TUNISIE VALEURS ASSET MANAGEMENT

Tunisie Valeurs Asset Management has currently 15 active funds with assets under management totalling 1838.4 MTND.

Funds

NAV in TND, performances in percent. Latest data available for each fund.
Fund Latest NAV Latest Perf. YTD 1Y 3Y 5Y 10Y
FCP VALEURS INSTITUTIONNEL II 5548.447 1.36 4.22 7.66 15.90 11.14 -
FCP VALEURS CEA 28.520 0.62 3.78 9.84 13.15 18.40 34.24
FCP BIAT-EQUITY PERFORMANCE 12289.877 0.65 3.55 6.39 11.51 11.99 -
FCP BIAT-CEA PNT TUNISAIR 12.984 0.58 3.41 6.31 13.55 16.67 -
SICAV PATRIMOINE OBLIGATAIRE 171.295 0.02 3.12 4.27 17.79 30.86 62.79
SICAV TRESOR 104.427 0.02 3.00 4.15 16.41 26.24 45.25
FCP VALEURS SERENITE 2028 5659.716 0.84 2.89 4.36 - - -
TUNISIE SICAV 122.582 0.02 2.82 3.82 15.66 28.09 57.32
SICAV ENTREPRISE 109.450 0.02 2.58 3.55 13.49 22.12 41.22
FCP VALEURS AL KAOUTHER 116.038 0.13 2.29 4.37 7.11 9.42 16.78
SICAV PLUS 75.507 0.06 2.06 2.76 11.28 20.43 43.87
FCP BIAT ÉPARGNE ACTIONS 84.106 0.55 1.75 7.71 9.60 11.44 45.93
FCP VALEURS MIXTES 160.868 0.43 1.34 5.04 14.93 28.01 45.54
SICAV OPPORTUNITY 115.655 0.17 0.60 4.54 2.00 -1.59 4.95
SICAV PROSPERITY 157.414 0.28 0.27 4.30 9.96 17.81 42.15