AMEN INVEST

Amen Invest has currently 9 active funds with assets under management totalling 234.1 MTND.

Funds

NAV in TND, performances in percent. Latest data available for each fund.
Fund Latest NAV Latest Perf. YTD 1Y 3Y 5Y 10Y
FCP AMEN CEA 107.356 0.96 10.67 15.33 7.66 27.65 16.51
FCP AMEN SELECTION 114.641 0.57 9.74 18.53 34.29 59.14 -
FCP HAYETT VITALITE 1.478 0.34 8.20 18.91 23.58 41.30 47.06
FCP HAYETT PLENITUDE 1.417 0.35 5.43 13.36 15.86 27.54 41.14
AMEN PREMIÈRE SICAV 104.003 0.10 2.96 5.64 15.90 23.84 41.31
AMEN TRESOR SICAV 112.383 0.02 2.21 6.74 18.71 29.10 53.03
SICAV AMEN 58.630 0.01 2.08 6.63 19.33 28.72 54.90
AMEN ALLIANCE SICAV 134.330 0.02 1.91 6.01 18.64 32.15 -
FCP HAYETT MODERATION 1.535 0.13 1.66 4.92 13.37 23.10 53.04