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Monthly Reporting
Liquidity
Weekly
Asset Class
Equity
Description

The objective of the Fund is to create a portfolio composed by both equities and UCITS in order to achieve a medium-term appreciation of the invested capital while prioritizing risk management.

ISIN
MA0000037434
Date
Minimum Recommended Holding Period
5 years
Benchmark
MASI
NAV
169,25
AUM
1 682 255,00
Ordre
13