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FCP WG INVEST — NAV 2028.94 MAD -1.17% | Diversified OPCVM | Rizqi.ma
FCP WG INVEST
ISIN: MA0000039760
Diversified
2
,
0
2
8
.
9
4
2,028.94
MAD
-24.04 MAD (-1.17%)
1M
6M
1Y
3Y
5Y
1M
6M
YTD
1Y
3Y
5Y
All
Fees
Subscription Fee
3.00%
Redemption Fee
3.00%
Management Fee
2.00%
Understanding Fees
Learn More
Benchmark
50% Moroccan Bond Index (Global)
(MBI)
50% MASI Rentabilité
(MASI)
Essentials
AUM
157.2M
MAD
Latest NAV
2,028.94
MAD
52-Week Range
1,987.9 - 2,064.2
MAD
Composition
Diversified
Management
WAFA GESTION
Income
Accumulating
Risk
Moderate
Legal Nature
FCP
Historicals
2023
+8.55%
2024
+13.90%
2025
+10.90%
YTD
-0.87%
2021
+7.28%
2022
-8.89%
2023
+8.55%
2024
+13.90%
2025
+10.90%
YTD
-0.87%