FCP AB INVEST

Fund Overview

FCP AB INVEST est un OPCVM obligataire d’ABAM avec pour horizon de placement 03 ans minimum, pour un rendement cible de 5,5% net l’an. Il est dédié aux placements de moyen à long terme avec pour stratégie de diversifier les investissements sur les différents types d’instruments du marché obligataire et monétaire.

Performance Annuelle (2025)
3,10%

Fund Details

Launch Date : 28/07/2021
Approval Number : COSUMAF-FCP-02/2021
Depositary: UBA CAMEROON
Initial Net Asset Value (XAF) : 10 000
Net Asset Value as of 31/12/2024 (XAF) : 11 895,10
Valeurs liquidatives (fin de mois) au 31/12/2025 (XAF) : 12 263,82
Net Assets (End of Month) as of 31/07/2025 (XAF) : 19 263 792 647

The fund invests its assets—excluding UCITS securities, receivables representing repurchase agreements carried out as assignee, and cash—primarily in short- and medium-term bond issues offered through public offerings or private placements, treasury bonds, and short-term government-backed debt instruments within the Union. It may also hold short-term debt securities issued on the money market, as well as cash and bank deposits.

Risk and Return Profile

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