFE MOBILITY EVOLUTION CAPI | 2022 | MONDIALE GARANTIE USD (1,00% BRUT) | 1,00% | 1,25% | non | 6/11/2008 | 31/5/2013 |
LIFE MOBILITY EVOLUTION CAPI | 2022 | FONDS GARANTI CHF | 1,00% | 1,00% | non | 6/11/2008 | 31/5/2013 |
LIFE MOBILITY EVOLUTION CAPI | 2022 | MONDIALE GARANTIE EUR (0,50% BRUT) | 0,50% | 1,85% | non | 6/11/2008 | 31/5/2013 |
LIFE MOBILITY EVOLUTION CAPI PMO IS | 2022 | EUROCITLUX | 0,91% | 1,15% | non | 1/6/2011 | 31/5/2013 |
LIFE MOBILITY EVOLUTION CAPI PMO IS | 2022 | FONDS GARANTI EUR | 0,66% | 1,85% | non | 1/6/2011 | 31/5/2013 |
LIFE MOBILITY EVOLUTION CAPI PMO IS | 2022 | FONDS GARANTI USD | 0,80% | 1,25% | non | 1/6/2011 | 31/5/2013 |
LIFE MOBILITY EVOLUTION CAPI PMO IS | 2022 | MONDIALE GARANTIE EUR (1,75% BRUT) | 1,75% | 1,85% | non | 1/6/2011 | 31/5/2013 |
LIFE MOBILITY EVOLUTION CAPI PMO IS V4 | 2022 | EUROCITLUX | 0,60% | 1,15% | non | 1/6/2013 | 3/5/2016 |
LIFE MOBILITY EVOLUTION CAPI PMO IS V4 | 2022 | FONDS GARANTI EUR | 0,65% | 1,85% | non | 1/6/2013 | 3/5/2016 |
LIFE MOBILITY EVOLUTION CAPI PMO IS V4 | 2022 | FONDS GARANTI USD | 0,60% | 1,25% | non | 1/6/2013 | 3/5/2016 |
LIFE MOBILITY EVOLUTION CAPI PMO IS V4 | 2022 | EURO1818 LUX | 0,98% | 1,15% | non | 1/6/2013 | 3/5/2016 |
LIFE MOBILITY EVOLUTION CAPI V4 | 2022 | EUROPATRIMOINELUX | 1,00% | 1,15% | non | 1/2/2013 | 21/6/2017 |
LIFE MOBILITY EVOLUTION CAPI V4 | 2022 | EUROCITLUX | 0,71% | 1,15% | non | 1/2/2013 | 21/6/2017 |
LIFE MOBILITY EVOLUTION CAPI V4 | 2022 | FONDS GARANTI EUR | 0,65% | 1,85% | non | 1/2/2013 | 21/6/2017 |
LIFE MOBILITY EVOLUTION CAPI V4 | 2022 | FONDS GARANTI USD | 0,73% | 1,25% | non | 1/2/2013 | 21/6/2017 |
LIFE MOBILITY EVOLUTION CAPI V4 | 2022 | FONDS GARANTI GBP | 0,80% | 1,25% | non | 1/2/2013 | 21/6/2017 |
LIFE MOBILITY EVOLUTION CAPI V4 | 2022 | EURO1818 LUX | 0,82% | 1,15% | non | 1/2/2013 | 21/6/2017 |
LIFE MOBILITY EVOLUTION CAPI V4 | 2022 | FONDS GARANTI CHF | 0,60% | 0,60% | non | 1/2/2013 | 21/6/2017 |
LIFE MOBILITY EVOLUTION CAPI V5 | 2022 | FONDS GARANTI EUR | 0,67% | 1,85% | non | 17/4/2015 | 21/6/2017 |
LIFE MOBILITY EVOLUTION CAPI V5 | 2022 | FONDS GARANTI USD | 0,61% | 1,25% | non | 17/4/2015 | 21/6/2017 |
LIFE MOBILITY EVOLUTION CAPI V5 | 2022 | EURO1818 LUX | 0,70% | 1,15% | non | 17/4/2015 | 21/6/2017 |
LIFE MOBILITY EVOLUTION CAPI V5 | 2022 | FONDS GARANTI CHF | 0,61% | 0,61% | non | 17/4/2015 | 21/6/2017 |
LIFE MOBILITY EVOLUTION CAPI V5 | 2022 | FONDS GARANTI EUR | 0,67% | 1,85% | non | 17/4/2015 | 21/6/2017 |
LIFE MOBILITY EVOLUTION CAPI V5 | 2022 | FONDS GARANTI USD | 1,00% | 1,25% | non | 17/4/2015 | 21/6/2017 |
LIFE MOBILITY EVOLUTION CH | 2022 | FONDS GARANTI EUR | 0,70% | 1,85% | non | 1/8/2008 | 9/12/2011 |
LIFE MOBILITY EVOLUTION V4 | 2022 | EUROPATRIMOINELUX | 1,00% | 1,15% | non | 1/1/2012 | 31/5/2013 |
LIFE MOBILITY EVOLUTION V4 | 2022 | EUROCITLUX | 0,81% | 1,15% | non | 1/1/2012 | 31/5/2013 |
LIFE MOBILITY EVOLUTION V4 | 2022 | FONDS GARANTI EUR | 0,69% | 1,85% | non | 1/1/2012 | 31/5/2013 |
LIFE MOBILITY EVOLUTION V4 | 2022 | FONDS GARANTI USD | 0,76% | 1,25% | non | 1/1/2012 | 31/5/2013 |
LIFE MOBILITY EVOLUTION V4 | 2022 | FONDS GARANTI GBP | 0,82% | 1,25% | non | 1/1/2012 | 31/5/2013 |
LIFE MOBILITY EVOLUTION V4 | 2022 | EURO1818 LUX | 0,60% | 1,15% | non | 1/1/2012 | 31/5/2013 |
LIFE MOBILITY EVOLUTION V4 | 2022 | MONDIALE GARANTIE EUR (1,75% BRUT) | 1,75% | 1,85% | non | 1/1/2012 | 31/5/2013 |
LIFE MOBILITY EVOLUTION V4 | 2022 | MONDIALE GARANTIE USD (1,25% BRUT) | 1,25% | 1,25% | non | 1/1/2012 | 31/5/2013 |
LIFE MOBILITY EVOLUTION V4 | 2022 | MONDIALE GARANTIE GBP (1,25% BRUT) | 1,25% | 1,25% | non | 1/1/2012 | 31/5/2013 |
LIFE MOBILITY EVOLUTION V4 | 2022 | MONDIALE GARANTIE EUR (1.50% BRUT) | 1,50% | 1,85% | non | 1/1/2012 | 31/5/2013 |
LIFE MOBILITY EVOLUTION V4 | 2022 | MONDIALE GARANTIE USD (1,00% BRUT) | 1,00% | 1,25% | non | 1/1/2012 | 31/5/2013 |
LIFE MOBILITY EVOLUTION V4 | 2022 | FONDS GARANTI CHF | 0,68% | 0,68% | non | 1/1/2012 | 31/5/2013 |
LIFE MOBILITY EVOLUTION V4 | 2022 | MONDIALE GARANTIE EUR (0,75% BRUT) | 0,75% | 1,85% | non | 1/1/2012 | 31/5/2013 |
LIFE MOBILITY EVOLUTION V4 | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | non | 1/1/2012 | 31/5/2013 |
LIFE MOBILITY EVOLUTION V4.2 | 2022 | EUROCITLUX | 0,75% | 1,15% | non | 1/2/2013 | 31/1/2016 |
LIFE MOBILITY EVOLUTION V4.2 | 2022 | FONDS GARANTI EUR | 0,68% | 1,85% | non | 1/2/2013 | 31/1/2016 |
LIFE MOBILITY EVOLUTION V4.2 | 2022 | FONDS GARANTI USD | 0,69% | 1,25% | non | 1/2/2013 | 31/1/2016 |
LIFE MOBILITY EVOLUTION V4.2 | 2022 | FONDS GARANTI GBP | 0,75% | 1,25% | non | 1/2/2013 | 31/1/2016 |
LIFE MOBILITY EVOLUTION V4.2 | 2022 | EURO1818 LUX | 0,70% | 1,15% | non | 1/2/2013 | 31/1/2016 |
LIFE MOBILITY EVOLUTION V4.2 | 2022 | FONDS GARANTI CHF | 0,70% | 0,70% | non | 1/2/2013 | 31/1/2016 |
LIFE MOBILITY EVOLUTION V4.2 | 2022 | MONDIALE GARANTIE EUR (0,75% BRUT) | 0,75% | 1,85% | non | 1/2/2013 | 31/1/2016 |
LIFE MOBILITY EVOLUTION V4.2 | 2022 | FONDS EURO ACTIF SELECTION | 0,00% | 1,85% | non | 1/2/2013 | 31/1/2016 |
LIFE MOBILITY EVOLUTION V5 | 2022 | EUROCITLUX | 0,88% | 1,15% | non | 28/11/2014 | 21/6/2017 |
LIFE MOBILITY EVOLUTION V5 | 2022 | FONDS GARANTI EUR | 0,69% | 1,85% | non | 28/11/2014 | 21/6/2017 |
LIFE MOBILITY EVOLUTION V5 | 2022 | FONDS GARANTI USD | 0,73% | 1,25% | non | 28/11/2014 | 21/6/2017 |
LIFE MOBILITY EVOLUTION V5 | 2022 | FONDS GARANTI GBP | 0,79% | 1,25% | non | 28/11/2014 | 21/6/2017 |
LIFE MOBILITY EVOLUTION V5 | 2022 | EURO1818 LUX | 0,76% | 1,15% | non | 28/11/2014 | 21/6/2017 |
LIFE MOBILITY EVOLUTION V5 | 2022 | FONDS GARANTI CHF | 0,75% | 0,75% | non | 28/11/2014 | 21/6/2017 |
LIS LIFE PREMIER | 2022 | FONDS GARANTI USD (3,00% NET) | 4,04% | 4,04% | non | 1/5/1997 | 24/1/2000 |
LUX MONDE | 2022 | MONDIALE GARANTIE EUR (2,25% BRUT) | 2,25% | 2,25% | non | 1/5/1997 | 31/3/2000 |
LUX MONDE | 2022 | FONDS GARANTI EUR (3,50% BRUT) | 3,50% | 3,50% | non | 1/5/1997 | 31/3/2000 |
LUX MONDE II | 2022 | MONDIALE GARANTIE EUR (2,25% BRUT) | 2,25% | 2,25% | non | 1/10/1998 | 31/10/2003 |
LUX MONDE II | 2022 | FONDS GARANTI EUR | 1,00% | 1,85% | non | 1/10/1998 | 31/10/2003 |
LUX MONDE II CAPI | 2022 | MONDIALE GARANTIE EUR (2,25% BRUT) | 2,25% | 2,25% | non | 1/1/2000 | 1/12/2000 |
LUX OPPORTUNITES | 2022 | FONDS GARANTI EUR (2,25% BRUT) | 2,25% | 2,25% | non | 1/6/1997 | 4/2/2000 |
LUX OPPORTUNITES | 2022 | FONDS GARANTI EUR | 1,00% | 1,85% | non | 1/6/1997 | 4/2/2000 |
LUX OPPORTUNITES | 2022 | MONDIALE GARANTIE EUR (1.50% BRUT) | 1,50% | 1,85% | non | 1/6/1997 | 4/2/2000 |
LUX OPPORTUNITES | 2022 | MONDIALE GARANTIE EUR (0,50% BRUT) | 0,50% | 1,85% | non | 1/6/1997 | 4/2/2000 |
LUX OPPORTUNITES | 2022 | MONDIALE GARANTIE EUR (0% BRUT) | 0,00% | 1,85% | non | 1/6/1997 | 4/2/2000 |
LUX OPPORTUNITES II | 2022 | MONDIALE GARANTIE EUR (2,25% BRUT) | 2,25% | 2,25% | non | 1/11/1998 | 3/6/2005 |
LUX OPPORTUNITES II | 2022 | FONDS GARANTI EUR | 1,00% | 1,85% | non | 1/11/1998 | 3/6/2005 |
MOBIPASS 120 | 2022 | FONDS GARANTI USD (2,50% NET) | 3,61% | 3,61% | non | 11/6/2001 | 22/12/2008 |
MOBIPASS 120 | 2022 | FONDS GARANTI USD (1,50% NET) | 2,60% | 2,60% | non | 11/6/2001 | 22/12/2008 |
MOBIPASS 120 | 2022 | FONDS GARANTI EUR (2,25% NET) | 3,36% | 3,36% | non | 11/6/2001 | 22/12/2008 |
MOBIPASS 120 | 2022 | FONDS GARANTI EUR (2,50% NET) | 3,61% | 3,61% | non | 11/6/2001 | 22/12/2008 |
MOBIPASS 120 | 2022 | TAUX GARANTI EUR (1,75% NET) | 2,86% | 2,86% | non | 11/6/2001 | 22/12/2008 |
MOBIPASS 120 | 2022 | TAUX GARANTI USD (1,25% NET) | 2,35% | 2,35% | non | 11/6/2001 | 22/12/2008 |
MOBIPASS 120 | 2022 | TAUX GARANTI EUR (1.50% NET) | 2,60% | 2,60% | non | 11/6/2001 | 22/12/2008 |
MOBIPASS 120 | 2022 | TAUX GARANTI EUR +8 | 1,59% | 1,85% | non | 11/6/2001 | 22/12/2008 |
MOBIPASS 120 | 2022 | TAUX GARANTI USD +8 | 2,60% | 2,60% | non | 11/6/2001 | 22/12/2008 |
MOBIPASS 120 | 2022 | TAUX GARANTI USD (1,00% NET) | 2,10% | 2,10% | non | 11/6/2001 | 22/12/2008 |
MOBIPASS 120 | 2022 | TAUX GARANTI USD (1,50% NET) | 2,60% | 2,60% | non | 11/6/2001 | 22/12/2008 |
MOBIPASS 120 | 2022 | TAUX GARANTI EUR (0,75% NET) | 1,84% | 1,85% | non | 11/6/2001 | 22/12/2008 |
MOBIPASS 120 | 2022 | TAUX GARANTI EUR (0,50% NET) | 1,59% | 1,85% | non | 11/6/2001 | 22/12/2008 |
MOBIPASS 120 | 2022 | TAUX GARANTI USD (1,75% NET) | 2,86% | 2,86% | non | 11/6/2001 | 22/12/2008 |
MONDIALE GOLD | 2022 | FONDS GARANTI EUR (2,50% BRUT) | 2,50% | 2,50% | non | 1/11/1995 | 14/4/2000 |
MONDIALE GOLD | 2022 | FONDS GARANTI USD (2,50% BRUT) | 2,50% | 2,50% | non | 1/11/1995 | 14/4/2000 |
MONDIALE GOLD | 2022 | FONDS GARANTI EUR (2,25% BRUT) | 2,25% | 2,25% | non | 1/11/1995 | 14/4/2000 |
MONDIALE GOLD | 2022 | FONDS GARANTI EUR | 0,89% | 1,85% | non | 1/11/1995 | 14/4/2000 |
MONDIALE GOLD | 2022 | MONDIALE GARANTIE EUR (1,75% BRUT) | 1,75% | 1,85% | non | 1/11/1995 | 14/4/2000 |
MONDIALE GOLD | 2022 | MONDIALE GARANTIE EUR + | 0,50% | 1,85% | non | 1/11/1995 | 14/4/2000 |
MONDIALE GOLD | 2022 | MONDIALE GARANTIE EUR (0,50% BRUT) | 0,50% | 1,85% | non | 1/11/1995 | 14/4/2000 |
MONDIALE GOLD | 2022 | FONDS GARANTI EUR (3,50% BRUT) | 3,50% | 3,50% | non | 1/11/1995 | 14/4/2000 |
MONDIALE GOLD II | 2022 | FONDS GARANTI EUR | 0,55% | 1,85% | non | 1/2/1999 | 24/2/2006 |
MONDIALE GOLD III | 2022 | FONDS GARANTI EUR | 0,99% | 1,85% | non | 1/12/2004 | 1/12/2006 |
MONDIALE GOLD III | 2022 | FONDS GARANTI USD | 0,50% | 1,25% | non | 1/12/2004 | 1/12/2006 |
MONDIALE GOLD PLUS | 2022 | FONDS GARANTI EUR | 1,00% | 1,85% | non | 1/6/2004 | 2/10/2009 |
MONDIALE GOLD PLUS | 2022 | FONDS GARANTI USD | 1,00% | 1,25% | non | 1/6/2004 | 2/10/2009 |
MONDIALE GOLD PLUS CAPI | 2022 | FONDS GARANTI EUR | 0,44% | 1,85% | non | 1/9/2006 | 7/8/2009 |
MONDIALE R CAPITALISATION | 2022 | FONDS GARANTI EUR | 0,63% | 1,85% | non | 1/6/2004 | 20/4/2013 |
MONDIALE R VIE | 2022 | FONDS GARANTI EUR | 0,61% | 1,85% | non | 1/10/2004 | 23/2/2013 |
MONDIALE R VIE | 2022 | FONDS GARANTI USD | 0,60% | 1,25% | non | 1/10/2004 | 23/2/2013 |
MONDIALE R VIE II | 2022 | FONDS GARANTI EUR | 0,68% | 1,85% | non | 1/12/2013 | 1/5/2015 |
MONDIALE R VIE II | 2022 | FONDS GARANTI USD | 0,65% | 1,25% | non | 1/12/2013 | 1/5/2015 |
MULTIGEST INTERNATIONAL | 2022 | FONDS GARANTI EUR (2,50% BRUT) | 2,50% | 2,50% | non | 1/4/1996 | 30/1/1998 |
MULTIGEST INTERNATIONAL | 2022 | FONDS GARANTI EUR (2,25% BRUT) | 2,25% | 2,25% | non | 1/4/1996 | 30/1/1998 |
MULTIGEST INTERNATIONAL | 2022 | FONDS GARANTI EUR (3,50% BRUT) | 3,50% | 3,50% | non | 1/4/1996 | 30/1/1998 |
NORTIA LUX | 2022 | FONDS GARANTI EUR (2,25% BRUT) | 2,25% | 2,25% | non | 1/4/1996 | 12/11/2004 |
NORTIA LUX | 2022 | FONDS GARANTI EUR | 0,98% | 1,85% | non | 1/4/1996 | 12/11/2004 |
NORTIA LUX | 2022 | FONDS GARANTI EUR (3,50% BRUT) | 3,50% | 3,50% | non | 1/4/1996 | 12/11/2004 |
NORTIA LUX | 2022 | FONDS GARANTI EUR (MAX 3.50% BRUT) | 2,80% | 2,80% | non | 1/4/1996 | 12/11/2004 |
NORTIA LUX III | 2022 | EUROPATRIMOINELUX | 1,00% | 1,15% | non | 1/11/2006 | 28/8/2019 |
NORTIA LUX III | 2022 | FONDS GARANTI EUR | 1,00% | 1,85% | non | 1/11/2006 | 28/8/2019 |
NORTIA LUX III | 2022 | FONDS GARANTI USD | 1,00% | 1,25% | non | 1/11/2006 | 28/8/2019 |
NORTIA LUXEMBOURG | 2022 | EUROPATRIMOINELUX | 1,00% | 1,15% | non | 1/10/2012 | 21/6/2017 |
NORTIA LUXEMBOURG | 2022 | EUROCITLUX | 1,00% | 1,15% | non | 1/10/2012 | 21/6/2017 |
NORTIA LUXEMBOURG | 2022 | FONDS GARANTI EUR | 1,00% | 1,85% | non | 1/10/2012 | 21/6/2017 |
NORTIA LUXEMBOURG | 2022 | FONDS GARANTI USD | 0,97% | 1,25% | non | 1/10/2012 | 21/6/2017 |
NORTIA LUXEMBOURG | 2022 | FONDS GARANTI GBP | 1,00% | 1,25% | non | 1/10/2012 | 21/6/2017 |
NORTIA LUXEMBOURG | 2022 | FONDS GARANTI CHF | 1,00% | 1,00% | non | 1/10/2012 | 21/6/2017 |
OLYMPIA INTERNATIONAL VIE | 2022 | MONDIALE GARANTIE EUR (0% BRUT) | 0,00% | 1,85% | non | 1/2/1996 | 10/1/2023 |
OLYMPIA INTERNATIONAL VIE | 2022 | FONDS GARANTI EUR (2,25% BRUT) | 2,25% | 2,25% | non | 1/2/1996 | 10/1/2003 |
OLYMPIA INTERNATIONAL VIE | 2022 | MONDIALE GARANTIE EUR (1,75% BRUT) | 1,75% | 1,85% | non | 1/2/1996 | 10/1/2003 |
OLYMPIA INTERNATIONAL VIE | 2022 | MONDIALE GARANTIE EUR + | 0,50% | 1,85% | non | 1/2/1996 | 10/1/2003 |
OLYMPIA INTERNATIONAL VIE | 2022 | MONDIALE GARANTIE USD | 1,50% | 1,50% | non | 1/2/1996 | 10/1/2003 |
OLYMPIA INTERNATIONAL VIE | 2022 | MONDIALE GARANTIE USD (1,50% BRUT) | 1,50% | 1,50% | non | 1/2/1996 | 10/1/2003 |
OLYMPIA INTERNATIONAL VIE | 2022 | FONDS GARANTI EUR (3,50% BRUT) | 3,50% | 3,50% | non | 1/2/1996 | 10/1/2003 |
OLYMPIA INTERNATIONAL VIE | 2022 | FONDS GARANTI EUR (MAX 3.50% BRUT) | 2,80% | 2,80% | non | 1/2/1996 | 10/1/2003 |
PACIFIC GOLD | 2022 | FONDS GARANTI EUR | 0,98% | 1,85% | non | 1/4/1999 | 8/10/2010 |
PREMALYS | 2022 | EUROCITLUX | 1,00% | 1,15% | non | 1/11/2005 | 1/4/2011 |
PREMALYS | 2022 | FONDS GARANTI EUR | 1,00% | 1,85% | non | 1/11/2005 | 1/4/2011 |
PREMALYS | 2022 | FONDS GARANTI USD | 1,00% | 1,25% | non | 1/11/2005 | 1/4/2011 |
PREMALYS 2 | 2022 | EUROCITLUX | 1,00% | 1,15% | non | 1/4/2010 | 6/6/2014 |
PREMALYS 2 | 2022 | FONDS GARANTI EUR | 0,98% | 1,85% | non | 1/4/2010 | 6/6/2014 |
PREMALYS 2 | 2022 | FONDS GARANTI USD | 1,00% | 1,25% | non | 1/4/2010 | 6/6/2014 |
PREMALYS 2 | 2022 | MONDIALE GARANTIE EUR (1.50% BRUT) | 1,50% | 1,85% | non | 1/4/2010 | 6/6/2014 |
PREMALYS 2 | 2022 | MONDIALE GARANTIE USD (1,00% BRUT) | 1,00% | 1,25% | non | 1/4/2010 | 6/6/2014 |
PREMALYS 2 | 2022 | MONDIALE GARANTIE USD (1,50% BRUT) | 1,50% | 1,50% | non | 1/4/2010 | 6/6/2014 |
PREMALYS 2 | 2022 | MONDIALE GARANTIE EUR (0,75% BRUT) | 0,75% | 1,85% | non | 1/4/2010 | 6/6/2014 |
PREMALYS 2 | 2022 | MONDIALE GARANTIE EUR (0,50% BRUT) | 0,50% | 1,85% | non | 1/4/2010 | 6/6/2014 |
PREMALYS 3 | 2022 | EUROCITLUX | 1,00% | 1,15% | non | 7/4/2014 | 21/6/2017 |
PREMALYS 3 | 2022 | FONDS GARANTI EUR | 1,00% | 1,85% | non | 7/4/2014 | 21/6/2017 |
PREMALYS 5 | 2022 | FONDS GARANTI EUR | 1,00% | 1,85% | non | 1/2/2016 | 21/6/2017 |
PREMALYS 7 | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | non | 1/1/2017 | 16/3/2018 |
PREMALYS 7.2 | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | non | 2/1/2018 | 1/11/2019 |
PREMALYS 7.2 | 2022 | FONDS EXPRIME EN GBP | 0,00% | 1,25% | non | 2/1/2018 | 1/11/2019 |
PREMALYS 7.2 | 2022 | FONDS EXPRIME EN EUR | 0,00% | 1,85% | non | 2/1/2018 | 1/11/2019 |
PREMALYS CAPI 2 | 2022 | FONDS GARANTI EUR | 1,00% | 1,85% | non | 1/1/2011 | 28/6/2013 |
PREMALYS CAPI 3 | 2022 | FONDS GARANTI EUR | 1,00% | 1,85% | non | 7/4/2014 | 21/6/2017 |
PRIMOLUX | 2022 | EUROCITLUX | 1,00% | 1,15% | non | 1/9/2012 | 11/9/2015 |
PRIMOLUX | 2022 | FONDS GARANTI EUR | 1,00% | 1,85% | non | 1/9/2012 | 11/9/2015 |
PRIMOLUX | 2022 | FONDS GARANTI USD | 1,00% | 1,25% | non | 1/9/2012 | 11/9/2015 |
PRIMOLUX CAPI | 2022 | FONDS GARANTI EUR | 1,00% | 1,85% | non | 1/4/2013 | 16/10/2015 |
SAINT HONORE UNIVERSEL | 2022 | EUROCITLUX | 1,00% | 1,15% | non | 1/9/2006 | 18/9/2009 |
SAINT HONORE UNIVERSEL | 2022 | FONDS GARANTI EUR | 0,73% | 1,85% | non | 1/9/2006 | 18/9/2009 |
SAINT HONORE UNIVERSEL | 2022 | FONDS GARANTI USD | 0,81% | 1,25% | non | 1/9/2006 | 18/9/2009 |
SAINT HONORE UNIVERSEL | 2022 | FONDS GARANTI CHF | 1,00% | 1,00% | non | 1/9/2006 | 18/9/2009 |
SAINT HONORE UNIVERSEL 2 | 2022 | EUROCITLUX | 0,87% | 1,15% | non | 16/12/2008 | 31/8/2012 |
SAINT HONORE UNIVERSEL 2 | 2022 | FONDS GARANTI EUR | 0,70% | 1,85% | non | 16/12/2008 | 31/8/2012 |
SAINT HONORE UNIVERSEL 2 | 2022 | FONDS GARANTI USD | 0,84% | 1,25% | non | 16/12/2008 | 31/8/2012 |
SAINT HONORE UNIVERSEL 2 | 2022 | FONDS GARANTI CHF | 1,00% | 1,00% | non | 16/12/2008 | 31/8/2012 |
SAINT HONORE UNIVERSEL 3 | 2022 | EUROCITLUX | 0,84% | 1,15% | non | 1/7/2012 | 31/1/2014 |
SAINT HONORE UNIVERSEL 3 | 2022 | FONDS GARANTI EUR | 0,71% | 1,85% | non | 1/7/2012 | 31/1/2014 |
SAINT HONORE UNIVERSEL 3 | 2022 | FONDS GARANTI USD | 0,62% | 1,25% | non | 1/7/2012 | 31/1/2014 |
SAINT HONORE UNIVERSEL 3 | 2022 | FONDS GARANTI GBP | 0,55% | 1,25% | non | 1/7/2012 | 31/1/2014 |
SAINT HONORE UNIVERSEL 3 | 2022 | MONDIALE GARANTIE EUR (1.50% BRUT) | 1,50% | 1,85% | non | 1/7/2012 | 31/1/2014 |
SAINT HONORE UNIVERSEL 3 | 2022 | FONDS GARANTI CHF | 0,80% | 0,80% | non | 1/7/2012 | 31/1/2014 |
SAINT HONORE UNIVERSEL 4 | 2022 | EUROCITLUX | 0,88% | 1,15% | non | 1/11/2013 | 21/6/2017 |
SAINT HONORE UNIVERSEL 4 | 2022 | FONDS GARANTI EUR | 0,71% | 1,85% | non | 1/11/2013 | 21/6/2017 |
SAINT HONORE UNIVERSEL 4 | 2022 | FONDS GARANTI USD | 0,74% | 1,25% | non | 1/11/2013 | 21/6/2017 |
SAINT HONORE UNIVERSEL 4 | 2022 | FONDS GARANTI GBP | 1,00% | 1,25% | non | 1/11/2013 | 21/6/2017 |
SAINT HONORE UNIVERSEL 4 | 2022 | FONDS GARANTI CHF | 0,84% | 0,84% | non | 1/11/2013 | 21/6/2017 |
SAINT HONORE UNIVERSEL CAPI | 2022 | EUROCITLUX | 1,00% | 1,15% | non | 1/12/2006 | 12/2/2010 |
SAINT HONORE UNIVERSEL CAPI | 2022 | FONDS GARANTI EUR | 0,64% | 1,85% | non | 1/12/2006 | 12/2/2010 |
SAINT HONORE UNIVERSEL CAPI 2 | 2022 | EUROCITLUX | 0,95% | 1,15% | non | 16/12/2008 | 31/1/2014 |
SAINT HONORE UNIVERSEL CAPI 2 | 2022 | FONDS GARANTI EUR | 0,74% | 1,85% | non | 16/12/2008 | 31/1/2014 |
SAINT HONORE UNIVERSEL CAPI 2 | 2022 | MONDIALE GARANTIE EUR (1.50% BRUT) | 1,50% | 1,85% | non | 16/12/2008 | 31/1/2014 |
SAINT HONORE UNIVERSEL CAPI 2 | 2022 | MONDIALE GARANTIE EUR (0,75% BRUT) | 0,75% | 1,85% | non | 16/12/2008 | 31/1/2014 |
SAINT HONORE UNIVERSEL CAPI 2 | 2022 | MONDIALE GARANTIE EUR (0,50% BRUT) | 0,50% | 1,85% | non | 16/12/2008 | 31/1/2014 |
SAINT HONORE UNIVERSEL CAPI 4 | 2022 | EUROCITLUX | 0,70% | 1,15% | non | 1/11/2013 | 28/2/2016 |
SAINT HONORE UNIVERSEL CAPI 4 | 2022 | FONDS GARANTI EUR | 0,70% | 1,85% | non | 1/11/2013 | 28/2/2016 |
SAINT HONORE UNIVERSEL CAPI 4 PMO IS | 2022 | FONDS GARANTI EUR | 0,68% | 1,85% | non | 7/1/2014 | 28/2/2016 |
SAINT HONORE UNIVERSEL CAPI 4 PMO IS | 2022 | FONDS GARANTI USD | 0,75% | 1,25% | non | 7/1/2014 | 28/2/2016 |
SAINT HONORE UNIVERSEL2 CAPI PMO IS | 2022 | EUROCITLUX | 1,00% | 1,15% | non | 1/6/2011 | 31/1/2014 |
SAINT HONORE UNIVERSEL2 CAPI PMO IS | 2022 | FONDS GARANTI EUR | 0,85% | 1,85% | non | 1/6/2011 | 31/1/2014 |
SAINT HONORE UNIVERSEL2 CAPI PMO IS | 2022 | MONDIALE GARANTIE EUR (1,75% BRUT) | 1,75% | 1,85% | non | 1/6/2011 | 31/1/2014 |
SAINT HONORE UNIVERSEL2 CAPI PMO IS | 2022 | MONDIALE GARANTIE EUR (0,75% BRUT) | 0,75% | 1,85% | non | 1/6/2011 | 31/1/2014 |
SAINT HONORE UNIVERSEL2 CAPI PMO IS | 2022 | MONDIALE GARANTIE EUR (0,50% BRUT) | 0,50% | 1,85% | non | 1/6/2011 | 31/1/2014 |
SAINT-HONORE UNIVERSEL 5 | 2022 | EUROCITLUX | 0,60% | 1,15% | non | 6/11/2015 | 21/6/2017 |
SAINT-HONORE UNIVERSEL 5 | 2022 | FONDS GARANTI EUR | 0,73% | 1,85% | non | 6/11/2015 | 21/6/2017 |
SAINT-HONORE UNIVERSEL 5 | 2022 | FONDS GARANTI USD | 1,00% | 1,25% | non | 6/11/2015 | 21/6/2017 |
SAINT-HONORE UNIVERSEL 5 | 2022 | FONDS GARANTI GBP | 1,00% | 1,25% | non | 6/11/2015 | 21/6/2017 |
SAINT-HONORE UNIVERSEL 5 | 2022 | FONDS GARANTI CHF | 1,00% | 1,00% | non | 6/11/2015 | 21/6/2017 |
SAINT-HONORE UNIVERSEL CAPI 5 | 2022 | EUROCITLUX | 0,60% | 1,15% | non | 6/11/2015 | 21/6/2017 |
SAINT-HONORE UNIVERSEL CAPI 5 | 2022 | FONDS GARANTI EUR | 0,73% | 1,85% | non | 6/11/2015 | 21/6/2017 |
SAINT-HONORE UNIVERSEL CAPI 5 | 2022 | FONDS GARANTI EUR | 0,75% | 1,85% | non | 6/11/2015 | 21/6/2017 |
STRATEGIE LIBERALE | 2022 | FONDS GARANTI EUR (3,50% NET) | 4,55% | 4,55% | non | 1/7/1995 | 22/11/2000 |
UBS EVOLUTION CAPI | 2022 | FONDS GARANTI EUR | 0,66% | 1,85% | non | 1/8/2006 | 17/9/2010 |
UBS EVOLUTION VIE | 2022 | FONDS GARANTI EUR | 0,57% | 1,85% | non | 1/9/2005 | 16/7/2010 |
UBS EVOLUTION VIE | 2022 | FONDS GARANTI USD | 0,76% | 1,25% | non | 1/9/2005 | 16/7/2010 |
Afin de renforcer la transparence sur les frais appliqués à ses produits d’épargne (contrats d’assurance vie et contrats de capitalisation), La Mondiale Europartner s’est engagée à mettre ces informations à votre disposition sur son site. Vous pouvez télécharger le tableau des frais relatifs au contrat Life Mobility Evolution