FCP Valeurs Quietude 2014
Profit
Since start of the year
0.32%
Since three months
-1.19%
Since a year
-1.98%
Since three years
Not available
Since five years
Not available
Highest and lowest in 52 weeks
5,898.04% - 5,898.04%
Investment strategy
The fund invests 15% of its assets in listed stocks, 83% in Governmental Bonds, and the remaining 2% of net assets are held in liquidity.
Manager
Tunisie Valeurs
Owner
Tunisie Valeurs
Establishment date
23 March 2009
Eligibility
Not available
Country
UAE
Other funds owned by the same owner
| Fund name | Profit | Owner | |
|---|---|---|---|
| {{row.name}} | {{row.profitYearStart}} | Not available | {{row.owner}} |
Other funds managed by the same maneger
| Fund name | Profit | Manager | |
|---|---|---|---|
| {{row.name}} | {{row.profitYearStart}} | Not available | {{manager}} |