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Liste des OPCVM CFG Group

Retrouvez la liste des OPCVM commercialisés par CFG Group / CFG Bank / CFG : 45 OPCVM au total, classés par type (Actions, Diversifié, Monétaire, Obligataire…). Cela inclut les fonds distribués via CFG BANK et CFG GESTION. Comparez performances et frais ci-dessous.

Actions10Diversifié11Monétaire5

45 OPCVMs

Classification

CFG VALEURS

MA0000035784

666,37MAD

-0.17%/jour

Actions0.24%-3.35%-11.26%-9.43%30.08%39.33%

CFG Profil Offensif

MA0000038150

1 597,16MAD

-0.21%/jour

Actions0.29%-3.86%-12.25%-9.54%26.24%50.53%

CFG PERFORMANCE

MA0000035743

1 137,63MAD

-0.24%/jour

Actions0.11%-4.02%-10.38%-9.00%36.76%49.99%

STAFF ACTION

MA0000035735

4 383,20MAD

-0.29%/jour

Actions0.42%-3.01%-9.69%-6.41%37.67%67.13%

CFG TRADER

MA0000037400

220,47MAD

-0.40%/jour

Actions0.26%-5.40%-16.77%-13.90%24.54%51.26%

CFG RENTABILITE

MA0000037541

au 10 juil.

166,37MAD

-1.06%/semaine

Actions1.76%-1.82%-10.94%-11.47%21.09%34.55%

PATRIMOINE AVENIR

MA0000035701

au 10 juil.

770,59MAD

-1.23%/semaine

Actions1.14%-1.24%-9.31%-9.30%21.80%37.07%

AVENIR CROISSANCE

MA0000036378

au 10 juil.

35 170,81MAD

-1.36%/semaine

Actions1.19%-2.04%-10.56%-9.19%21.32%44.65%

CFG EMERGENCE

MA0000035768

au 10 juil.

81 232,14MAD

-1.90%/semaine

Actions1.37%-2.15%-8.77%-8.23%31.51%49.71%

CFG CONSTRUCTION

MA0000036758

au 10 juil.

164,21MAD

-2.29%/semaine

Actions0.84%-1.94%-8.50%-7.23%36.60%50.57%

AXA PÉRENNITÉ

MA0000035818

au 8 sept.

Pas de données

29 628,87MAD

+0.00%/semaine

Diversifié0.00%0.20%3.93%6.24%17.87%8.74%

CFG OPPORTUNITÉS

MA0000039315

1 240,06MAD

-0.01%/jour

Diversifié1.12%1.12%-0.03%1.30%0.00%0.00%

CFG Profil Equilibré

MA0000038143

1 364,46MAD

-0.02%/jour

Diversifié0.67%-0.26%-2.64%-1.38%13.59%25.63%

CFG Profil Dynamique

MA0000038184

1 376,97MAD

-0.03%/jour

Diversifié0.74%-1.48%-6.33%-5.64%18.20%27.71%

R-MIXT CROISSANCE

MA0000038879

1 344,12MAD

-0.05%/jour

Diversifié0.67%-0.23%-2.79%-1.78%18.22%31.17%

CFG Diversifié

MA0000039323

1 185,63MAD

-0.09%/jour

Diversifié0.50%-1.18%-5.43%-2.80%8.71%0.00%

CFG CROISSANCE

MA0000030470

9 384,13MAD

-0.15%/jour

Diversifié0.43%-1.98%-7.16%-6.86%19.15%24.35%

AXA PERFORMANCE

MA0000035750

au 10 juil.

65 887,82MAD

-0.51%/semaine

Diversifié0.85%-0.41%-3.18%-2.31%16.34%24.92%

AXA PERSPECTIVES

MA0000038838

au 10 juil.

11 789,29MAD

-0.57%/semaine

Diversifié0.77%-0.71%-3.38%-3.22%15.66%25.19%

CFG AVENIR

MA0000035727

au 10 juil.

4 977,76MAD

-1.01%/semaine

Diversifié0.41%-0.90%-0.66%0.64%9.17%23.28%

TWIN OPPORTUNITY

MA0000039208

au 10 juil.

1 175,10MAD

-1.02%/semaine

Diversifié0.80%-1.80%-7.85%-10.34%11.53%0.00%

CFG SECURITE

MA0000035834

2 563,65MAD

+0.03%/jour

Monétaire0.27%0.66%1.18%2.44%5.14%11.44%

CFG INSTICASH

MA0000038895

1 518,85MAD

+0.01%/jour

Monétaire0.28%0.76%1.40%2.61%5.80%13.89%

CFG CASH SECURE

MA0000037814

1 253,50MAD

+0.00%/jour

Monétaire0.23%0.59%1.15%2.11%4.90%12.09%

TWIN CASH

MA0000038606

1 162,91MAD

+0.00%/jour

Monétaire0.26%0.69%1.30%2.52%5.86%13.92%

CFG TRESOCORP

MA0000037517

2 428 557,30MAD

+0.00%/jour

Monétaire0.14%0.38%0.66%5.29%4.88%1.98%

CFG LIQUID BONDS

MA0000038002

1 288 548,31MAD

+0.01%/jour

0.40%0.93%1.58%2.84%7.19%16.13%

CFG LIQUIDITE

MA0000035826

227,72MAD

+0.00%/jour

0.29%0.53%0.89%3.33%5.07%9.38%

AVENIR PREVOYANCE

MA0000036253

au 10 juil.

9 514,21MAD

+0.14%/semaine

0.95%0.94%0.83%0.09%7.38%9.24%

CAA RENDEMENT

MA0000035800

au 10 juil.

22 468,71MAD

+0.08%/semaine

0.59%0.48%-0.24%-0.60%9.34%16.00%

AVENIR PREMIERE

MA0000035693

au 10 juil.

335 456,52MAD

+0.06%/semaine

0.35%0.42%0.08%-0.84%7.69%12.74%

SMART FUND

MA0000037822

au 10 juil.

1 033,96MAD

+0.06%/semaine

0.31%0.28%-0.14%-0.79%1.52%2.02%

AVENIR OBLIGATION

MA0000035685

au 10 juil.

26 022,15MAD

+0.05%/semaine

0.33%0.25%-0.42%-1.00%8.46%8.59%

CFG OBLIGATAIRE PLUS

MA0000036469

au 8 sept.

Pas de données

129,50MAD

+0.05%/semaine

0.17%-0.06%3.97%5.63%16.83%7.77%

CFG PREVOYANCE

MA0000036972

163,55MAD

+0.02%/jour

0.59%0.47%-0.01%-0.28%9.52%15.92%

CFG CORPORATE BONDS

MA0000037038

au 10 juil.

166,17MAD

+0.01%/semaine

0.30%0.11%-0.56%-0.06%8.19%10.46%

CFG Profil Conservateur

MA0000038176

1 176,37MAD

+0.00%/jour

0.40%0.78%1.28%1.99%5.15%10.76%

CFG RENDEMENT

MA0000035792

347,79MAD

-0.01%/jour

-0.01%-0.19%-0.72%5.00%5.43%-1.05%

CFG SOVEREIGN BONDS

MA0000038317

1 488,35MAD

-0.02%/jour

0.28%0.09%-0.44%-0.15%9.16%11.36%

CFG INSTIBONDS

MA0000036345

34,02MAD

-0.03%/jour

0.47%0.35%0.00%-78.01%-76.63%0.00%

AL IJTIMAI SOLIDARITE

MA0000036535

au 10 juil.

218 397,34MAD

-0.03%/semaine

0.61%0.30%-0.94%-1.09%10.25%12.45%

CFG SECURE BONDS

MA0000038309

1 660,26MAD

-0.03%/jour

0.58%0.24%-0.80%-0.80%8.00%20.95%

CFG PROFIL PRUDENT

MA0000038168

1 175,15MAD

-0.07%/jour

0.53%0.21%-0.64%-0.00%7.19%10.83%

TWIN BOND TRESOR

MA0000039190

au 10 juil.

1 147,28MAD

-0.13%/semaine

0.32%-0.13%-1.80%-2.90%6.83%0.00%

TWIN BOND

MA0000038614

au 10 juil.

1 161,69MAD

-0.15%/semaine

0.29%0.20%-0.57%-0.77%2.77%11.93%