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Palmarès OPCVM Monétaires français

ISINDénomination Société de gestion 2024 2023 2022 2021 2020
FR0012534840APICIL TRESORERIE GROUPAMA ASSET MANAGEMENT4.12%3.60%---
FR0014006PG6CAPITAL MONETAIRE 1AXA INVESTMENT MANAGERS PARIS4.07%3.62%0.06%-0.44%-0.27%
FR0013328317APICIL TRESORERIE PGROUPAMA ASSET MANAGEMENT4.02%3.48%0.05%-0.48%-0.28%
FR0013267663HUGAU MONETERME Hugau Moneterme IHUGAU GESTION4.02%3.60%-4.65%-0.16%-0.09%
FR0013267689HUGAU MONETERME Hugau Moneterme Part RHUGAU GESTION4.02%3.60%-4.65%-0.16%-0.09%
FR0013248390CANDRIAM MONETAIRE SICAV ZCANDRIAM3.99%3.51%0.07%-0.46%-0.29%
FR0007084660CM-AM MONE ISR CREDIT MUTUEL ASSET MANAGEMENT3.97%3.49%0.02%-0.50%-0.31%
FR0014006PF8CAPITAL MONETAIRE 2AXA INVESTMENT MANAGERS PARIS3.97%3.52%-0.04%-0.54%-0.37%
FR0014006PE1CAPITAL MONETAIRE 2RAXA INVESTMENT MANAGERS PARIS3.97%3.52%-0.04%-0.54%-0.37%
FR0000293698ECOFI TRESORERIE IECOFI INVESTISSEMENTS3.97%3.50%0.13%-0.39%-0.25%
FR0011363639GENERALI TRESORERIE ISR AGENERALI ASSET MANAGEMENT SPA SGR3.96%3.43%0.50%--
FR0010233726GENERALI TRESORERIE ISR BGENERALI ASSET MANAGEMENT SPA SGR3.96%3.43%-0.14%-0.46%-0.31%
FR0013258886CM-AM CASH ISR ESCREDIT MUTUEL ASSET MANAGEMENT3.96%3.49%0.08%-0.48%-0.24%
FR0014006EB1GROUPAMA TRESORERIE F2DGROUPAMA ASSET MANAGEMENT3.96%3.43%0.22%--
FR0013065299GROUPAMA TRESORERIE PCGROUPAMA ASSET MANAGEMENT3.96%3.43%-0.03%-0.47%-0.24%
FR0010089649SWISS LIFE FUNDS (F) ESG MONEY MARKET EURO I1SWISS LIFE ASSET MANAGERS FRANCE3.95%3.45%0.07%-0.50%-0.38%
FR0010875237GROUPAMA TRESORERIE ZCGROUPAMA ASSET MANAGEMENT3.95%3.42%-0.04%-0.47%-0.25%
FR0000989626GROUPAMA TRESORERIE ICGROUPAMA ASSET MANAGEMENT3.95%3.42%-0.04%-0.47%-0.25%
FR0013371382BNP PARIBAS MOIS ISR X de classe DBNP PARIBAS ASSET MANAGEMENT Europe3.94%3.50%-0.00%-0.55%-0.39%
FR0011482678BNP PARIBAS MOIS ISR XCBNP PARIBAS ASSET MANAGEMENT Europe3.94%3.50%-0.00%-0.55%-0.39%
FR0013113222CANDRIAM MONETAIRE SICAV Action VCANDRIAM3.94%3.50%0.06%-0.47%-0.30%
FR0013508942AMUNDI EURO LIQUIDITY-RATED RESPONSIBLE R2AMUNDI ASSET MANAGEMENT3.94%3.46%0.04%-0.51%-0.33%
FR0010582452GROUPAMA MONETAIRE ICGROUPAMA ASSET MANAGEMENT3.93%3.49%0.04%-0.45%-0.23%
FR0010693069GROUPAMA MONETAIRE ZCGROUPAMA ASSET MANAGEMENT3.93%3.49%0.04%-0.45%-0.23%
FR0010389254CM-AM MONEPLUS CREDIT MUTUEL ASSET MANAGEMENT3.93%3.47%0.06%-0.50%-0.25%
FR0000009987UNION + CREDIT MUTUEL ASSET MANAGEMENT3.93%3.45%0.05%-0.51%-0.29%
FR0013412822CM-AM MONE ISR RCCREDIT MUTUEL ASSET MANAGEMENT3.92%3.44%-0.03%-0.55%-0.35%
FR0007045109Arkéa Support Monétaire SISCHELCHER PRINCE GESTION3.92%3.48%--0.48%-0.31%
FR0013368065CM-AM MONEPLUS IC2CREDIT MUTUEL ASSET MANAGEMENT3.92%3.47%0.05%-0.50%-0.26%
FR0011528330CM-AM MONETAIRE CT SCREDIT MUTUEL ASSET MANAGEMENT3.92%3.46%0.10%-0.51%-0.31%
FR0010273144BACH MONETAIRE SIENNA GESTION3.92%3.49%-0.08%-0.53%-0.30%
FR0012008688SIENNA MONETAIRE I-CSIENNA GESTION3.92%3.46%-0.13%-0.60%-0.40%
FR0011533207BNP PARIBAS SUSTAINABLE INVEST 3M I Plus de classe CBNP PARIBAS ASSET MANAGEMENT Europe3.92%3.49%0.04%-0.49%-0.29%
FR0013527785OSTRUM SRI MONEY PLUS M (C)NATIXIS INVESTMENT MANAGERS INTERNATIONAL3.92%3.47%0.04%-0.50%-0.32%
FR0013520939BFT AUREUS ISR S-CBFT INVESTMENT MANAGERS3.91%3.45%-0.00%-0.61%-0.38%
FR0000993610ABN AMRO CANDRIAM ESG TREASURY CABN AMRO INVESTMENT SOLUTIONS3.91%3.46%-0.12%-0.65%-0.58%
FR0011381227OFI INVEST ESG MONETAIRE ICOFI INVEST ASSET MANAGEMENT3.91%3.46%0.08%-0.46%-0.28%
FR0011580042ABN AMRO CANDRIAM ESG TREASURY IABN AMRO INVESTMENT SOLUTIONS3.91%3.46%-0.04%-0.55%-0.48%
FR001400G5H1BNP PARIBAS MOIS ISR I PLUS CBNP PARIBAS ASSET MANAGEMENT Europe3.91%3.77%---
FR001400GJV3SIENNA TREASURY CASH ISR ICSIENNA GESTION3.91%4.06%---
FR0013369691CM-AM MONEPLUS NECREDIT MUTUEL ASSET MANAGEMENT3.91%3.46%0.05%-0.50%-0.27%
FR0013354198CANDRIAM MONETAIRE SICAV MonéVie (M)CANDRIAM3.91%3.43%-0.01%-0.54%-0.37%
FR0000008997OFI INVEST ESG LIQUIDITES CDOFI INVEST ASSET MANAGEMENT3.91%3.44%0.07%-0.47%-0.26%
FR0010750984OSTRUM SRI MONEY 6M INATIXIS INVESTMENT MANAGERS INTERNATIONAL3.91%3.52%0.02%-0.42%-0.18%
FR0011048537EPARGNE ETHIQUE MONETAIRE IECOFI INVESTISSEMENTS3.91%3.44%0.08%-0.48%-0.15%
FR0013397908REGARD MONETAIRE UPRO BTP FINANCE3.91%3.43%0.06%-0.51%-0.33%
FR0010450908REGARD MONETAIRE HPRO BTP FINANCE3.91%3.43%0.06%-0.51%-0.33%
FR0010693051GROUPAMA ENTREPRISES ZCGROUPAMA ASSET MANAGEMENT3.91%3.43%0.04%-0.49%-0.27%
FR0010213355GROUPAMA ENTREPRISES ICGROUPAMA ASSET MANAGEMENT3.91%3.43%0.04%-0.49%-0.27%
FR0000978371AXA IM EURO LIQUIDITY SRI AXA INVESTMENT MANAGERS PARIS3.90%3.45%-0.01%-0.54%-0.38%
FR0000287716BNP PARIBAS MONEY 3M ICBNP PARIBAS ASSET MANAGEMENT Europe3.90%3.47%0.01%-0.53%-0.32%
FR0000979825CM-AM CASH ISR ICCREDIT MUTUEL ASSET MANAGEMENT3.90%3.45%0.02%-0.52%-0.30%
FR0010216804BNP PARIBAS SUSTAINABLE INVEST 3M IBNP PARIBAS ASSET MANAGEMENT Europe3.90%3.47%-0.01%-0.54%-0.34%
FR0013016607AMUNDI EURO LIQUIDITY-RATED RESPONSIBLE I2AMUNDI ASSET MANAGEMENT3.90%3.43%0.04%-0.51%-0.36%
FR0000975617OFI INVEST ESG MONETAIRE COURT TERME IOFI INVEST ASSET MANAGEMENT3.90%3.42%0.12%-0.42%-0.26%
FR0013095312AMUNDI EURO LIQUIDITY SELECT I2AMUNDI ASSET MANAGEMENT3.90%3.43%0.03%-0.52%-0.38%
FR0010219899EPARGNE ETHIQUE MONETAIRE CECOFI INVESTISSEMENTS3.90%3.43%0.08%-0.48%-0.15%
FR00140010O1CPR MONETAIRE ISR SICPR ASSET MANAGEMENT3.90%3.43%0.03%-0.51%-0.51%
FR0007041090CM-AM MONETAIRE CT CREDIT MUTUEL ASSET MANAGEMENT3.90%3.44%0.07%-0.53%-0.35%
FR001400DG78CM-AM CASH ISR SCREDIT MUTUEL ASSET MANAGEMENT3.90%3.43%1.74%--
FR0013296332GROUPAMA TRESORERIE RCGROUPAMA ASSET MANAGEMENT3.89%3.37%-0.03%-0.48%-0.25%
FR001400KPZ3OFI INVEST ESG LIQUIDITES IOFI INVEST ASSET MANAGEMENT3.89%3.33%-0.02%--
FR0013354230CM-AM MONEPLUS RCCREDIT MUTUEL ASSET MANAGEMENT3.89%3.44%0.04%-0.51%-0.30%
FR0011482660BNP PARIBAS MOIS ISR IDBNP PARIBAS ASSET MANAGEMENT Europe3.89%3.47%0.03%-0.52%-0.36%
FR0007009808BNP PARIBAS MOIS ISR ICBNP PARIBAS ASSET MANAGEMENT Europe3.89%3.47%0.03%-0.52%-0.36%
FR001400BO70BNP PARIBAS MOIS ISR EPCBNP PARIBAS ASSET MANAGEMENT Europe3.89%3.46%0.60%--
FR0013065257SG MONETAIRE PLUS I2SOCIETE GENERALE GESTION3.89%3.43%0.04%-0.53%-0.38%
FR0013360245UNION + TCCREDIT MUTUEL ASSET MANAGEMENT3.89%3.42%0.02%-0.53%-0.35%
FR001400NTM7ECOFI TRESORERIE CSECOFI INVESTISSEMENTS3.89%----
FR0013134723BFT AUREUS ISR I2BFT INVESTMENT MANAGERS3.89%2.62%0.03%-0.51%-0.40%
FR0000971277HSBC SRI MONEY ZCHSBC GLOBAL ASSET MANAGEMENT (FRANCE)3.88%3.42%0.07%-0.54%-0.42%
FR0013067790BFT AUREUS ISR I2BFT INVESTMENT MANAGERS3.88%3.43%0.03%-0.51%-0.42%
FR0013349560CM-AM MONETAIRE CT RCCREDIT MUTUEL ASSET MANAGEMENT3.88%3.43%0.07%-0.53%-0.36%
FR001400CQH6OFI INVEST ISR MONÉTAIRE CT C-FPOFI INVEST ASSET MANAGEMENT3.88%3.37%1.25%--
FR0013277753GROUPAMA MONETAIRE RCGROUPAMA ASSET MANAGEMENT3.88%3.43%1.63%--
FR0013372638CPR MONETAIRE ISR SCPR ASSET MANAGEMENT3.88%3.46%0.02%-0.59%0.17%
FR0000299877PALATINE MONETAIRE STANDARD PALATINE ASSET MANAGEMENT3.88%3.55%0.06%-0.31%-0.18%
FR0013345774AMUNDI EURO LIQUIDITY-RATED RESPONSIBLE SAMUNDI ASSET MANAGEMENT3.87%3.40%-0.02%-0.55%-0.41%
FR0013353828CM-AM CASH ISR RCCREDIT MUTUEL ASSET MANAGEMENT3.87%3.42%-0.01%-0.52%-0.35%
FR0013440138Arkéa Support Monétaire ISCHELCHER PRINCE GESTION3.87%3.42%-0.04%-0.52%-0.34%
FR0000447823AXA TRESOR COURT TERME CAXA INVESTMENT MANAGERS PARIS3.87%3.42%-0.03%-0.60%-0.47%
FR0013256898BNP PARIBAS MOIS ISR MandatBNP PARIBAS ASSET MANAGEMENT Europe3.87%3.44%-0.04%-0.59%-0.43%
FR0007074919Arkéa Support Court Terme SCHELCHER PRINCE GESTION3.87%3.41%0.08%-0.46%-0.30%
FR0013532082MONCEAU MARCHÉ MONÉTAIRE CMONCEAU Asset Management (Monceau AM)3.87%3.58%0.07%-0.32%-
FR0007038138AMUNDI EURO LIQUIDITY-RATED RESPONSIBLE IAMUNDI ASSET MANAGEMENT3.87%3.40%-0.00%-0.54%-0.39%
FR0013229432HSBC MONETAIRE ZHSBC GLOBAL ASSET MANAGEMENT (FRANCE)3.87%3.42%0.05%-0.53%-0.43%
FR0010979278CPR MONETAIRE ISR ICPR ASSET MANAGEMENT3.87%3.41%-0.01%-0.57%-0.38%
FR0010251660AMUNDI EURO LIQUIDITY SELECT IC-CAMUNDI ASSET MANAGEMENT3.87%3.40%-0.00%-0.54%-0.40%
FR0000009946CM-AM MONE PREMIUM RCCREDIT MUTUEL ASSET MANAGEMENT3.86%3.40%-0.03%-0.57%-0.41%
FR0013289022LA FRANCAISE TRESORERIE ISR T CCREDIT MUTUEL ASSET MANAGEMENT3.86%3.41%-0.10%-0.48%-0.17%
FR0000003964SG MONETAIRE PLUS ISOCIETE GENERALE GESTION3.86%3.41%0.00%-0.56%-0.40%
FR0010510479OFI INVEST ISR MONÉTAIRE CT DOFI INVEST ASSET MANAGEMENT3.86%3.35%-0.04%-0.56%-0.40%
FR0011463165BFT AUREUS ISR BFT INVESTMENT MANAGERS3.86%2.63%0.00%-0.52%-0.42%
FR0010599399BFT AUREUS ISR BFT INVESTMENT MANAGERS3.86%3.40%-0.01%-0.55%-0.44%
FR0000985558OFI INVEST ISR MONÉTAIRE CT COFI INVEST ASSET MANAGEMENT3.86%3.35%-0.04%-0.56%-0.40%
FR001400FJ16OSTRUM SRI MONEY NNATIXIS INVESTMENT MANAGERS INTERNATIONAL3.86%3.99%---
FR0010609115LA FRANCAISE TRESORERIE ISR ICREDIT MUTUEL ASSET MANAGEMENT3.86%3.42%-0.11%-0.49%-0.17%
FR0010956581AXA COURT TERME IAXA INVESTMENT MANAGERS PARIS3.86%3.41%-0.03%-0.56%-0.37%
FR0010885251OSTRUM SRI MONEY PLUS I(D)NATIXIS INVESTMENT MANAGERS INTERNATIONAL3.86%1.77%0.04%-0.49%-0.45%
FR0013230257OSTRUM SRI MONEY PLUS NNATIXIS INVESTMENT MANAGERS INTERNATIONAL3.86%3.45%1.26%-7.56%
FR0010885236OSTRUM SRI MONEY PLUS I(C)NATIXIS INVESTMENT MANAGERS INTERNATIONAL3.86%3.44%0.04%-0.49%-0.44%
FR0013268398BNP PARIBAS CASH INVEST I PlusBNP PARIBAS ASSET MANAGEMENT Europe3.86%3.44%0.05%-0.49%-0.35%
FR0014005U84AMUNDI EURO LIQUIDITY SELECT R1AMUNDI ASSET MANAGEMENT3.86%-99.03%45326.37%--
FR0010599431BNP PARIBAS CASH INVEST RBNP PARIBAS ASSET MANAGEMENT Europe3.85%3.44%0.05%-0.49%-0.28%
FR0013421716OFI INVEST MARCHE MONETAIRE VYV MARCHE MONETAIREOFI INVEST ASSET MANAGEMENT3.85%3.60%0.18%-0.26%-0.10%
FR0011361229LA FRANCAISE TRESORERIE ISR BCREDIT MUTUEL ASSET MANAGEMENT3.85%3.40%-0.12%-0.50%-0.19%
FR0010799007OSTRUM SRI MONEY 6M ENATIXIS INVESTMENT MANAGERS INTERNATIONAL3.85%3.51%-0.02%-0.46%-0.26%
FR0013278702GROUPAMA ENTREPRISES RCGROUPAMA ASSET MANAGEMENT3.85%3.37%0.04%-0.49%-0.27%
FR0013221181AMUNDI EURO LIQUIDITY-RATED RESPONSIBLE MAMUNDI ASSET MANAGEMENT3.85%3.37%-0.05%-0.60%-0.40%
FR0014004TR0AMUNDI EURO LIQUIDITY SELECT BDFAMUNDI ASSET MANAGEMENT3.85%1.15%-0.05%-1.02%-
FR0013221199AMUNDI EURO LIQUIDITY SELECT MAMUNDI ASSET MANAGEMENT3.84%3.38%-0.05%-0.60%-0.42%
FR0013352473EPARGNE ETHIQUE MONETAIRE BPRPECOFI INVESTISSEMENTS3.84%3.38%0.03%-0.53%-0.20%
FR0010894964OSTRUM SRI MONEY I (D)NATIXIS INVESTMENT MANAGERS INTERNATIONAL3.84%1.74%0.03%-0.53%-0.44%
FR0013358934OSTRUM SRI MONEY I 1NATIXIS INVESTMENT MANAGERS INTERNATIONAL3.84%3.39%0.02%-0.53%-0.44%
FR0007075122OSTRUM SRI MONEY I (C)NATIXIS INVESTMENT MANAGERS INTERNATIONAL3.84%3.39%0.03%-0.53%-0.44%
FR0010694125OFI INVEST ISR MONÉTAIRE CT FOFI INVEST ASSET MANAGEMENT3.84%3.43%-0.06%-0.58%-0.42%
FR0013400546CM-AM CASH ISR RC2CREDIT MUTUEL ASSET MANAGEMENT3.84%3.40%-0.07%-0.55%-0.44%
FR0011160563ECOFI CHOIX RESPONSABLE MONETAIRE ECOFI INVESTISSEMENTS3.84%3.40%0.05%-0.52%-0.21%
FR0013289402AMUNDI EURO LIQUIDITY-RATED RESPONSIBLE UAMUNDI ASSET MANAGEMENT3.84%3.37%-0.03%-0.56%-0.41%
FR0014000EH1BFT AUREUS ISR RBFT INVESTMENT MANAGERS3.84%3.40%-0.02%-0.47%-0.17%
FR0010337667BNP PARIBAS CASH INVEST Parts IBNP PARIBAS ASSET MANAGEMENT Europe3.84%3.42%-0.01%-0.55%-0.42%
FR0010738229OFI INVEST ISR MONÉTAIRE CT EOFI INVEST ASSET MANAGEMENT3.83%3.32%-0.07%-0.59%-0.43%
FR0013113214CANDRIAM MONETAIRE SICAV Action ICANDRIAM3.83%3.35%-0.04%-0.57%-0.39%
FR001400ID35OSTRUM SRI CASH PLUS NNATIXIS INVESTMENT MANAGERS INTERNATIONAL3.82%3.98%---
FR0013067808BFT FRANCE MONETAIRE COURT TERME ISR Action I2BFT INVESTMENT MANAGERS3.82%3.37%-0.00%-0.58%-0.47%
FR0050001108MULTIPAR MONETAIRE SOCIALEMENT RESPONSABLE REBNP PARIBAS ASSET MANAGEMENT Europe3.82%3.38%0.30%--0.80%
FR0013358942OSTRUM SRI MONEY R 1NATIXIS INVESTMENT MANAGERS INTERNATIONAL3.82%3.35%-0.01%-0.56%-0.47%
FR0013302122BNP PARIBAS SUSTAINABLE INVEST 3M PrivilegeBNP PARIBAS ASSET MANAGEMENT Europe3.82%3.37%-0.02%-0.55%-0.35%
FR0013297561AMUNDI EURO LIQUIDITY SELECT RAMUNDI ASSET MANAGEMENT3.81%3.36%-0.04%-0.59%-0.43%
FR0011408798AMUNDI EURO LIQUIDITY-RATED RESPONSIBLE EAMUNDI ASSET MANAGEMENT3.81%3.35%-0.07%-0.61%-0.44%
FR0010831693OSTRUM SRI CASH PLUS INATIXIS INVESTMENT MANAGERS INTERNATIONAL3.81%3.36%0.03%-0.53%-0.41%
FR0010611335PALATINE MONETAIRE COURT TERME IPALATINE ASSET MANAGEMENT3.81%3.46%0.16%-0.36%-0.11%
FR0011060870SWISS LIFE FUNDS (F) ESG SHORT TERM EURO ISWISS LIFE ASSET MANAGERS FRANCE3.81%3.32%-0.01%-0.55%-0.38%
FR0013440088Arkéa Support Court Terme ISCHELCHER PRINCE GESTION3.81%3.37%0.03%--
FR001400G5G3BNP PARIBAS MOIS ISR Privilege DBNP PARIBAS ASSET MANAGEMENT Europe3.81%3.67%---
FR0014001ES6BNP PARIBAS MOIS ISR PRIVILEGEBNP PARIBAS ASSET MANAGEMENT Europe3.81%3.36%0.01%-0.48%-
FR0007486634HSBC MONETAIRE HSBC GLOBAL ASSET MANAGEMENT (FRANCE)3.80%3.36%-0.01%-0.59%-0.49%
FR0010232298BFT FRANCE MONETAIRE COURT TERME ISR CBFT INVESTMENT MANAGERS3.80%3.35%-0.02%-0.59%-0.47%
FR0013016615AMUNDI EURO LIQUIDITY SHORT TERM RESPONSIBLE I2AMUNDI ASSET MANAGEMENT3.80%3.33%-0.04%-0.58%-0.38%
FR0010666578OFI INVEST MARCHE MONETAIRE Action IOFI INVEST ASSET MANAGEMENT3.80%3.55%0.14%-0.31%-0.17%
FR0010653618OFI INVEST MARCHE MONETAIRE Action XOFI INVEST ASSET MANAGEMENT3.80%3.55%0.14%-0.31%-0.17%
FR0013289386AMUNDI EURO LIQUIDITY-RATED RESPONSIBLE RAMUNDI ASSET MANAGEMENT3.80%3.34%-0.08%-0.62%-0.44%
FR0014002ZP5AXA COURT TERME BAXA INVESTMENT MANAGERS PARIS3.80%3.38%-0.03%-0.58%-
FR0010816421SG AMUNDI MONETAIRE ISR ISOCIETE GENERALE GESTION3.80%3.33%-0.08%-0.69%-0.49%
FR0000991390LA FRANCAISE TRESORERIE ISR ACREDIT MUTUEL ASSET MANAGEMENT3.79%3.36%-0.17%-0.55%-0.23%
FR0000288953AXA COURT TERME DAXA INVESTMENT MANAGERS PARIS3.79%3.38%-0.03%-0.56%-0.37%
FR0000288946AXA COURT TERME CAXA INVESTMENT MANAGERS PARIS3.79%3.38%-0.03%-0.56%-0.37%
FR00140010B8NATIXIS ES MONETAIRE A0VEGA INVESTMENT MANAGERS3.79%3.39%-0.01%-0.56%-
FR0010413583CPR CASH ICPR ASSET MANAGEMENT3.79%3.35%0.00%-0.59%-0.46%
FR0014005XL2AMUNDI EURO LIQUIDITY SHORT TERM RESPONSIBLE ZAMUNDI ASSET MANAGEMENT3.79%3.32%-0.05%-0.70%-
FR0013482312ERES SELECTION MONETAIRE AERES GESTION3.79%3.33%-0.06%-0.60%-0.43%
FR0000430969EPARGNE LIBRE CARREFOUR SOCIETE GENERALE GESTION3.79%3.27%-0.13%-0.67%-0.38%
FR0010017731ALLIANZ SECURICASH SRI I/CALLIANZ GLOBAL INVESTORS GMBH3.78%3.30%0.01%-0.58%-0.27%
FR0013106713ALLIANZ SECURICASH SRI W/CALLIANZ GLOBAL INVESTORS GMBH3.78%3.30%0.01%-0.58%-0.27%
FR0010696559HSBC SRI MONEY HSBC SRI Money PatriHSBC GLOBAL ASSET MANAGEMENT (FRANCE)3.78%3.32%-0.03%-0.64%-0.52%
FR0010619874HSBC SRI MONEY HSBC Money SELECTHSBC GLOBAL ASSET MANAGEMENT (FRANCE)3.78%3.35%0.02%-0.59%-0.46%
FR0010392951OSTRUM SRI CASH MNATIXIS INVESTMENT MANAGERS INTERNATIONAL3.78%3.37%0.07%-0.56%-0.29%
FR0013314234GROUPAMA TRESORERIE NCGROUPAMA ASSET MANAGEMENT3.78%3.26%0.13%--
FR0010529743OSTRUM SRI CASH INATIXIS INVESTMENT MANAGERS INTERNATIONAL3.78%3.36%0.07%-0.56%-0.29%
FR0007435920AMUNDI EURO LIQUIDITY SHORT TERM RESPONSIBLE IAMUNDI ASSET MANAGEMENT3.77%-95.06%-0.07%-0.60%-0.40%
FR0011031392EDMOND DE ROTHSCHILD CREDIT VERY SHORT TERM R EUREDMOND DE ROTHSCHILD ASSET MANAGEMENT (FRANCE)3.77%3.29%-0.07%-0.60%-0.39%
FR0012750461OSTRUM SRI CASH ZNATIXIS INVESTMENT MANAGERS INTERNATIONAL3.77%3.34%0.07%-0.56%-0.29%
FR0013188752OSTRUM SRI CASH Z2NATIXIS INVESTMENT MANAGERS INTERNATIONAL3.77%3.34%0.07%-0.56%-0.29%
FR001400NPP8ECOFI TRESORERIE RECOFI INVESTISSEMENTS3.77%----
FR0013287315PALATINE MONETAIRE COURT TERME RPALATINE ASSET MANAGEMENT3.77%3.43%0.12%-0.51%-0.26%
FR0010482042BNP PARIBAS MONE ETAT IBNP PARIBAS ASSET MANAGEMENT Europe3.77%3.31%-0.07%-0.63%-0.45%
FR0014000EG3BFT AUREUS ISR EBFT INVESTMENT MANAGERS3.77%2.58%-0.12%-0.92%-1.32%
FR0010731463OSTRUM SRI CASH A1P1 I-DNATIXIS INVESTMENT MANAGERS INTERNATIONAL3.77%3.28%-0.01%-0.61%-1.05%
FR0010322438OSTRUM SRI CASH A1P1 I-CNATIXIS INVESTMENT MANAGERS INTERNATIONAL3.76%3.28%-0.01%-0.60%-0.48%
FR0011034735OSTRUM SRI CASH A1P1 SopraneNATIXIS INVESTMENT MANAGERS INTERNATIONAL3.76%3.28%-0.01%-0.60%-0.48%
FR0007081278SIENNA MONETAIRE R-CSIENNA GESTION3.76%3.35%-0.17%-0.61%-0.41%
FR0010209916BNP PARIBAS SUSTAINABLE INVEST 3M E de Classe CBNP PARIBAS ASSET MANAGEMENT Europe3.76%3.35%-0.03%-0.56%-0.36%
FR0011210111AMUNDI EURO LIQUIDITY SHORT TERM RESPONSIBLE SAMUNDI ASSET MANAGEMENT3.76%3.28%-0.09%-0.62%-0.42%
FR001400ODL1SPIKO EU T-BILLS MONEY MARKET FUND TWENTY FIRST CAPITAL3.76%----
FR0010885210OSTRUM SRI MONEY PLUS RNATIXIS INVESTMENT MANAGERS INTERNATIONAL3.76%3.40%0.02%-0.50%-0.46%
FR0010446633LAZARD EURO SHORT TERM MONEY MARKET BLAZARD FRERES GESTION3.76%3.30%0.02%-0.49%-0.34%
FR0011291657LAZARD EURO SHORT TERM MONEY MARKET CLAZARD FRERES GESTION3.76%3.30%0.02%-0.49%-0.34%
FR001400G5F5BNP PARIBAS MOIS ISR EBNP PARIBAS ASSET MANAGEMENT Europe3.76%3.59%---
FR0013302148BNP PARIBAS CASH INVEST PrivilegeBNP PARIBAS ASSET MANAGEMENT Europe3.76%3.32%-0.03%-0.57%-0.44%
FR0010941815LAZARD EURO MONEY MARKET BLAZARD FRERES GESTION3.75%3.28%0.00%-0.50%-0.30%
FR0010693085GROUPAMA MONETAIRE NCGROUPAMA ASSET MANAGEMENT3.75%3.31%0.04%-0.45%-0.23%
FR0010785865ALLIANZ SECURICASH SRI R/CALLIANZ GLOBAL INVESTORS GMBH3.75%3.27%-0.02%--0.30%
FR0010745216CPR MONETAIRE ISR PCPR ASSET MANAGEMENT3.75%3.22%-0.18%-0.74%-0.54%
FR0010793026RMM COURT TERME KROTHSCHILD & CO ASSET MANAGEMENT3.75%3.28%-0.18%-0.62%-0.45%
FR0010117416ALLIANZ SECURITE ALLIANZ GLOBAL INVESTORS GMBH3.75%2.50%-0.43%-1.27%-1.04%
FR0010117341ALLIANZ SECURITE ALLIANZ GLOBAL INVESTORS GMBH3.75%3.28%0.03%-0.60%-0.23%
FR0013440112Arkéa Support Court Terme PSCHELCHER PRINCE GESTION3.74%3.30%-0.02%-0.55%-0.39%
FR0011630557AMUNDI EURO LIQUIDITY SELECT P-CAMUNDI ASSET MANAGEMENT3.74%3.12%-0.22%-0.77%-0.56%
FR0013298965OSTRUM SRI MONEY RENATIXIS INVESTMENT MANAGERS INTERNATIONAL3.74%3.34%-0.01%-0.55%-0.46%
FR0013299245OSTRUM SRI MONEY TNATIXIS INVESTMENT MANAGERS INTERNATIONAL3.74%3.34%-0.01%-0.56%-0.47%
FR0011563535OSTRUM SRI MONEY RNATIXIS INVESTMENT MANAGERS INTERNATIONAL3.74%3.35%0.01%-0.53%-0.44%
FR0011030816CPR CASH CPR Cash-Treso FluxCPR ASSET MANAGEMENT3.73%3.30%-0.04%-0.64%-0.50%
FR0012903268BFT AUREUS ISR PBFT INVESTMENT MANAGERS3.73%2.59%-0.22%-0.64%-0.09%
FR0012903250BFT AUREUS ISR PBFT INVESTMENT MANAGERS3.73%3.13%-0.22%-0.63%-0.09%
FR0013311461OSTRUM SRI CASH PLUS RDNATIXIS INVESTMENT MANAGERS INTERNATIONAL3.73%3.32%0.01%-0.55%-0.43%
FR0000293714OSTRUM SRI CASH PLUS RNATIXIS INVESTMENT MANAGERS INTERNATIONAL3.73%3.32%0.01%-0.54%-0.43%
FR0013311487OSTRUM SRI CASH PLUS TCNATIXIS INVESTMENT MANAGERS INTERNATIONAL3.73%3.32%0.01%-0.55%-0.43%
FR0000011884ALLIANZ MONETAIRE ALLIANZ GLOBAL INVESTORS GMBH3.73%3.23%0.02%-0.60%-0.31%
FR001400KPY6OFI INVEST ESG LIQUIDITES AOFI INVEST ASSET MANAGEMENT3.72%3.19%-0.16%--
FR0010288316GROUPAMA ENTREPRISES NCGROUPAMA ASSET MANAGEMENT3.72%3.26%-0.03%-0.56%-0.34%
FR0010672055EDMOND DE ROTHSCHILD CREDIT VERY SHORT TERM D EUREDMOND DE ROTHSCHILD ASSET MANAGEMENT (FRANCE)3.72%3.26%-0.09%-0.79%-0.73%
FR00140021X9AMUNDI EURO LIQUIDITY SHORT TERM RESPONSIBLE MAMUNDI ASSET MANAGEMENT3.72%3.25%-0.12%-0.62%-
FR0010027623EDMOND DE ROTHSCHILD CREDIT VERY SHORT TERM EDMOND DE ROTHSCHILD ASSET MANAGEMENT (FRANCE)3.72%3.26%-0.09%-0.62%-0.41%
FR0007498480LAZARD EURO SHORT TERM MONEY MARKET ALAZARD FRERES GESTION3.72%3.26%0.02%-0.49%-0.34%
FR0000291239CPR CASH PCPR ASSET MANAGEMENT3.72%3.24%-0.05%-0.64%-0.50%
FR0007496047BNP PARIBAS CASH INVEST ClassicBNP PARIBAS ASSET MANAGEMENT Europe3.72%3.29%-0.05%-0.59%-0.46%
FR0010693689AXA COURT TERME PAXA INVESTMENT MANAGERS PARIS3.71%3.33%-0.03%-0.56%-0.37%
FR0013087053ALLIANZ CASH FACILITY FUND R1ALLIANZ GLOBAL INVESTORS GMBH3.70%2.21%-0.73%-0.99%-0.73%
FR00140018S5VYV MARCHE MONETAIRE ASSUREURAMUNDI ASSET MANAGEMENT3.69%3.49%0.18%-0.06%-
FR0011258938DECISIEL ISR MONETAIRE TLBP AM3.69%3.25%-0.05%-0.63%-0.40%
FR0011164847DECISIEL ISR MONETAIRE GLBP AM3.69%3.25%-0.05%-0.63%-0.40%
FR001400MB64HSBC SRI MONEY VHSBC GLOBAL ASSET MANAGEMENT (FRANCE)3.68%----
FR0013275542HSBC SRI MONEY HSBC SRI Money TrésoHSBC GLOBAL ASSET MANAGEMENT (FRANCE)3.68%3.22%-0.13%-0.74%-0.62%
FR0010845065OSTRUM SRI CASH PLUS RENATIXIS INVESTMENT MANAGERS INTERNATIONAL3.67%3.31%0.02%-0.54%-0.43%
FR0011047513SG MONETAIRE PLUS ESOCIETE GENERALE GESTION3.67%3.23%-0.10%-0.67%-0.46%
FR0013106689CANDRIAM MONETAIRE SICAV Action ClassiqueCANDRIAM3.67%3.19%-0.10%-0.62%-0.44%
FR0013113206CANDRIAM MONETAIRE SICAV Action Classique DisCANDRIAM3.67%3.19%-0.30%-0.87%-0.49%
FR0013440153Arkéa Support Monétaire PSCHELCHER PRINCE GESTION3.67%3.28%-0.19%-0.66%-0.49%
FR0000299620BNP PARIBAS MONE ETAT PBNP PARIBAS ASSET MANAGEMENT Europe3.67%3.21%-0.07%-0.63%-0.45%
FR0011176635AMUNDI EURO LIQUIDITY SHORT TERM RESPONSIBLE EAMUNDI ASSET MANAGEMENT3.66%3.08%-0.20%-0.73%-0.49%
FR0011799915AMUNDI EURO LIQUIDITY SELECT E-CAMUNDI ASSET MANAGEMENT3.65%3.21%-0.12%-0.67%-0.46%
FR0011221936OSTRUM SRI CASH G1NATIXIS INVESTMENT MANAGERS INTERNATIONAL3.65%3.35%0.09%-0.54%-0.27%
FR0011375567GROUPAMA TRESORERIE IDGROUPAMA ASSET MANAGEMENT3.65%0.52%-0.04%-0.47%-0.25%
FR0013312915RMM COURT TERME IC2ROTHSCHILD & CO ASSET MANAGEMENT3.65%3.17%-0.20%-0.62%-0.45%
FR0007493549AMUNDI EURO LIQUIDITY SHORT TERM GOVIES IAMUNDI ASSET MANAGEMENT3.64%3.11%-0.24%-0.75%-0.66%
FR001400NUH5AXA COURT TERME VAXA INVESTMENT MANAGERS PARIS3.64%----
FR0013530391NATIXIS ES MONETAIRE A4VEGA INVESTMENT MANAGERS3.64%3.24%-0.16%-0.72%-
FR0010423228SG AMUNDI MONETAIRE ISR ESOCIETE GENERALE GESTION3.64%3.17%-0.15%-0.75%-0.53%
FR0010540385SWISS LIFE FUNDS (F) ESG MONEY MARKET EURO PSWISS LIFE ASSET MANAGERS FRANCE3.63%3.30%-0.06%-0.63%-0.47%
FR001400FDJ3BFT FRANCE MONETAIRE COURT TERME ISR PBFT INVESTMENT MANAGERS3.63%3.65%---
FR0010622639OSTRUM SRI CASH PNATIXIS INVESTMENT MANAGERS INTERNATIONAL3.62%3.31%0.04%-0.58%-0.33%
FR0010579805OSTRUM SRI CASH TNATIXIS INVESTMENT MANAGERS INTERNATIONAL3.62%3.31%0.04%-0.57%-0.32%
FR0011176627AMUNDI EURO LIQUIDITY SHORT TERM RESPONSIBLE PAMUNDI ASSET MANAGEMENT3.62%2.98%-0.30%-0.83%-0.55%
FR0010622514OSTRUM SRI CASH CNATIXIS INVESTMENT MANAGERS INTERNATIONAL3.62%3.31%0.04%-0.57%-0.33%
FR0010622480OSTRUM SRI CASH DNATIXIS INVESTMENT MANAGERS INTERNATIONAL3.61%3.31%0.04%-0.58%-0.33%
FR0010492728OSTRUM SRI CASH ENATIXIS INVESTMENT MANAGERS INTERNATIONAL3.61%3.31%0.04%-0.58%-0.32%
FR001400HDS0OSTRUM SRI CASH NNATIXIS INVESTMENT MANAGERS INTERNATIONAL3.61%3.67%---
FR001400I418BNP PARIBAS SUSTAINABLE INVEST 3M Classic de classe CBNP PARIBAS ASSET MANAGEMENT Europe3.61%3.68%---
FR001400R6K0OSTRUM SRI MONEY PLUS SINATIXIS INVESTMENT MANAGERS INTERNATIONAL3.61%----
FR001400G5I9BNP PARIBAS MOIS ISR CT1BNP PARIBAS ASSET MANAGEMENT Europe3.60%3.43%---
FR001400G5J7BNP PARIBAS MOIS ISR CT2BNP PARIBAS ASSET MANAGEMENT Europe3.60%3.44%---
FR0011482694BNP PARIBAS MOIS ISR DBNP PARIBAS ASSET MANAGEMENT Europe3.60%3.18%-0.03%-0.57%-0.41%
FR0011482686BNP PARIBAS MOIS ISR CBNP PARIBAS ASSET MANAGEMENT Europe3.60%3.18%-0.03%-0.57%-0.41%
FR0007442496RMM COURT TERME CROTHSCHILD & CO ASSET MANAGEMENT3.59%3.12%-0.21%-0.62%-0.45%
FR001400JH22GROUPAMA TRESORERIE E1CGROUPAMA ASSET MANAGEMENT3.59%3.86%---
FR001400LJ75MONEFLOR CFLORNOY FERRI3.59%----
FR0010914978GROUPAMA ENTREPRISES IDGROUPAMA ASSET MANAGEMENT3.58%0.33%0.05%-0.49%-0.27%
FR001400FDO3BFT FRANCE MONETAIRE COURT TERME ISR EBFT INVESTMENT MANAGERS3.57%3.92%---
FR0014003FX9SWISS LIFE FUNDS (F) ESG SHORT TERM EURO P6SWISS LIFE ASSET MANAGERS FRANCE3.57%3.19%-0.14%4.39%-
FR0013301611SWISS LIFE FUNDS (F) ESG SHORT TERM EURO P4SWISS LIFE ASSET MANAGERS FRANCE3.57%3.20%-0.14%-0.59%0.40%
FR0011362094SG MONETAIRE PLUS PSOCIETE GENERALE GESTION3.57%3.14%-0.20%-0.76%-0.53%
FR0013301637SWISS LIFE FUNDS (F) ESG SHORT TERM EURO P5SWISS LIFE ASSET MANAGERS FRANCE3.57%3.19%-0.14%40.97%1.15%
FR0010263244LAZARD EURO MONEY MARKET ALAZARD FRERES GESTION3.57%3.18%-0.04%-0.54%-0.34%
FR001400R6M6OSTRUM SRI CASH PLUS SINATIXIS INVESTMENT MANAGERS INTERNATIONAL3.56%----
FR0013301603SWISS LIFE FUNDS (F) ESG SHORT TERM EURO P3SWISS LIFE ASSET MANAGERS FRANCE3.56%3.14%-0.19%0.90%-0.52%
FR0013301652SWISS LIFE FUNDS (F) ESG SHORT TERM EURO P2SWISS LIFE ASSET MANAGERS FRANCE3.56%3.14%-0.19%-0.73%-0.53%
FR0013301629SWISS LIFE FUNDS (F) ESG SHORT TERM EURO P1SWISS LIFE ASSET MANAGERS FRANCE3.56%3.14%-0.19%-0.73%-0.53%
FR001400LJ91OSTRUM SRI MONEY 6M RNATIXIS INVESTMENT MANAGERS INTERNATIONAL3.56%----
FR001400G5D0BNP PARIBAS CASH INVEST Classic CapBNP PARIBAS ASSET MANAGEMENT Europe3.56%3.41%---
FR0011408764AMUNDI EURO LIQUIDITY-RATED RESPONSIBLE PAMUNDI ASSET MANAGEMENT3.55%3.10%-0.22%-0.77%-0.56%
FR001400HDP6OSTRUM SRI CASH RNATIXIS INVESTMENT MANAGERS INTERNATIONAL3.54%3.67%---
FR0014005U76AMUNDI EURO LIQUIDITY SHORT TERM RESPONSIBLE SGAMUNDI ASSET MANAGEMENT3.54%3.08%-0.19%-0.83%-
FR0013296928AMUNDI EURO LIQUIDITY SHORT TERM RESPONSIBLE LCL-PEAMUNDI ASSET MANAGEMENT3.54%3.07%-0.26%-0.80%-0.54%
FR001400I5B2DELUBAC MONETAIRE IDELUBAC ASSET MANAGEMENT3.52%3.64%---
FR0014005WI0SG AMUNDI MONETAIRE ISR SGSOCIETE GENERALE GESTION3.52%3.06%-0.18%-0.57%-
FR0011360684SG AMUNDI MONETAIRE ISR PSOCIETE GENERALE GESTION3.52%3.06%-0.25%-0.85%-0.59%
FR001400F8C7SG AMUNDI MONETAIRE ISR GSM (C)SOCIETE GENERALE GESTION3.50%----
FR0010702530HSBC SRI MONEY BDHSBC GLOBAL ASSET MANAGEMENT (FRANCE)3.49%----0.46%
FR0011365204COVÉA SÉCURITÉ Action A(C)COVEA FINANCE3.49%3.07%-0.24%-0.59%-0.39%
FR0000931412COVÉA SÉCURITÉ Action GCOVEA FINANCE3.49%3.07%-0.24%-0.59%-0.39%
FR001400KAE0AMUNDI EURO LIQUIDITY SHORT TERM GOVIES RAMUNDI ASSET MANAGEMENT3.48%----
FR0007451406MEDI MONETAIRE AMUNDI ASSET MANAGEMENT3.47%3.16%-0.06%-0.68%-0.50%
FR0007455415MEDI MONETAIRE AMUNDI ASSET MANAGEMENT3.47%3.16%-0.06%-0.68%-0.50%
FR0011279827BNP PARIBAS MONE ETAT ABNP PARIBAS ASSET MANAGEMENT Europe3.47%3.04%-0.08%-0.62%-0.45%
FR0013296902AMUNDI EURO LIQUIDITY SHORT TERM RESPONSIBLE LCL-PAMUNDI ASSET MANAGEMENT3.45%2.97%-0.32%-0.85%-0.58%
FR0013327079AMUNDI EURO LIQUIDITY SHORT TERM GOVIES SGAMUNDI ASSET MANAGEMENT3.43%2.91%-0.27%-0.78%-0.69%
FR0011399633AMUNDI EURO LIQUIDITY SHORT TERM GOVIES EAMUNDI ASSET MANAGEMENT3.43%2.91%-0.27%-0.78%-0.69%
FR001400NUK9CLUB MONETAIRE RESPONSABLE Y OFI INVEST ASSET MANAGEMENT3.42%----
FR0010968693RMM COURT TERME FROTHSCHILD & CO ASSET MANAGEMENT3.39%2.98%-0.22%-0.62%-0.45%
FR0013275567HSBC SRI MONEY HSBC SRI Money PatriHSBC GLOBAL ASSET MANAGEMENT (FRANCE)3.37%3.06%-0.13%-0.74%-0.62%
FR0013275559HSBC SRI MONEY hsbcmoney patrimoineHSBC GLOBAL ASSET MANAGEMENT (FRANCE)3.37%3.06%-0.13%-0.74%-0.62%
FR0010696534HSBC SRI MONEY HSBC SRI Money EscalHSBC GLOBAL ASSET MANAGEMENT (FRANCE)3.37%3.06%-0.13%-0.74%-0.62%
FR001400I5C0DELUBAC MONETAIRE PDELUBAC ASSET MANAGEMENT3.26%3.60%---
FR001400LQX4PALATINE MONETAIRE COURT TERME FPALATINE ASSET MANAGEMENT3.23%----
FR0013480258AMUNDI EURO LIQUIDITY SHORT TERM GOVIES R1AMUNDI ASSET MANAGEMENT3.06%----
FR0011964725COMPARTIMENT ALLIANZ EPARGNE MONETAIRE ISR ALLIANZ EPARGNE MONETAIRE ISRALLIANZ GLOBAL INVESTORS GMBH2.62%2.93%-0.07%-0.62%-
FR001400GTR0BNP PARIBAS SUSTAINABLE INVEST 3M Privilege DBNP PARIBAS ASSET MANAGEMENT Europe2.05%3.86%---
FR0010413997RMM COURT TERME DROTHSCHILD & CO ASSET MANAGEMENT1.95%3.12%-0.21%-0.62%-0.45%
FR0011383520BNP PARIBAS SUSTAINABLE INVEST 3M XBNP PARIBAS ASSET MANAGEMENT Europe1.88%3.51%0.04%-0.48%-0.28%
FR0011383546BNP PARIBAS SUSTAINABLE INVEST 3M IBNP PARIBAS ASSET MANAGEMENT Europe1.87%3.29%-0.01%-0.54%-0.34%
FR0011383538BNP PARIBAS SUSTAINABLE INVEST 3M E de Classe DBNP PARIBAS ASSET MANAGEMENT Europe1.87%3.20%-0.03%-0.56%-0.36%
FR0000447831AXA TRESOR COURT TERME DAXA INVESTMENT MANAGERS PARIS1.82%3.42%-0.03%-0.58%-0.45%
FR0011021567BNP PARIBAS MONEY 3M IDBNP PARIBAS ASSET MANAGEMENT Europe1.77%3.47%0.01%-0.53%-0.32%
FR0013349578CM-AM MONETAIRE CT RDCREDIT MUTUEL ASSET MANAGEMENT0.91%2.44%0.07%-0.53%-0.36%
FR0010948190CM-AM CASH ISR IDCREDIT MUTUEL ASSET MANAGEMENT0.87%2.88%0.02%-0.52%-0.30%
FR0013153772GROUPAMA MONETAIRE IDGROUPAMA ASSET MANAGEMENT0.68%3.20%0.12%-0.40%-0.22%
296 résultats trouvés

Bienvenue sur le comparateur de fonds monétaire Vemos

Consultez des informations détaillées et affinez votre recherche en fonction de la société de gestion, des valeur liquidative ou des performances des fonds monétaires enregistrés auprès de l'AMF.

Grâce à notre classement, identifiez les SICAV et OPCVM monétaires commercialisés en France les plus performants du marché et consultez le palmarès 2024 des fonds monétaires offrant les meilleurs rendements.

Notre base de données comporte l'intégralité des OPCVM de droit français (court terme et standard).

Sélectionnez un ISIN ou affinez votre recherche en fonction de la société de gestion ou de la valeur liquidative. Triez les résultats en fonction des performances des fonds monétaires enregistrés auprès de l'AMF et exportez la data souhaitée sous format CSV ou Excel.

Accédez à des données financières comparables à celles de Boursorama, Quantalys, Morningstar, ABC Bourse ou Yahoo Finance.

Pour aller plus loin, connectez-vous à CashPilot et évaluez la performance de votre trésorerie en la comparant aux données du marché.

Vemos est Conseiller en Investissements Financiers (CIF), immatriculé à l'Orias, organisme de tutelle placé sous l'autorité de la direction générale du trésor et membre de l'association nationale des conseillers financiers (ANACOFI), agréée par l'Autorité des Marchés Financiers (AMF).