Clartan Valeurs C

Investment Fund – Clartan Associés – NAV History & Analysis

Morningstar
215.02 EUR
NAV as of 18/03/2026

Clartan Valeurs C

215.02 EUR
Clartan Associés
NAV history of Clartan Valeurs C
NAV history of Clartan Valeurs C

Performance & Momentum

6 Months 9.90 %
1 Year 11.46 %
3 Years 56.12 %
5 Years 58.23 %
Risk (SRRI)
4/7
Management fee
0.018%
PEA eligible
No
Last update
18/03/2026

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