Fonds OPCVM

Explorer risque / performance du catalogue OPCVM Marocain.

Au 17 août 2026

Accès direct à une fiche fonds

Snapshot · 2026-08-17
73 / 627 fonds

Positionnement risque / rendement

22 sociétés de gestion · couleurs approximatives, survoler un point pour identifier.

Évolution historique

Indicateur : Volatilité 1A
Profondeur d'historiqueFenêtre affichée sur le chart d'évolution
FCP MAROC RENDEMENTFCP CAPITAL DYNAMIQUERMA CORPORATE BONDEMERGENCE BOND FUNDFCP IRGAM MONETAIRE PLUSUPLINE OBLIG DYNAMIQUE

Screening détaillé

CAPITAL IMTIYAZ LIQUIDITEOctBMCE CAPITAL GESTION14.23 Mrd MAD+1.88%+2.83%0.39%+7.17-0.08%-0.02%-0.04%0.34%+2.59+0.52%1.18
OBLITOPOctWAFA GESTION12.72 Mrd MAD+1.85%+2.82%0.38%+7.41-0.06%-0.03%-0.05%0.31%+2.74+0.38%1.25
HORIZON COURT TERMEOctSAHAM CAPITAL GESTION6.89 Mrd MAD+1.86%+2.71%0.35%+7.56-0.07%-0.02%-0.04%0.30%+2.52+0.47%1.15
FCP ALPHA BANQUES FUNDOctRED MED ASSET MANAGEMENT6.59 Mrd MAD+1.89%+2.80%0.34%+8.06-0.06%-0.02%-0.04%0.28%+2.95+0.56%1.14
FCP EMERGENCE MONÉTAIRE PLUSOctVALORIS MANAGEMENT6.58 Mrd MAD+1.74%+2.67%0.36%+7.41-0.05%-0.02%-0.03%0.30%+2.37+0.45%1.14
AFG LIQUIDITY FUNDOctAFG ASSET MANAGEMENT6.51 Mrd MAD+2.02%+2.97%0.36%+8.15-0.05%-0.01%-0.03%0.29%+3.44+0.49%1.27
UPLINE OBLIGOctUPLINE CAPITAL MANAGEMENT6.50 Mrd MAD+1.85%+2.75%0.37%+7.36-0.07%-0.03%-0.04%0.30%+2.58+0.31%1.25
CAPITAL RENDEMENTOctBMCE CAPITAL GESTION5.65 Mrd MAD+1.89%+2.77%0.39%+6.92-0.08%-0.03%-0.05%0.35%+2.31+0.64%1.08
FCP EMERGENCE BANCAIRESOctVALORIS MANAGEMENT5.26 Mrd MAD+1.85%+2.81%0.34%+8.21-0.05%-0.02%-0.03%0.28%+3.01+0.66%1.10
AL AMALOctUPLINE CAPITAL MANAGEMENT4.99 Mrd MAD+1.75%+2.56%0.35%+7.23-0.06%-0.03%-0.04%0.21%+2.97+0.23%1.21
FCP OBLIG COURT TERMEOctCDG CAPITAL GESTION4.60 Mrd MAD+1.87%+2.91%0.41%+6.96-0.10%-0.02%-0.05%0.18%+5.76+0.99%1.02
CAPITAL TRUST CASH PLUSOctCAPITAL TRUST GESTION3.90 Mrd MAD+1.95%+2.89%0.39%+7.35-0.10%-0.02%-0.05%0.34%+2.74+0.70%1.12
FCP CAPITAL OBLIGATIONS BANQUES PLUSOctBMCE CAPITAL GESTION3.45 Mrd MAD+2.04%+2.97%0.35%+8.44-0.06%-0.01%-0.04%0.21%+4.93+0.65%1.20
CDG MONETAIRE PLUSOctCDG CAPITAL GESTION3.41 Mrd MAD+1.99%+3.21%0.46%+6.87-0.11%-0.02%-0.05%0.30%+4.26+0.71%1.31
FCP EMERGENCE OBLIG COURT TERMEOctVALORIS MANAGEMENT3.24 Mrd MAD+1.79%+2.71%0.36%+7.35-0.05%-0.02%-0.03%0.31%+2.41+0.52%1.12
CDM OBLIG PLUSOctWAFA GESTION3.12 Mrd MAD+1.68%+2.51%0.36%+6.92-0.07%-0.03%-0.05%0.30%+1.83+0.29%1.14
FCP ALPHA GLOBALOctRED MED ASSET MANAGEMENT2.88 Mrd MAD+1.66%+2.44%0.39%+6.14-0.09%-0.03%-0.05%0.34%+1.44+0.13%1.19
FCP IRGAM OBLIBANQUESOctIRG ASSET MANAGEMENT2.66 Mrd MAD+1.98%+2.96%0.36%+7.92-0.05%-0.02%-0.04%0.29%+3.14+0.44%1.25
AD YIELD FUNDOctAD CAPITAL ASSET MANAGEMENT2.44 Mrd MAD+1.89%+2.79%0.46%+6.02-0.11%-0.03%-0.05%0.40%+2.08+0.10%1.38
QUANTUM OPTIMUM CTOctQUANTUM CAPITAL GESTION2.28 Mrd MAD+1.77%0.00%
CFG LIQUID BONDSOctCFG GESTION2.21 Mrd MAD+1.86%+2.83%0.36%+7.71-0.08%-0.03%-0.04%0.30%+2.92+0.40%1.24
CAM OBLIBANQUESOctMAROGEST2.10 Mrd MAD+1.77%+2.74%0.45%+5.98-0.13%-0.03%-0.06%0.26%+3.18+0.05%1.41
CAP OBLIGATIONSOctWAFA GESTION2.09 Mrd MAD+1.85%+2.91%0.47%+6.13-0.07%-0.01%-0.04%0.41%+2.30+0.24%1.37
AD SELECT BANQUESOctAD CAPITAL ASSET MANAGEMENT2.08 Mrd MAD+1.87%+2.86%0.36%+7.87-0.08%-0.02%-0.04%0.30%+3.03+0.51%1.21
FCP CAP INSTITUTIONSOctWAFA GESTION2.03 Mrd MAD+1.69%+2.60%0.38%+6.69-0.07%-0.04%-0.05%0.33%+1.92+0.41%1.12
CIH MONETAIRE PLUSOctCIH CAPITAL MANAGEMENT1.99 Mrd MAD+1.90%+2.75%0.38%+7.08-0.10%-0.02%-0.05%0.18%+4.65+0.74%1.06
AFRICAPITAL CASHOctAFRICAPITAL MANAGEMENT1.59 Mrd MAD+1.53%+2.28%0.43%+5.27-0.11%-0.04%-0.06%0.36%+0.92-0.41%1.38
UPLINE OBLIG DYNAMIQUEOctUPLINE CAPITAL MANAGEMENT1.45 Mrd MAD+2.09%+3.09%0.38%+8.04-0.05%-0.02%-0.03%0.14%+7.12+1.19%0.90
OBLIDYNAMICOctWAFA GESTION1.45 Mrd MAD+1.76%+2.58%0.38%+6.68-0.08%-0.03%-0.04%0.32%+1.92+0.24%1.20
CDG OBLIG SÉCURITÉOctCDG CAPITAL GESTION1.41 Mrd MAD+1.72%+2.61%0.42%+6.18-0.12%-0.04%-0.07%0.21%+3.42+0.46%1.14
CDG DYNAMIC COURT TERMEOctCDG CAPITAL GESTION1.41 Mrd MAD+1.59%+2.47%0.44%+5.52-0.16%-0.04%-0.08%0.24%+2.41+0.25%1.18
FCP AFRICAPITAL CASH PLUSOctAFRICAPITAL MANAGEMENT1.40 Mrd MAD+1.54%+2.28%0.40%+5.67-0.09%-0.04%-0.06%0.34%+0.97-0.12%1.23
SECURITE RENDEMENTOctCIH CAPITAL MANAGEMENT1.29 Mrd MAD+1.35%+2.02%0.28%+7.04-0.07%-0.02%-0.04%0.24%+0.30+0.30%0.88
UPLINE HORIZON DYNAMIQUEOctUPLINE CAPITAL MANAGEMENT1.20 Mrd MAD+1.48%+2.15%0.25%+8.50-0.04%-0.01%-0.03%0.20%+1.42+1.05%0.59
ATLAS OBLIGBANCAIRESOctATLAS CAPITAL MANAGEMENT1.17 Mrd MAD+1.76%+2.54%0.37%+6.80-0.06%-0.02%-0.04%0.31%+1.87+0.23%1.18
TWIN TREASURYOctTWIN CAPITAL GESTION1.14 Mrd MAD+1.84%+2.71%0.46%+5.78-0.12%-0.04%-0.05%0.40%+1.86-0.00%1.39
FCP CAPITAL OBLIGATIONS BANQUESOctBMCE CAPITAL GESTION1.10 Mrd MAD+1.64%+2.45%0.36%+6.69-0.09%-0.04%-0.05%0.23%+2.31+0.10%1.23
FCP OPTIMA DYNAMIQUEOctALPHAVEST ASSET MANAGEMENT1.05 Mrd MAD+1.83%+2.70%0.37%+7.13-0.09%-0.02%-0.04%0.32%+2.33+0.44%1.16
STERLING SHORT TERM BONDOctSTERLING ASSET MANAGEMENT1.05 Mrd MAD+1.76%0.00%0.37%+6.89-0.09%-0.03%-0.04%0.32%+2.27+0.60%1.04
BMCI PREMIUM SHORT TERM BONDOctCIH CAPITAL MANAGEMENT992.36 M MAD+1.60%+2.40%0.37%+6.39-0.10%-0.03%-0.05%0.31%+1.43+0.05%1.21
ATTIJARI MONETAIRE PLUSOctWAFA GESTION950.54 M MAD+1.51%+2.22%0.36%+6.18-0.07%-0.03%-0.05%0.30%+0.93-0.05%1.17
FCP CAM TRESO PLUSOctMAROGEST884.71 M MAD+1.78%+2.63%0.40%+6.56-0.10%-0.02%-0.05%0.21%+3.43+0.25%1.25
EMERGENCE BOND FUNDOctVALORIS MANAGEMENT720.86 M MAD+2.57%+3.50%1.23%+2.79-0.06%-0.04%-0.05%1.25%+1.22+3.51%-0.03
CAPITAL TRUST OBLIG COURT TERMEOctCAPITAL TRUST GESTION649.78 M MAD+1.50%+2.36%0.39%+5.91-0.11%-0.02%-0.05%0.35%+1.15+0.36%1.02
HORIZON OBLI BANQUESOctSAHAM CAPITAL GESTION595.87 M MAD+1.63%+2.40%0.35%+6.86-0.08%-0.03%-0.04%0.28%+1.56+0.12%1.17
FCP CDM LIQUIDITESOctWAFA GESTION502.03 M MAD+1.34%+1.93%0.36%+5.29-0.11%-0.04%-0.06%0.18%+0.25+0.07%0.98
CIMR MONETAIRE PLUSOctUPLINE CAPITAL MANAGEMENT396.81 M MAD+1.56%+2.32%0.31%+7.36-0.07%-0.02%-0.03%0.26%+1.40+0.38%0.99
ATLAS EQUILIBREOctATLAS CAPITAL MANAGEMENT313.14 M MAD+1.82%+2.73%0.38%+7.01-0.10%-0.02%-0.05%0.32%+2.42+0.20%1.30
FCP IRGAM MONETAIRE PLUSOctIRG ASSET MANAGEMENT295.47 M MAD+2.37%+3.29%1.53%+2.10-0.16%-0.05%-0.08%1.54%+0.84+3.40%-0.09
CDM TRESOR PLUSOctWAFA GESTION236.27 M MAD+1.75%+2.54%0.33%+7.72-0.07%-0.02%-0.04%0.27%+2.17+0.47%1.06
WINEO OBLIG CTOctWINEO GESTION206.45 M MAD+1.68%+2.55%0.30%+8.38-0.08%-0.01%-0.04%0.26%+2.35+0.70%0.95
WINEO OCT PLUSOctWINEO GESTION176.63 M MAD+1.97%+2.88%0.28%+10.33-0.04%-0.00%-0.02%0.22%+4.16+0.97%0.97
FCP CAPITAL DYNAMIQUEOctBMCE CAPITAL GESTION153.77 M MAD+3.89%+8.22%4.73%+1.69-0.05%-0.01%-0.03%4.72%+1.29+4.63%1.76
CIMR TRESO PLUSOctSAHAM CAPITAL GESTION136.97 M MAD+1.53%+2.18%0.36%+5.95-0.07%-0.03%-0.06%0.31%+0.74+0.10%1.07
CFG LIQUIDITEOctCFG GESTION107.09 M MAD+1.01%+3.29%2.02%+1.61-0.10%-0.04%-0.06%1.98%+0.68-3.40%3.46
FCP EMERGENCE TRESOR PLUSOctVALORIS MANAGEMENT55.91 M MAD+1.31%+1.99%0.25%+7.96-0.05%-0.02%-0.03%0.20%+0.22+0.31%0.86
ATLAS LIQUIDITEOctATLAS CAPITAL MANAGEMENT53.34 M MAD+1.69%+2.58%0.34%+7.45-0.08%-0.03%-0.04%0.28%+2.24+0.24%1.20
BMCI CASHOctCIH CAPITAL MANAGEMENT31.20 M MAD+2.04%+3.18%0.63%+4.95-0.11%-0.04%-0.06%0.60%+2.01+0.89%1.17
SECURITE TRESO PLUSOctSAHAM CAPITAL GESTION5.73 M MAD+1.40%+2.06%0.31%+6.52-0.06%-0.03%-0.04%0.26%+0.45+0.14%0.99
FCP MAROC RENDEMENTOctMAROGEST5.52 M MAD+6.09%+6.90%4.38%+1.54-0.05%-0.02%-0.03%4.34%+1.12-6.02%6.64
BMCI PREMIUM SHORT BOND DISTOctCIH CAPITAL MANAGEMENT4.77 M MAD+1.28%+1.87%0.37%+5.02-0.10%-0.03%-0.06%0.32%-0.23-0.32%1.13
RMA CORPORATE BONDOctRMA ASSET MANAGEMENT3.28 M MAD+3.86%+4.56%2.32%+1.93-0.05%-0.01%-0.03%2.33%+1.10+4.92%-0.23
RMA RENDEMENT CTOctRMA ASSET MANAGEMENT1.23 M MAD+1.23%+1.89%0.23%+8.14-0.03%-0.01%-0.02%0.18%-0.31+0.20%0.87
FCP OCT DYNAMIQUEOctCDG CAPITAL GESTION1.12 M MAD+1.23%+1.82%0.23%+7.81-0.03%-0.02%-0.03%0.15%-0.62+0.31%0.79
FCP TRESORERIE PLUSOctCDG CAPITAL GESTION1.11 M MAD+1.27%+1.87%0.23%+8.17-0.03%-0.01%-0.02%0.20%-0.37+0.49%0.71
UPLINE RETAIL SERENITEOctUPLINE CAPITAL MANAGEMENT1.11 M MAD+1.24%+1.82%0.25%+7.13-0.07%-0.02%-0.04%0.17%-0.45+0.45%0.72
FCP SERENITE CTOctCDG CAPITAL GESTION1.10 M MAD+1.19%+1.74%0.23%+7.40-0.06%-0.01%-0.03%0.20%-0.69+0.67%0.57
CAPITAL TRUST SECURIPLUSOctCAPITAL TRUST GESTION1.06 M MAD+0.87%+1.23%0.27%+4.54-0.13%-0.04%-0.04%0.25%-2.80-0.05%0.66
TWIN LIQUID BANKOctTWIN CAPITAL GESTION1.02 M MAD0.00%0.00%
FONDS CIH D'IMPACT SOCIALOctCIH CAPITAL MANAGEMENT1.00 M MAD+0.36%+0.37%0.37%+0.99-0.21%-0.06%-0.09%0.32%-4.82-1.73%1.09
IRGAM SECURIPLUSOctIRG ASSET MANAGEMENT664.06 k MAD+1.34%+1.97%0.23%+8.21-0.06%-0.01%-0.03%0.18%-0.15+0.24%0.86
FCP INSTITUTIONSOctCDG CAPITAL GESTION634.17 k MAD+1.33%+2.09%0.22%+9.25-0.04%-0.01%-0.02%0.19%+0.95+0.85%0.65
FSEC I CTOctCDG CAPITAL GESTION618.61 k MAD+1.44%+2.42%0.34%+7.12-0.06%-0.01%-0.04%0.24%+2.15+0.97%0.76
Fonds OPCVM — OPCVM Analytics