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FCP Capital Selection NAV  129.7300 MAD - 0.500 - 0.38% 24 Apr 2012
 
 
Performance Overview as of 24 Apr 2012
  Fund Return
1 Month - 6.04%
3 Months - 7.18%
YTD * - 5.65%
1 Year - 11.99%
3 Years + 3.72%
5 Years - 19.75%
Since Inception + 30.95%
* Returns are from the beginning of the year until the respective 'As Of' Date
Benchmarks: Morrocan Most Active Shares Index
 
Ratio Analysis *
  Fund
Annualised Return 
It is a measure that converts rates of returns of any length into annual rates of returns
+ 3.80%
Annualised Standard Deviation 
It measures the volatility of the fund. The higher the percentage, the riskier is the fund
17.38%
Beta 
It measures how a fund's share price moves in relation to a benchmark. The benchmark index has a beta of 1. A beta greater than 1 means the fund tends to rise and fall more than the index does. A beta less than one means the fund tends to be less volatile than the index
N/A
Alpha 
It is the excess return of the fund relative to the return of the benchmark index. Simply, it is the value that a portfolio manager adds to or subtracts from a fund's return. A positive alpha of 1.0 means the fund has outperformed its benchmark index by 1%. Correspondingly, a similar negative alpha would indicate an underperformance of 1%
N/A
Information Ratio 
This ratio is used to evaluate the returns a fund manager achieved in comparison to the benchmark, given the risk they take on
N/A
Sharpe Ratio 
This ratio measures the reward per unit of risk. The Sharpe ratio tells us whether the returns of a portfolio are due to smart investment decisions or a result of excess risk. This measurement is very useful because although one fund can reap higher returns than its peers, it is only a good investment if those higher returns do not come with too much additional risk. The higher the ratio the better is the fund
- 0.02
Based on Risk Free Rate of %
* Formulas are available in the Education Center
 
Fund Facts  
Objective  To achieve capital appreciation
Asset Type  Equity
Geographic Focus  Morocco
Currency  MAD
Structure  Open - Ended
Inception Date  July 2006
Initial Target Size  N/A
Fund Size 19Apr12  8,962,921 MAD
NAV Frequency  Daily
Administrator  BMCE Capital Gestion
Fund Manager  BMCE Capital Gestion
Domicile  Morocco
Elligibility  Open to all investors
Zawya Code 
Zawya exclusive 7 digit code is used to locate a fund profile on the Funds Monitor through the search box
  BMCFPCS.MF
 
Fees and Expenses
Min. Subscription 
Dividend Policy 
Administration Fee 
Subscription Fee 
Redemption Fee 
Performance Fee 
Custodian Fee 
Management Fee 
Fees Notes 
 
Charts
NAV CHART
 NAV (MAD)  24Apr12 129.7300
 Change
  0.500 ( 0.38%)
 Previous Close  19Apr12 130.2300
 12 Month High  02Jun11 151.3900
 12 Month Low  16Apr12 129.1000
 
 
Investment Strategy
The fund's assets will be invested mainly in equities of companies listed on the Moroccan stock exchange. The fund will also invest to a lesser extent in fixed income, money market securities and other mutual funds.
 
Fund Material
PROSPECTUS
PDF Term Sheet: FCP Capital Sélection
PDF Prospectus: FCP Capital Sélection
LATEST NEWS & REPORTS
PDF BMCE Capital Gestion Fact Sheets(Q4-11)
PDF BMCE Capital Gestion Fact Sheets(Q2-2011)
PDF BMCE Capital Gestion Fact Sheets(Q4-2010)

 »More NEWS & REPORTS
 
 
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