Monthly Reporting
Briefing Note
Fact Sheet
Liquidity
Weekly
Asset Class
Medium-term Bond Fund
Description
This product uses bond investment vehicles to grow the initially invested capital while tolerating a sensitivity to changes in interest rates that may fluctuate between] 2.1 - 6.1].
ISIN
MA0000037210
Date
Minimum Recommended Holding Period
3 years
Benchmark
MBI
NAV
147,39
AUM
81 658 189,36
Ordre
5