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Liste des OPCVM BMCI

Retrouvez la liste des OPCVM commercialisés par BMCI : 40 OPCVM au total, classés par type (Actions, Diversifié, Monétaire, Obligataire…). Cela inclut les fonds distribués via BMCI ASSET MANAGEMENT et BMCI GESTION. Comparez performances et frais ci-dessous.

Actions6Diversifié11Monétaire7

40 OPCVMs

Classification

BMCI PREMIUM EQUITY GROWTH

MA0000041873

21 808,33MAD

-0.01%/jour

Actions0.74%-2.85%-10.40%0.00%0.00%0.00%

BMCI COSMOS

MA0000030058

au 10 juil.

422,14MAD

-1.85%/semaine

Actions1.06%-1.72%-8.06%-7.88%34.13%50.09%

SAFAE

MA0000037004

au 10 juil.

206 209,59MAD

-1.85%/semaine

Actions-0.25%-2.55%-7.48%-6.80%38.75%61.07%

CAT ACTIONS

MA0000036485

au 10 juil.

478 784,68MAD

-2.03%/semaine

Actions1.23%-3.54%-9.16%-7.99%32.93%53.03%

CIMR THARWA

MA0000035537

au 10 juil.

488 096,27MAD

-2.04%/semaine

Actions1.14%-2.08%-7.96%-6.51%35.94%62.37%

BMCI PREMIUM EQUITY INCOME

MA0000041881

au 10 juil.

15 332,30MAD

-2.20%/semaine

Actions0.68%-2.67%-9.06%-7.21%14.76%24.38%

CASACTIONS

MA0000035503

au 10 juil.

176 184,13MAD

+0.06%/semaine

Diversifié0.58%0.21%-0.12%0.14%1.40%2.98%

BMCI PREMIUM OPPORTUNITY I

MA0000041857

15 296,35MAD

+0.03%/jour

Diversifié0.63%-1.45%-5.24%0.00%0.00%0.00%

BMCI PREMIUM OPPORTUNITY II

MA0000041865

au 10 juil.

15 575,92MAD

-0.06%/semaine

Diversifié0.76%0.32%-0.65%0.13%8.56%16.16%

BMCI ISR

MA0000037707

au 10 juil.

125,03MAD

-0.32%/semaine

Diversifié1.26%-0.07%-3.04%-2.80%7.85%11.73%

AL IKRAM

MA0000035495

au 10 juil.

36 393,46MAD

-0.45%/semaine

Diversifié0.83%-0.00%-2.51%-1.58%12.77%24.42%

BMCI INVEST

MA0000035545

au 10 juil.

237,37MAD

-0.46%/semaine

Diversifié-0.43%-1.23%-1.38%-1.97%3.62%4.63%

FCP AL KHEIR

MA0000038705

au 10 juil.

603 560,10MAD

-0.51%/semaine

Diversifié1.12%-0.51%-4.10%-2.52%9.00%21.82%

AXA HORIZON

MA0000035529

au 10 juil.

177 021,37MAD

-0.55%/semaine

Diversifié1.03%-0.43%-2.86%-2.41%19.14%27.76%

BMCI EPARGNE CROISSANCE

MA0000030363

au 10 juil.

162,04MAD

-0.58%/semaine

Diversifié0.67%-1.38%-4.84%-4.20%13.97%26.10%

AVENIR ACTIONS

MA0000035511

au 10 juil.

243 483,66MAD

-0.77%/semaine

Diversifié0.79%-1.00%-4.59%-3.71%12.67%22.87%

SANAD ACTIONS

MA0000035180

au 10 juil.

133 615,64MAD

-0.78%/semaine

Diversifié0.82%-0.97%-4.48%-3.55%13.05%22.89%

BMCI PREMIUM MONEY MARKET

MA0000041816

14 628,49MAD

+0.01%/jour

Monétaire0.25%0.63%1.13%2.09%4.66%10.80%

BMCI MONETAIRE PLUS

MA0000041899

145 913,93MAD

+0.01%/jour

Monétaire0.27%0.72%1.35%2.61%5.41%11.49%

INSTIMONETAIRE

MA0000036477

139,86MAD

+0.01%/jour

Monétaire0.19%1.09%1.88%4.37%7.87%11.27%

BMCI TRESO PLUS

MA0000030736

168,13MAD

+0.01%/jour

Monétaire0.24%0.59%1.09%2.01%4.56%11.15%

AXA MONETAIRE

MA0000037046

159 542,64MAD

+0.01%/jour

Monétaire0.21%0.62%1.17%2.18%4.94%12.07%

CIMR MONETAIRE

MA0000037566

130 660,28MAD

+0.01%/jour

Monétaire0.22%0.55%1.05%1.97%4.51%11.98%

BMCI TRESORERIE

MA0000030132

123 265,95MAD

+0.00%/jour

Monétaire0.14%0.40%0.79%1.52%3.42%8.29%

SECURITE RENDEMENT

MA0000036899

au 10 juil.

150 107,20MAD

+0.09%/semaine

0.33%0.70%1.14%2.00%4.45%8.94%

BMCI PREMIUM SHORT TERM BOND

MA0000041840

126,17MAD

+0.01%/jour

0.42%0.79%1.36%2.40%5.88%13.15%

BMCI CASH

MA0000030413

195,45MAD

0.00%/jour

0.33%0.91%1.59%3.10%6.15%11.11%

BMCI PREMIUM SHORT BOND DIST

MA0000039281

133,90MAD

0.00%/jour

0.31%0.62%1.11%1.90%4.86%13.12%

CAT OBLI FRONTIERES

MA0000037418

au 24 oct.

Pas de données

169 778,61MAD

+3.54%/semaine

2.80%2.84%4.34%7.84%15.99%19.21%

SANAD OBLIGATAIRE

MA0000035198

au 10 juil.

1 512 728,21MAD

+0.12%/semaine

0.82%0.36%-0.56%-2.05%2.87%3.48%

AZ OBLIGATIONS

MA0000036295

au 10 juil.

139,98MAD

+0.12%/semaine

0.57%0.58%0.18%-4.12%2.79%5.25%

BMCI PREMIUM MEDIUM TERM BOND

MA0000041832

au 10 juil.

19 193,44MAD

+0.10%/semaine

0.72%0.78%1.00%1.24%5.93%11.15%

AXA EPARGNE

MA0000036642

au 10 juil.

114 635,17MAD

+0.10%/semaine

0.69%0.56%0.01%0.02%9.94%14.12%

AXA CROISSANCE

MA0000036667

au 10 juil.

109 662,30MAD

+0.10%/semaine

0.68%0.54%0.02%0.05%9.97%14.43%

INSTIOBLIGATIONS ETAT

MA0000037509

au 10 juil.

1 269,92MAD

+0.09%/semaine

0.61%0.55%0.56%-2.85%-0.87%1.45%

INSTIOBLIGATIONS

MA0000037491

au 10 juil.

1 457,80MAD

+0.05%/semaine

0.42%0.43%0.20%0.19%7.19%14.57%

SECURITE DEVELOPPEMENT

MA0000035438

au 10 juil.

260 749,05MAD

+0.00%/semaine

0.53%0.71%0.22%0.81%4.44%10.41%

BMCI PREMIUM LONG TERM BOND

MA0000041824

au 10 juil.

15 939,38MAD

-0.01%/semaine

0.69%0.41%-0.56%-0.80%6.33%7.89%

BMCI EPARGNE OBLIGATIONS

MA0000030066

au 10 juil.

273,43MAD

-0.02%/semaine

0.44%0.03%-1.00%-1.00%7.58%8.85%

ATLANTA OBLIGATIONS

MA0000035206

au 10 juil.

2 969 992,75MAD

-0.03%/semaine

0.61%0.20%-0.95%-0.76%5.28%9.51%