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Liste des OPCVM BMCI ASSET MANAGEMENT

Retrouvez la liste des OPCVM commercialisés par BMCI ASSET MANAGEMENT : 12 OPCVM au total, classés par type (Actions, Diversifié, Monétaire, Obligataire…). Comparez performances et frais ci-dessous.

Fait partie deBMCI
Actions1Diversifié1Monétaire2

12 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 ISR

MA0000037707

au 10 juil.

125,03MAD

-0.32%/semaine

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

BMCI PREMIUM MONEY MARKET

MA0000041816

14 628,49MAD

+0.01%/jour

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

CIMR MONETAIRE

MA0000037566

130 660,28MAD

+0.01%/jour

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

BMCI PREMIUM SHORT TERM BOND

MA0000041840

126,17MAD

+0.01%/jour

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

BMCI PREMIUM SHORT BOND DIST

MA0000039281

133,90MAD

0.00%/jour

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

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%

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%

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%

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%

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%