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Afirvis SA de CV FIID BM

AFIRVIS
212.38
+0.04
+0.02%
21/03/2019
5 años
  • Cierre anterior

    212.34

  • Activos netos

    8.00M

  • Rentabilidad

    0.00%

  • Comisión de suscripción

    None

  • Gastos

    0.12%

  • Categoría

    MM MXN 182>364

  • Riesgo de Lipper

    -

  • Calificación de Lipper -
Perfil

Nombre del emisor

Fondos de Inversion Afirme SA de CV SOSI

Estilo de fondo

Gestor de fondos

Undisclosed

Estilo de inversión

-

The Fund seeks to facilitate the participation of its investors in the debt stock market. The Fund is to meet the demands of all investors seeking attractive returns and immediate availability of their money, for which an investment portfolio will be structured in the way that it is integrated with debt instruments provided by the federal, state and municipal government; banking and corporate institutions as well as structured values. The Fund will invest mostly in securities issued by the federal government, securities that have the highest credit quality. Debt securities may be domestic and foreign.

Información de compra

Compra inicial 1
Compra inicial: IRA 1
Compra inicial: AIP NA

Creación

03/08/2009

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