OPEN-SOURCE SCRIPT
Actualizado Moroccan OPCVM FCP Gold NAV Tracker (XAUUSD Based)

**Moroccan OPCVM FCP GOLD VL**
This indicator provides a real-time estimation of the theoretical Net Asset Value (NAV) of the Moroccan OPCVM FCP Gold fund based on the gold price (XAUUSD).
**Formula**
Theoretical NAV = XAUUSD × 0.5708
**Calibration**
The coefficient was calibrated using:
* Official fund Net Asset Value (NAV)
* Gold spot price (XAUUSD)
**Purpose**
* Track the fund's theoretical performance between official NAV publications.
* Compare FCP Gold performance against the underlying gold market.
* Estimate future NAV movements based on gold price fluctuations.
**Important**
The official NAV of the fund is calculated and published every Thursday.
This indicator provides an approximation based solely on the gold price and does not take into account:
* Management fees
* Tracking errors
* USD/MAD exchange rate fluctuations
* Other operational adjustments made by the fund manager
**Use Case**
A practical tool for monitoring and comparing the Moroccan FCP Gold fund with the international gold market, providing investors with an indicative real-time valuation between official NAV updates.
**Disclaimer**
This indicator is for informational and educational purposes only and should not be considered as an official NAV source or investment advice.
This indicator provides a real-time estimation of the theoretical Net Asset Value (NAV) of the Moroccan OPCVM FCP Gold fund based on the gold price (XAUUSD).
**Formula**
Theoretical NAV = XAUUSD × 0.5708
**Calibration**
The coefficient was calibrated using:
* Official fund Net Asset Value (NAV)
* Gold spot price (XAUUSD)
**Purpose**
* Track the fund's theoretical performance between official NAV publications.
* Compare FCP Gold performance against the underlying gold market.
* Estimate future NAV movements based on gold price fluctuations.
**Important**
The official NAV of the fund is calculated and published every Thursday.
This indicator provides an approximation based solely on the gold price and does not take into account:
* Management fees
* Tracking errors
* USD/MAD exchange rate fluctuations
* Other operational adjustments made by the fund manager
**Use Case**
A practical tool for monitoring and comparing the Moroccan FCP Gold fund with the international gold market, providing investors with an indicative real-time valuation between official NAV updates.
**Disclaimer**
This indicator is for informational and educational purposes only and should not be considered as an official NAV source or investment advice.
Notas de prensa
**Moroccan OPCVM FCP GOLD VL**This indicator provides a real-time estimation of the theoretical Net Asset Value (NAV) of the Moroccan OPCVM FCP Gold fund based on the gold price (XAUUSD).
**Formula**
Theoretical NAV = XAUUSD × 0.5708
**Calibration**
The coefficient was calibrated using:
* Official fund Net Asset Value (NAV)
* Gold spot price (XAUUSD)
**Purpose**
* Track the fund's theoretical performance between official NAV publications.
* Compare FCP Gold performance against the underlying gold market.
* Estimate future NAV movements based on gold price fluctuations.
**Important**
The official NAV of the fund is calculated and published every Thursday.
This indicator provides an approximation based solely on the gold price and does not take into account:
* Management fees
* Tracking errors
* USD/MAD exchange rate fluctuations
* Other operational adjustments made by the fund manager
**Use Case**
A practical tool for monitoring and comparing the Moroccan FCP Gold fund with the international gold market, providing investors with an indicative real-time valuation between official NAV updates.
**Disclaimer**
This indicator is for informational and educational purposes only and should not be considered as an official NAV source or investment advice.
Notas de prensa
**Moroccan OPCVM FCP GOLD VL**This indicator provides a real-time estimation of the theoretical Net Asset Value (NAV) of the Moroccan OPCVM FCP Gold fund based on the gold price (XAUUSD).
**Formula**
Theoretical NAV = XAUUSD × 0.5708
**Calibration**
The coefficient was calibrated using:
* Official fund Net Asset Value (NAV)
* Gold spot price (XAUUSD)
**Purpose**
* Track the fund's theoretical performance between official NAV publications.
* Compare FCP Gold performance against the underlying gold market.
* Estimate future NAV movements based on gold price fluctuations.
**Important**
The official NAV of the fund is calculated and published every Thursday.
This indicator provides an approximation based solely on the gold price and does not take into account:
* Management fees
* Tracking errors
* USD/MAD exchange rate fluctuations
* Other operational adjustments made by the fund manager
**Use Case**
A practical tool for monitoring and comparing the Moroccan FCP Gold fund with the international gold market, providing investors with an indicative real-time valuation between official NAV updates.
**Disclaimer**
This indicator is for informational and educational purposes only and should not be considered as an official NAV source or investment advice.
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La información y las publicaciones no constituyen, ni deben considerarse como, asesoramiento o recomendaciones financieras, de inversión, de trading u otro tipo, proporcionadas o respaldadas por TradingView. Obtenga más información en Condiciones de uso.
Script de código abierto
Fiel al espíritu de TradingView, el creador de este script lo ha convertido en código abierto, para que los traders puedan revisar y verificar su funcionalidad. ¡Enhorabuena al autor! Aunque puede utilizarlo de forma gratuita, recuerde que cualquier republicación del código está sujeta a nuestras Normas internas.
Exención de responsabilidad
La información y las publicaciones no constituyen, ni deben considerarse como, asesoramiento o recomendaciones financieras, de inversión, de trading u otro tipo, proporcionadas o respaldadas por TradingView. Obtenga más información en Condiciones de uso.