Fonds OPCVM

Explorer risque / performance du catalogue OPCVM Marocain.

Au 17 août 2026

Accès direct à une fiche fonds

Snapshot · 2026-08-17
12 / 627 fonds

Positionnement risque / rendement

Évolution historique

Indicateur : Volatilité 1A
Profondeur d'historiqueFenêtre affichée sur le chart d'évolution
AFG LIQUIDITY FUNDAFG CASH MANAGEMENTAFG DYNAMIC FUNDAFG BALANCED FUNDAFG ALLOCATION FUNDAFG SECUR RENDEMENT

Screening détaillé

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
AFG CASH MANAGEMENTMonetaireAFG ASSET MANAGEMENT2.86 Mrd MAD+1.74%+2.71%0.14%+19.330.00%0.02%0.02%0.12%+3.27-0.21%1.26
AFG SECUR RENDEMENTOmltAFG ASSET MANAGEMENT2.86 Mrd MAD-0.09%-1.28%2.91%-0.43-3.72%-0.63%-0.82%1.80%-0.75-1.39%1.34
AFG GOV BOND FUNDOmltAFG ASSET MANAGEMENT2.59 Mrd MAD-1.14%-2.53%2.67%-0.95-4.19%-0.63%-0.83%1.32%-2.00-2.68%1.37
AFG OPTIMAL FUNDDiversifieAFG ASSET MANAGEMENT2.15 Mrd MAD-1.69%-7.94%10.88%-0.71-14.31%-2.08%-2.89%6.85%-0.99-6.02%1.90
AFG T-BOND FUNDOmltAFG ASSET MANAGEMENT1.23 Mrd MAD-3.12%-3.77%3.87%-0.97-5.84%-0.87%-1.30%2.58%-1.65-4.28%1.06
AFG ACTIVE BOND FUNDOmltAFG ASSET MANAGEMENT1.16 Mrd MAD-1.30%-2.34%3.06%-0.76-4.13%-0.68%-0.90%1.37%-1.65-2.24%1.41
AFG INCOME FUNDOmltAFG ASSET MANAGEMENT1.11 Mrd MAD-1.18%-2.47%3.03%-0.81-4.33%-0.70%-0.92%1.86%-1.39-2.62%1.43
AFG DYNAMIC FUNDActionsAFG ASSET MANAGEMENT1.08 Mrd MAD+1.53%-9.64%19.81%-0.41-21.96%-3.42%-4.81%10.31%-0.49-4.66%1.12
AFG FLEXIBLE FUNDDiversifieAFG ASSET MANAGEMENT921.33 M MAD-0.81%-4.06%7.45%-0.52-9.17%-1.42%-1.96%4.32%-0.73-2.82%1.47
AFG BALANCED FUNDDiversifieAFG ASSET MANAGEMENT846.71 M MAD+0.46%-6.81%13.81%-0.44-15.92%-2.50%-3.31%8.25%-0.56-3.84%1.49
AFG ALLOCATION FUNDDiversifieAFG ASSET MANAGEMENT1.02 M MAD0.00%0.00%
Fonds OPCVM — OPCVM Analytics