Les meilleurs Fonds obligataires

Afin de sélectionner des fonds peu volatiles avec une performance meilleures que les fonds euros au risque limité j'ai appliqué les filtres suivants:

J'ai gardé un maximum de dix fonds par contrats.


Filtre effectué le 08/12/2025
Linxea Avenir
Fonds Catégorie Performance
1 Mois
Performance
3 Mois
Performance
6 Mois
OMNIBOND R
FR0011147594
Obligations EUR Flexibles +0.6% +1.29% +3.02%
SCHELCHER EURO HIGH YIELD P
FR0010560037
Obligations EUR Haut Rendement +0.51% +0.62% +2.07%
SCHRODER INT SELECT FUND GLOBAL CREDIT INCOME A ACCUMULATION EUR HEDGED
LU1514167722
Obligations Internationales Flexibles Couvertes en EUR +0.35% +0.42% +3.01%
SYCOYIELD 2030 RC
FR001400MCQ6
Obligations à échéance +0.35% +1.11% +2.42%
CARMIGNAC PORTFOLIO CREDIT A EUR ACC
LU1623762843
Obligations EUR Flexibles +0.29% +1.17% +3.44%
CARMIGNAC CREDIT 2029 A EUR ACC
FR001400KAV4
Obligations à échéance +0.29% +1.04% +2.9%
ALLIANZ EURO HIGH YIELD RC
FR0010032326
Obligations EUR Haut Rendement +0.22% +0.76% +2.43%
IVO FUNDS - IVO EMERGING MARKETS CORPORATE DEBT EUR R ACC
LU1165644672
Obligations Marchés Emergents Emprunts Privés Couvertes en EUR +0.19% +0.99% +5.26%
SCHELCHER GLOBAL YIELD 2028 P
FR001400EZY8
Obligations à échéance +0.16% +0.35% +2.31%
IVO 2028 R
FR001400BJT8
Obligations à échéance +0.08% +0.52% +2.61%
Linxea Spirit
Fonds Catégorie Performance
1 Mois
Performance
3 Mois
Performance
6 Mois
SYCOYIELD 2030 RC
FR001400MCQ6
Obligations à échéance +0.35% +1.11% +2.42%
CARMIGNAC PORTFOLIO CREDIT A EUR ACC
LU1623762843
Obligations EUR Flexibles +0.29% +1.17% +3.44%
CARMIGNAC CREDIT 2029 A EUR ACC
FR001400KAV4
Obligations à échéance +0.29% +1.04% +2.9%
ALLIANZ EURO HIGH YIELD RC
FR0010032326
Obligations EUR Haut Rendement +0.22% +0.76% +2.43%
IVO FUNDS - IVO EMERGING MARKETS CORPORATE DEBT EUR R ACC
LU1165644672
Obligations Marchés Emergents Emprunts Privés Couvertes en EUR +0.19% +0.99% +5.26%
IVO 2028 R
FR001400BJT8
Obligations à échéance +0.08% +0.52% +2.61%
ALTAUX SELECTION I
FR001400NXB2
Obligations EUR Flexibles +0.08% +1.11% +2.58%
DNCA INVEST ALPHA BONDS A EUR
LU1694789451
Obligations Internationales Flexibles -0.07% +1.07% +2.32%
Linxea Zen
Fonds Catégorie Performance
1 Mois
Performance
3 Mois
Performance
6 Mois
M&G (LUX) EMERGING MARKETS BOND FUND EUR A-H ACC
LU1670631289
Obligations Marchés Emergents Dominante EUR +1.23% +2.77% +6.78%
OMNIBOND R
FR0011147594
Obligations EUR Flexibles +0.6% +1.29% +3.02%
TIKEHAU EUROPEAN HIGH YIELD UNITS CLASS-R-ACC-EUR
FR0010460493
Obligations EUR Haut Rendement +0.37% +0.59% +2.19%
SYCOYIELD 2030 RC
FR001400MCQ6
Obligations à échéance +0.35% +1.11% +2.42%
CARMIGNAC PORTFOLIO CREDIT A EUR ACC
LU1623762843
Obligations EUR Flexibles +0.29% +1.17% +3.44%
ALLIANZ EURO HIGH YIELD RC
FR0010032326
Obligations EUR Haut Rendement +0.22% +0.76% +2.43%
IVO IG 2030 R
FR001400SJA2
Obligations à échéance +0.16% +0.89% +3.37%
ALTAUX SELECTION I
FR001400NXB2
Obligations EUR Flexibles +0.08% +1.11% +2.58%
AXIOM OBLIGATAIRE RC EUR(V)
LU1876460905
Obligations EUR Subordonnées -0.06% +0.93% +2.91%
DNCA INVEST ALPHA BONDS B EUR
LU1694789535
Obligations Internationales Flexibles -0.09% +1.02% +2.23%
Lucya Cardif
Fonds Catégorie Performance
1 Mois
Performance
3 Mois
Performance
6 Mois
MORGAN STANLEY INVESTMENT FUNDS - EMERGING MARKETS DEBT OPPORTUNITIES FUND A
LU2630425226
Obligations Marchés Emergents +1.87% +4.39% +8.46%
M&G (LUX) EMERGING MARKETS BOND FUND EUR A-H ACC
LU1670631289
Obligations Marchés Emergents Dominante EUR +1.23% +2.77% +6.78%
FTGF BRANDYWINE GLOBAL INCOME OPTIMISER FUND CLASS A US$ ACCUMULATING
IE00BBT3JP45
Obligations Internationales Flexibles +0.99% +1.19% +5.57%
LO FUNDS - FALLEN ANGELS RECOVERY SYST. MULTI CCY HDG, (EUR) PA
LU2346313575
Obligations Internationales Haut Rendement Couvertes en EUR +0.85% +1.14% +4.1%
PICTET - GLOBAL HIGH YIELD HP EUR
LU0448623875
Obligations Internationales Haut Rendement Couvertes en EUR +0.82% +1.04% +4.0%
GEMBOND R
FR00140059X9
Obligations Marchés Emergents Dominante EUR +0.72% +2.87% +7.42%
CARMIGNAC PORTFOLIO EM DEBT A EUR ACC
LU1623763221
Obligations Marchés Emergents +0.67% +3.18% +5.68%
OMNIBOND R
FR0011147594
Obligations EUR Flexibles +0.6% +1.29% +3.02%
SCHELCHER EURO HIGH YIELD P
FR0010560037
Obligations EUR Haut Rendement +0.51% +0.62% +2.07%
LA FRANCAISE CREDIT INNOVATION RC EUR
FR0014008UN8
Obligations Internationales Haut Rendement Couvertes en EUR +0.48% +0.77% +2.36%
Digital Vie
Fonds Catégorie Performance
1 Mois
Performance
3 Mois
Performance
6 Mois
M&G (LUX) EMERGING MARKETS BOND FUND EUR A-H ACC
LU1670631289
Obligations Marchés Emergents Dominante EUR +1.23% +2.77% +6.78%
SYCOYIELD 2030 RC
FR001400MCQ6
Obligations à échéance +0.35% +1.11% +2.42%
CARMIGNAC CREDIT 2029 A EUR ACC
FR001400KAV4
Obligations à échéance +0.29% +1.04% +2.9%
LAZARD CREDIT FI SRI RVC EUR
FR0010752543
Obligations EUR Subordonnées +0.17% +1.14% +3.48%
DNCA INVEST CREDIT CONVICTION CLASS B SHARES EUR
LU0392098371
Obligations EUR Flexibles -0.08% +0.96% +2.39%
DNCA INVEST ALPHA BONDS B EUR
LU1694789535
Obligations Internationales Flexibles -0.09% +1.02% +2.23%
Placement Direct Vie
Fonds Catégorie Performance
1 Mois
Performance
3 Mois
Performance
6 Mois
FTGF BRANDYWINE GLOBAL INCOME OPTIMISER FUND CLASS A US$ ACCUMULATING
IE00BBT3JP45
Obligations Internationales Flexibles +0.99% +1.19% +5.57%
GEMBOND R
FR00140059X9
Obligations Marchés Emergents Dominante EUR +0.72% +2.87% +7.42%
CARMIGNAC PORTFOLIO EM DEBT A EUR ACC
LU1623763221
Obligations Marchés Emergents +0.67% +3.18% +5.68%
OMNIBOND R
FR0011147594
Obligations EUR Flexibles +0.6% +1.29% +3.02%
SCHELCHER EURO HIGH YIELD P
FR0010560037
Obligations EUR Haut Rendement +0.51% +0.62% +2.07%
LA FRANCAISE CREDIT INNOVATION RC EUR
FR0014008UN8
Obligations Internationales Haut Rendement Couvertes en EUR +0.48% +0.77% +2.36%
LAZARD EURO CORP HIGH YIELD PVC EUR
FR0010505313
Obligations EUR Haut Rendement +0.47% +1.08% +2.66%
LA FRANCAISE RENDEMENT GLOBAL 2028 PLUS RC EUR
FR0013439817
Obligations à échéance +0.43% +1.58% +3.89%
R-CO TARGET 2029 HY F EUR
FR001400SE99
Obligations à échéance +0.43% +0.89% +2.21%
TIKEHAU EUROPEAN HIGH YIELD UNITS CLASS-R-ACC-EUR
FR0010460493
Obligations EUR Haut Rendement +0.37% +0.59% +2.19%
Linxea Vie
Fonds Catégorie Performance
1 Mois
Performance
3 Mois
Performance
6 Mois
SCHELCHER EURO HIGH YIELD P
FR0010560037
Obligations EUR Haut Rendement +0.51% +0.62% +2.07%
LAZARD EURO CORP HIGH YIELD PVC EUR
FR0010505313
Obligations EUR Haut Rendement +0.47% +1.08% +2.66%
TIKEHAU EUROPEAN HIGH YIELD UNITS CLASS-R-ACC-EUR
FR0010460493
Obligations EUR Haut Rendement +0.37% +0.59% +2.19%
SYCOYIELD 2030 RC
FR001400MCQ6
Obligations à échéance +0.35% +1.11% +2.42%
AMUNDI EURO HIGH YIELD BOND A EUR (C)
LU0119110723
Obligations EUR Haut Rendement +0.32% +0.88% +2.44%
CARMIGNAC PORTFOLIO CREDIT A EUR ACC
LU1623762843
Obligations EUR Flexibles +0.29% +1.17% +3.44%
CARMIGNAC CREDIT 2029 A EUR ACC
FR001400KAV4
Obligations à échéance +0.29% +1.04% +2.9%
ALLIANZ EURO HIGH YIELD RC
FR0010032326
Obligations EUR Haut Rendement +0.22% +0.76% +2.43%
IVO FUNDS - IVO EMERGING MARKETS CORPORATE DEBT EUR R ACC
LU1165644672
Obligations Marchés Emergents Emprunts Privés Couvertes en EUR +0.19% +0.99% +5.26%
IVO IG 2030 R
FR001400SJA2
Obligations à échéance +0.16% +0.89% +3.37%
Fortuneo Vie
Fonds Catégorie Performance
1 Mois
Performance
3 Mois
Performance
6 Mois
SCHELCHER EURO HIGH YIELD P
FR0010560037
Obligations EUR Haut Rendement +0.51% +0.62% +2.07%
ALLIANZ EURO HIGH YIELD RC
FR0010032326
Obligations EUR Haut Rendement +0.22% +0.76% +2.43%
SCHELCHER GLOBAL YIELD 2028 P
FR001400EZY8
Obligations à échéance +0.16% +0.35% +2.31%
EDR FD - EURO HIGH YIELD A EUR
LU1160363633
Obligations EUR Haut Rendement +0.09% +0.5% +2.19%
DPAM L - BONDS HIGHER YIELD B
LU0138645519
Obligations EUR Haut Rendement -0.01% +1.6% +2.87%
DNCA INVEST CREDIT CONVICTION CLASS B SHARES EUR
LU0392098371
Obligations EUR Flexibles -0.08% +0.96% +2.39%
DNCA INVEST ALPHA BONDS B EUR
LU1694789535
Obligations Internationales Flexibles -0.09% +1.02% +2.23%
Boursorama Vie
Fonds Catégorie Performance
1 Mois
Performance
3 Mois
Performance
6 Mois
SCHELCHER EURO HIGH YIELD P
FR0010560037
Obligations EUR Haut Rendement +0.51% +0.62% +2.07%
LAZARD EURO CORP HIGH YIELD PVC EUR
FR0010505313
Obligations EUR Haut Rendement +0.47% +1.08% +2.66%
CANDRIAM BONDS GLOBAL HIGH YIELD CLASS C EUR CAP
LU0170291933
Obligations Internationales Haut Rendement Couvertes en EUR +0.47% +0.81% +2.97%
NORDEA 1 - EUROPEAN HIGH YIELD BOND FUND BP EUR
LU0141799501
Obligations EUR Haut Rendement +0.4% +1.13% +2.9%
TIKEHAU EUROPEAN HIGH YIELD UNITS CLASS-R-ACC-EUR
FR0010460493
Obligations EUR Haut Rendement +0.37% +0.59% +2.19%
SYCOYIELD 2030 RC
FR001400MCQ6
Obligations à échéance +0.35% +1.11% +2.42%
AMUNDI EURO HIGH YIELD BOND A EUR (C)
LU0119110723
Obligations EUR Haut Rendement +0.32% +0.88% +2.44%
AMUNDI EURO SUBORDINATED BOND RESPONSIBLE A2 EUR (C)
LU1328849358
Obligations EUR Subordonnées +0.27% +1.67% +4.72%
ODDO BHF EURO HIGH YIELD BOND CR
LU0115290974
Obligations EUR Haut Rendement +0.25% +1.0% +2.22%
ALLIANZ EURO HIGH YIELD RC
FR0010032326
Obligations EUR Haut Rendement +0.22% +0.76% +2.43%
Linxea Evolution
Fonds Catégorie Performance
1 Mois
Performance
3 Mois
Performance
6 Mois
OMNIBOND R
FR0011147594
Obligations EUR Flexibles +0.6% +1.29% +3.02%
SCHELCHER EURO HIGH YIELD P
FR0010560037
Obligations EUR Haut Rendement +0.51% +0.62% +2.07%
SCHRODER INT SELECT FUND GLOBAL CREDIT INCOME A ACCUMULATION EUR HEDGED
LU1514167722
Obligations Internationales Flexibles Couvertes en EUR +0.35% +0.42% +3.01%
SYCOYIELD 2030 RC
FR001400MCQ6
Obligations à échéance +0.35% +1.11% +2.42%
CARMIGNAC PORTFOLIO CREDIT A EUR ACC
LU1623762843
Obligations EUR Flexibles +0.29% +1.17% +3.44%
CARMIGNAC CREDIT 2029 A EUR ACC
FR001400KAV4
Obligations à échéance +0.29% +1.04% +2.9%
ALLIANZ EURO HIGH YIELD RC
FR0010032326
Obligations EUR Haut Rendement +0.22% +0.76% +2.43%
IVO FUNDS - IVO EMERGING MARKETS CORPORATE DEBT EUR R ACC
LU1165644672
Obligations Marchés Emergents Emprunts Privés Couvertes en EUR +0.19% +0.99% +5.26%
SCHELCHER GLOBAL YIELD 2028 P
FR001400EZY8
Obligations à échéance +0.16% +0.35% +2.31%
IVO 2028 R
FR001400BJT8
Obligations à échéance +0.08% +0.52% +2.61%