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Monthly Reporting
Liquidity
Daily
Asset Class
Monetary Fund
Description

This product meets the needs of investors looking for a suitable investment for treasury operations management. Composed exclusively of securities issued or guaranteed by the State, bank debt securities and products issued by banks, this Open Mutuel Fund is the perfect balance between profitability optimization and risk control. Sensitivity:] 0 ; 0,5 ]

ISIN
MA0000038010
Date
Minimum Recommended Holding Period
From 1 day to 1 week
Benchmark
Reference rate of the interbank market, as published by Bank-Al-Maghrib
NAV
108,79
AUM
782 527 294,85
Ordre
2