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Fund Information / Summary
Imprimer
 
 
APICIL TRESORERIE P
Umbrella FundCurrencyEURDates
PromoterGROUPE APICILCountryFRAInception10/06/2018
 NatureFCPClosing-
EP CategoryMoney marketISINFR0013328317
Rating category-Etoiles EuroPerformance -
 
Europerformance Categories
Family :Money market
 
Ss Family :Money market euro
  
Type :Money market
   
Cat :Money market
Category changed on :
AMF :STD Var NAV Money Mkt Funds 
NAV
Date16/05/2024
VL1 039.35
Variation0.01
CurrencyEUR
Net Assets (at the end of the month)463.209 (Million €)
Total Net asset (subfund level)(end of month)only to registered users
Evolution of the NAV
 
 Management
Management companyGroupama Asset Management
CustodianCaceis Bank
Management type
Ethical
Taxation
Life Insurance
Risk profileAccum. / Distri.Accumulation
FrequencyDaily Frequency of the dividends
Geographical investment zoneEuro ZoneMax. management fees0.20%
 
Marketing countries
Distributed FRA
 
 
Accumulation fund
Subscription / Redemption
Subscription feesRedemption fees
Min / MaxMaximum 5.00 %Min / MaxFixed 0.00 %
dedicated to the fund-dedicated to the fund-
SubscriptionUnknown priceRedemptionUnknown price
Recommended minimum investment periodAt least 3 Month
 
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