FCP Valeurs Institutionnel II tv_user December 16, 2021
FCP Valeurs Institutionnel II
Is a mutual fund of distribution type, belonging to the category of mixed funds (stocks + bonds).
Net Asset
Value in TND
0 %
Return Rate

in 2023

0 DT

in 2023

Million Tunisian Dinars
Assets under management
Investment Orientation
The “FCP VALEURS INSTITUTIONNEL II” is intended for investors accepting a high risk and dedicated mainly to institutional investors (within the meaning of article 39 of the General Regulations of the Stock Exchange). The minimum recommended investment period is 7 years. The initial structure of the fund was composed of :
  • Minimum 60% of assets in listed equities
  • Maximum 15% of assets in BTA/BTZ/bonds issued by public offering
  • Maximum 5% of the assets in UCITS securities
  • 20% of assets in cash and cash equivalents
Conditions of Subscriptions and Redemptions
The subscription operations started on November 12th, 2018. The subscription price is equal to the original value net of any commission. The redemption price is equal to the net asset value less an exit fee of :
  • 5% if the holding period is less than 3 years
  • 2% if the holding period is greater than or equal to 3 years
Dividend distribution
In 2020, FCP VALEURS INSTITUTIONNEL distributed a dividend of 246,769Dt per share (for the financial year 2019).
Return Rate
In 2022, le “FCP VALEURS INSTITUTIONNEL II” achieved a return of +8,4%.
Become a customer
Take advantage of personalized services
to manage your assets well
An assistance on demand

Advisors available by phone, live chat and via social networks from Monday to Friday from 8am to 5pm and Saturday from 9am to 12pm.

Your day-to-day operations in a few clicks
thanks to a secure mobile application and an electronic trading platform.
A dedicated advisor to assist you
available by appointment, in branch or remotely.