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Monthly Reporting
Liquidity
Daily
Asset Class
Short-term Fund
Description

Fund aiming to optimize its profitability in the short run through investments in securities issued or guaranteed by the State and debt securities of private issuers with excellent fundamentals.
Sensitivity: [ 0,5 ; 1,1 [

ISIN
MA0000037202
Date
Minimum Recommended Holding Period
1 week
Benchmark
MBI CT
NAV
126,99
AUM
12 235 751,82
Ordre
4