AMUNDI 12 M
ISIN: FR0011307057 - Long Cash Treasury
As of 06/08/2020
NAV Fund AUM
101,866.06 EUR 3,134.59M EUR
A long-term treasury solution based on a rigorous issuer selection

The Fund’s investment objective, over an investment period of 12 months, is to achieve an outperformance on annual basis of the compounded EONIA for the EURO unit, the compounded Fed Funds pour the USD unit, the compounded SONIA for the GBP unit and the compounded TOIS for the CHF unit, after deducting ongoing charges. 


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Detailed product information

Our products

Treasury-3_time on building
Money Market
AMUNDI TRESO 6 MOIS

The fund’s objective is to outperform the EONIA compounded, representative of the money market rate in the Eurozone, after deducting ongoing charges.The fund seeks to outperform the money market rate by capturing credit and interest rate premiums.

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Amundi Funds Index Equity Europe
Indexing
AMUNDI INDEX MSCI EMU

The funds offers exposure to the Euro Zone without any added risk resulting from active investment strategies (geographical or sectoral bias, stock selection, etc).

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Past performance is not indicative of future returns.