Bond Fund

Composed primarily of bonds, it offers a steady income and greater stability than stocks, making it ideal for conservative investors.

FCP ATLANTIQUE PERFORMANCE

The fund’s investment objective is to achieve an annual return of more than 5.50% over a two-year investment horizon.


The fund primarily invests in bonds and other carefully selected fixed-income instruments, with the aim of delivering consistent returns while ensuring rigorous management of credit risk and interest rate risk.

Learn More

Properties

Risk scale
1
2
3
4
5
6
7
Low
Recommended investment period
6M
1 an
2
3
4
5
06 years
  • ASSETS49 745,83 M FCFA
  • CUMULATIVE PERFORMANCE54.29 %
  • ANNUALIZED PERFORMANCE5.82 %
  • VL15 429 FCFA
FCP BGFIBANK ATLAS

The fund’s investment objective is to achieve an annual return of more than 5.50% over a 2-year investment horizon


The fund primarily invests in carefully selected bonds and other fixed-income instruments to provide consistent returns while ensuring prudent management of credit risk and interest rate risk.

Learn More

Properties

Risk scale
1
2
3
4
5
6
7
Low
Recommended investment period
6M
1 an
2
3
4
5
06 years
  • ASSETS90 477,05 M FCFA
  • CUMULATIVE PERFORMANCE22.40 %
  • ANNUALIZED PERFORMANCE5.53 %
  • VL122 398 FCFA
EVEREST FINANCE RENDEMENT

The fund’s investment objective is to achieve an annual return of more than 5.50% over a two-year investment horizon.


The fund primarily invests in carefully selected bonds and other fixed-income instruments to provide consistent returns while ensuring rigorous management of credit risk and interest rate risk.

Learn More

Properties

Risk scale
1
2
3
4
5
6
7
Low
Recommended investment period
6M
1 an
2
3
4
5
06 years
  • ASSETS128 316,33 M FCFA
  • CUMULATIVE PERFORMANCE28.56 %
  • ANNUALIZED PERFORMANCE4.78 %
  • VL128 564 FCFA
FCP CCA HORIZON CROISSANCE

The fund’s investment objective is to achieve an annual return of more than 5.50% over a two-year investment horizon.


The fund primarily invests in carefully selected bonds and other fixed-income instruments to provide consistent returns while ensuring rigorous management of credit risk and interest rate risk.

Learn More

Properties

Risk scale
1
2
3
4
5
6
7
Low
Recommended investment period
6M
1 an
2
3
4
5
06 years
  • ASSETS157,13 M FCFA
  • CUMULATIVE PERFORMANCE4.06 %
  • ANNUALIZED PERFORMANCE12.65 %
  • VL104 056 FCFA