SICAV Trésor
Profit
Since start of the year
-2.9729%
Since three months
-4.2427%
Since a year
0.4086%
Since three years
0.3236%
Since five years
1.4311%
Highest and lowest in 52 weeks
107.82% - 101.686%
Investment strategy
The fund invests in fixed income securities, company bonds, and Treasury Bonds issued by the State, and Treasury Bills.
Manager
Tunisie Valeurs
Owner
Tunisie Valeurs
Establishment date
03 February 1997
Eligibility
All Nationalities
Country
Tunisia
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}} |