| Performances Brutes de tous frais et Volatilités: |
 |
|
|
|
Nom de l'OPCVM
Indice de reference |
Code ISIN |
Performances |
Volatilités |
Devise |
| au 31/07/2010 |
sur 3 ans |
| Fonds |
Indice |
Fonds |
Indice |
 |
| Gestion Active - Profilée |
|
SSgA Balanced Profile Fund
|
| [P] Tous investisseurs (EUR) |
FR0000027377 |
1,91% |
1,89% |
n.c. |
n.c. |
EUR |
SSgA Dynamic Profile Fund
|
| [P] Tous investisseurs (EUR) |
FR0000988404 |
2,85% |
2,74% |
n.c. |
n.c. |
EUR |
SSgA Regular Profile Fund
|
| [P] Tous investisseurs (EUR) |
FR0000988479 |
1,32% |
1,20% |
n.c. |
n.c. |
EUR |
| Gestion Active - Actions Marchés Développés |
|
SSgA EMU Alpha Equity Fund I
|
| [P] Tous investisseurs - [D] Distribution (EUR) |
FR0000026577 |
5,52% |
6,28% |
23,67% |
22,80% |
EUR |
| [P] Tous investisseurs - [C] Capitalisation (EUR) |
FR0000026585 |
5,39% |
6,28% |
23,68% |
22,80% |
EUR |
SSgA EMU Midcap Alpha Equity Fund
|
| [P] Tous investisseurs - [C] Capitalisation (EUR) |
FR0000027088 |
4,75% |
5,18% |
23,19% |
25,05% |
EUR |
| [P] Tous investisseurs - [D] Distribution (EUR) |
FR0000027104 |
4,75% |
5,18% |
23,19% |
25,05% |
EUR |
SSgA Europe Alpha Equity Fund I
|
| [P] Tous investisseurs (EUR) |
FR0000027369 |
5,36% |
4,97% |
21,71% |
20,36% |
EUR |
SSgA Europe Midcap Alpha Equity Fund
|
| [P] Tous investisseurs (EUR) |
FR0000988438 |
5,94% |
4,44% |
23,80% |
24,21% |
EUR |
SSgA Japan Alpha Equity Fund
|
| [P] Tous investisseurs (EUR) |
FR0000027294 |
-2,40% |
-2,63% |
16,80% |
16,06% |
EUR |
SSgA Japan Topix Alpha Equity Fund I
|
| [P] Tous investisseurs (JPY) |
FR0010334441 |
-2,99% |
-3,06% |
23,24% |
22,38% |
EUR |
SSgA US Alpha Equity Fund I
|
| [P] Tous investisseurs (EUR) |
FR0000027120 |
-0,64% |
0,56% |
18,11% |
17,86% |
EUR |
| [P] Tous investisseurs (USD) |
FR0010457184 |
-0,66% |
0,56% |
20,17% |
20,63% |
EUR |
| Gestion Active - Actions Marchés Emergents |
|
SSgA Emerging Asia Alpha Equity Fund I
|
| [P] Tous investisseurs (USD) |
FR0010489625 |
-0,96% |
-0,84% |
32,06% |
32,48% |
EUR |
| [P] Tous investisseurs (EUR) |
FR0000027146 |
-0,95% |
-0,84% |
26,89% |
27,13% |
EUR |
SSgA Emerging Europe Alpha Equity Fund I
|
| [P] Tous investisseurs (USD) |
FR0010489864 |
8,19% |
8,27% |
n.c. |
n.c. |
EUR |
| [P] Tous investisseurs (EUR) |
FR0000988487 |
8,24% |
8,27% |
33,69% |
34,60% |
EUR |
SSgA Emerging Latin America Alpha Equity Fund I
|
| [P] Tous investisseurs (USD) |
FR0010489633 |
5,26% |
5,23% |
34,74% |
35,20% |
EUR |
| [P] Tous investisseurs (EUR) |
FR0000027112 |
5,27% |
5,23% |
29,35% |
29,75% |
EUR |
SSgA Global Emerging Markets Alpha Equity Fund I
|
| [P] Tous investisseurs (USD) |
FR0010489724 |
2,48% |
1,85% |
33,67% |
32,80% |
EUR |
| [P] Tous investisseurs (EUR) |
FR0000027252 |
2,49% |
1,85% |
28,15% |
26,80% |
EUR |
| Gestion Active - Obligations |
|
SSgA Active World Bond Fund
|
| [P] Tous investisseurs (EUR) |
FR0000027138 |
-2,53% |
-2,55% |
8,94% |
8,94% |
EUR |
| Gestion Active - SRI |
|
SSgA Europe SRI Alpha Equity Fund I
|
| [P] Tous investisseurs (EUR) |
FR0010316802 |
5,02% |
4,97% |
21,43% |
20,36% |
EUR |
| [I] Institutionnels (EUR) |
FR0010168872 |
5,02% |
4,97% |
21,43% |
20,36% |
EUR |
| Gestion Active - Edge |
|
SSgA Japan Alpha Edge Equity Fund I
|
| [P] Tous investisseurs (JPY) |
FR0010489971 |
-2,80% |
-2,94% |
n.c. |
n.c. |
EUR |
| Gestion Enhanced |
|
SSgA Europe Enhanced Equity Fund
|
| [P] Tous investisseurs (EUR) |
FR0000986747 |
5,19% |
4,97% |
20,39% |
20,36% |
EUR |
SSgA North America Enhanced Equity Fund
|
| [P] Tous investisseurs (USD) |
FR0000986739 |
0,60% |
0,57% |
21,18% |
21,17% |
EUR |
SSgA Pacific Enhanced Equity Fund
|
| [P] Tous investisseurs (JPY) |
FR0000988750 |
-0,73% |
-0,43% |
26,29% |
26,08% |
EUR |
|