| Name | ISIN | Type | Category | SDG | Periodicity | Mgmt Fee | Benchmark | Latest NAV | Latest Date |
|---|---|---|---|---|---|---|---|---|---|
Assets / OPCVMs
616 funds tracked. Monitor the essentials across categories, fees, benchmarks, and latest NAV updates.
| Name | ISIN | Type | Manager | Periodicity | Fees | Benchmark | Latest NAV | Latest Date |
|---|---|---|---|---|---|---|---|---|
CDG TAWFIR ID 182 | MA0000030280 | Long Term Contractual | CDG CAPITAL GESTION | QUOTIDIENNE | Mgmt: 2.00% Entry: 0.50% / Exit: 0.00% | MBI GLOBAL | 3 447,39 | Feb 03, 2026 |
CDG TRESORERIE ID 184 | MA0000030306 | Money Market | CDG CAPITAL GESTION | QUOTIDIENNE | Mgmt: 2.00% Entry: 0.00% / Exit: 0.00% | 50% MBI CT + 50% TMP | 2 242,36 | Feb 03, 2026 |
CDM CASH ID 325 | MA0000030603 | Money Market | WAFA GESTION | Daily | Mgmt: 1.50% Entry: 3.00% / Exit: 1.50% | 40% TMP + 60% MBI CT | 5 911,62 | Feb 03, 2026 |
CDM EXPANSION ID 326 | MA0000030611 | Equity | WAFA GESTION | Weekly | Mgmt: 2.00% Entry: 3.00% / Exit: 1.50% | MADEX | 7 762,33 | Jan 30, 2026 |
CDM GENERATION ID 323 | MA0000030587 | Long Term Contractual | WAFA GESTION | Daily | Mgmt: 2.00% Entry: 3.00% / Exit: 1.50% | 65% MBI MT + 35% MBI MLT | 3 613,66 | Feb 03, 2026 |
CDM MONETAIRE PLUS ID 393 | MA0000041303 | Money Market | WAFA GESTION | Daily | Mgmt: 0.65% Entry: 0.00% / Exit: 0.00% | TMP | 1 262,95 | Feb 03, 2026 |
CDM OBLIG PLUS ID 350 | MA0000037798 | OCT | WAFA GESTION | Daily | Mgmt: 2.00% Entry: 3.00% / Exit: 1.50% | MBI CT | 2 743,87 | Feb 03, 2026 |
CDM OBLIGATIONS ID 462 | MA0000041519 | Long Term Contractual | WAFA GESTION | Daily | Mgmt: 2.00% Entry: 3.00% / Exit: 1.50% | MBI GLOBAL | 1 237,44 | Feb 03, 2026 |
CDM OPTIMUM ID 322 | MA0000030579 | Diversified | WAFA GESTION | Daily | Mgmt: 2.00% Entry: 3.00% / Exit: 1.50% | 50% MBI MLT + 50% MASI RENTABILITE | 6 955,88 | Feb 03, 2026 |
CDM PROFIL DYNAMISME ID 348 | MA0000041436 | Equity | WAFA GESTION | Weekly | Mgmt: 2.00% Entry: 3.00% / Exit: 1.50% | 90% MASI + 10% MBI MLT | 994,02 | Jan 30, 2026 |
CDM PROFIL EQUILIBRE ID 345 | MA0000041444 | Diversified | WAFA GESTION | Weekly | Mgmt: 1.50% Entry: 3.00% / Exit: 1.50% | 60% MBI MLT + 40% MASI RENTABILITE | 709,02 | Jan 30, 2026 |
CDM PROFIL SERENITE ID 344 | MA0000041451 | Long Term Contractual | WAFA GESTION | Weekly | Mgmt: 1.00% Entry: 3.00% / Exit: 1.50% | 95% MBI + 5% MASI RENTABILITE | 259,82 | Jan 30, 2026 |
CDM SECURITE PLUS ID 346 | MA0000036147 | Money Market | WAFA GESTION | Daily | Mgmt: 1.00% Entry: 0.00% / Exit: 0.00% | TMP | 2 021,36 | Feb 03, 2026 |
CDM TRESOR PLUS ID 324 | MA0000030595 | OCT | WAFA GESTION | Daily | Mgmt: 2.00% Entry: 3.00% / Exit: 1.50% | MBI CT | 1 713,94 | Feb 03, 2026 |
CFG AVENIR ID 298 | MA0000035727 | Diversified | CFG GESTION | Weekly | Mgmt: 2.00% Entry: 0.20% / Exit: 0.20% | 20% CFG 25 FLOTTANT + 80% CFG BONDS CT | 4 946,09 | Jan 30, 2026 |
CFG CASH SECURE ID 316 | MA0000037814 | Money Market | CFG GESTION | Daily | Mgmt: 0.60% Entry: 0.50% / Exit: 0.50% | CFG BONDS MONETAIRE | 1 240,74 | Feb 02, 2026 |
CFG CONSTRUCTION ID 287 | MA0000036758 | Equity | CFG GESTION | Weekly | Mgmt: 2.00% Entry: 0.85% / Exit: 0.85% | CFG 25 FLOTTANT | 170,52 | Jan 30, 2026 |
CFG CORPORATE BONDS ID 310 | MA0000037038 | Long Term Contractual | CFG GESTION | Weekly | Mgmt: 2.00% Entry: 0.00% / Exit: 0.00% | CFG BONDS MT | 165,95 | Jan 30, 2026 |
CFG CROISSANCE ID 299 | MA0000030470 | Diversified | CFG GESTION | Daily | Mgmt: 1.50% Entry: 0.20% / Exit: 0.20% | 50% CFG 25 FLOTTANT + 50% CFG BONDS CT | 9 698,29 | Feb 02, 2026 |
CFG Diversifié ID 573 | MA0000039323 | Diversified | CFG GESTION | Daily | Mgmt: 2.00% Entry: 3.00% / Exit: 1.50% | 80% MBI GLOBAL + 20% MASI RN | 1 207,17 | Feb 02, 2026 |
CFG EMERGENCE ID 285 | MA0000035768 | Equity | CFG GESTION | Weekly | Mgmt: 2.00% Entry: 0.45% / Exit: 0.45% | CFG 25 FLOTTANT | 85 044,45 | Jan 30, 2026 |
CFG INSTIBONDS ID 576 | MA0000036345 | Long Term Contractual | CFG GESTION | Daily | Mgmt: 2.00% Entry: 3.00% / Exit: 1.50% | MBI GLOBAL | 33,90 | Feb 02, 2026 |
CFG INSTICASH ID 547 | MA0000038895 | Money Market | CFG GESTION | Daily | Mgmt: 2.00% Entry: 0.50% / Exit: 0.50% | TMP INTERBANCAIRE | 1 499,87 | Feb 02, 2026 |
CFG LIQUID BONDS ID 312 | MA0000038002 | OCT | CFG GESTION | Daily | Mgmt: 1.00% Entry: 0.00% / Exit: 0.00% | CFG BONDS CT | 1 268 763,13 | Feb 02, 2026 |
CFG LIQUIDITE ID 313 | MA0000035826 | OCT | CFG GESTION | Daily | Mgmt: 1.00% Entry: 0.00% / Exit: 0.00% | MBI CT | 225,69 | Feb 02, 2026 |