Fonds OPCVM

Explorer risque / performance du catalogue OPCVM Marocain.

Au 17 août 2026

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Snapshot · 2026-08-17
20 / 627 fonds

Positionnement risque / rendement

Évolution historique

Indicateur : Volatilité 1A
Profondeur d'historiqueFenêtre affichée sur le chart d'évolution
IRGAM STRATEGIEFCP IRGAM MONETAIREFCP IRGAM MONETAIRE PLUSFCP IRGAM OBLIBANQUESIRGAM SECURIFINANCER-MIXT COUVERTURE

Screening détaillé

IRG SECUR RENDEMENTOmltIRG ASSET MANAGEMENT3.32 Mrd MAD-0.53%-1.61%2.59%-0.57-3.63%-0.58%-0.77%1.49%-1.07-1.61%1.22
IRGAM BALANCEDiversifieIRG ASSET MANAGEMENT3.09 Mrd MAD-1.42%-7.93%10.45%-0.66-13.55%-2.16%-2.69%4.81%-1.12-5.08%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
R-MIXT COUVERTUREDiversifieIRG ASSET MANAGEMENT1.88 Mrd MAD+1.69%-1.32%7.02%-0.08-7.45%-1.36%-1.72%3.69%-0.14-0.47%1.37
FCP IRGAM ACTIONSActionsIRG ASSET MANAGEMENT1.59 Mrd MAD-0.11%-9.57%18.15%-0.38-20.07%-3.38%-4.34%9.12%-0.41-3.58%1.03
FCP IRGAM OBLIGATAIREOmltIRG ASSET MANAGEMENT1.44 Mrd MAD-1.15%-2.04%2.40%-0.84-3.38%-0.57%-0.70%1.50%-1.66-2.37%0.74
IRGAM DISTRIEQUILIBREDiversifieIRG ASSET MANAGEMENT1.23 Mrd MAD-0.87%-3.72%5.40%-0.59-6.82%-1.05%-1.32%2.77%-0.84-2.38%0.92
OBLIGATAIRE PREMIUMOmltIRG ASSET MANAGEMENT1.09 Mrd MAD-1.09%-1.63%2.09%-0.78-2.97%-0.53%-0.60%1.01%-1.73-1.75%1.04
IRGAM OBLIRENDEMENTOmltIRG ASSET MANAGEMENT558.40 M MAD-0.44%-0.80%1.46%-0.58-1.92%-0.35%-0.41%0.55%-1.73-0.93%0.80
IRGAM ALLOCATIONDiversifieIRG ASSET MANAGEMENT518.14 M MAD+1.68%-3.21%10.18%-0.20-11.20%-1.94%-2.56%5.63%-0.15-0.38%1.37
FCP OBLIG OPPORTUNITESOmltIRG ASSET MANAGEMENT443.45 M MAD-0.35%-1.00%2.12%-0.41-2.85%-0.48%-0.60%1.36%-1.83-3.37%1.55
IRGAM SECURIFINANCEMonetaireIRG ASSET MANAGEMENT304.71 M MAD+1.75%+2.66%0.21%+12.16-0.03%0.00%-0.02%0.20%+1.34-0.42%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
IRGAM STRATEGIEActionsIRG ASSET MANAGEMENT275.12 M MAD+3.69%-5.05%18.42%-0.11-18.76%-3.39%-4.36%9.35%+0.12+1.30%1.05
FCP IRGAM MONETAIREMonetaireIRG ASSET MANAGEMENT232.27 M MAD+2.37%+3.27%1.64%+1.95-0.01%-0.01%-0.01%1.64%+0.60+5.73%-1.14
FCP OBLIG LONG TERMOmltIRG ASSET MANAGEMENT117.38 M MAD-1.29%-1.80%1.68%-1.10-2.36%-0.44%-0.46%1.45%-1.17-1.77%0.55
IRGAM SECURIBANCAIRESOmltIRG ASSET MANAGEMENT67.53 M MAD+0.03%-0.27%1.33%-0.20-1.47%-0.32%-0.35%0.61%-0.63-0.35%0.73
IRGAM DISTRIEQUITYActionsIRG ASSET MANAGEMENT1.63 M MAD-4.18%-7.06%14.18%-0.40-15.80%-3.08%-3.73%9.43%-0.26-3.25%0.74
OBLIG INSTITUTIONSOmltIRG ASSET MANAGEMENT955.89 k MAD+0.04%-0.46%1.85%-0.24-1.94%-0.42%-0.48%0.51%-1.07-0.55%1.01
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
Fonds OPCVM — OPCVM Analytics