FUND DESCRIPTION

FCP HARVEST LIQUIDITES aims to value capital through an optimized return and an adequate weighting. The Fund's portfolio will consist of cash, negotiable debt securities and transferable securities issued in the CEMAC zone and beyond. Subject to COSUMAF approval, assets may include other categories of securities, including unlisted securities and securities issued from markets outside of CEMAC.


Key InvestorInformation Document (KIID).
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Fund identity card

Type of part:

Capitalisation


Benchmark

Treasury Bills 26 Weeks

Net asset value (NAV):

11,440.00 (XAF)


Asset class:

Bonds

Creation date :

2021-10-04 10:11:39


Geographical area :

CEMAC

Reference currency:

XAF


Minimum recommended investment period

6 Months

Date of the data:

2024-06-03


Management company:

HARVEST ASSET MANAGEMENT

Net Assets (Millions)

19,772.34


Depositary institution:

BANQUE ATLANTIQUE CAMEROUN

Code ISIN:

COSUMAF-FCP-04/2020

Risk level

trends

Projected evolution of the performance


Net asset value (NAV):

Type Début 1 semaine 3 mois 6 mois 1 an
Performance 0.00 0.00 0.00 0.00 0.00
Valeur liquidative 0.00 0.00 0.00 0.00 0.00

Main lines

Type Coupon(%) Maturité % d'actif

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