OPEN-SOURCE SCRIPT
Aggiornato 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.
Note di rilascio
**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.
Note di rilascio
**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.
Script open-source
Nello spirito di TradingView, l'autore di questo script lo ha reso open source, in modo che i trader possano esaminarne e verificarne la funzionalità. Complimenti all'autore! Sebbene sia possibile utilizzarlo gratuitamente, ricordiamo che la ripubblicazione del codice è soggetta al nostro Regolamento.
Declinazione di responsabilità
Le informazioni e le pubblicazioni non sono intese come, e non costituiscono, consulenza o raccomandazioni finanziarie, di investimento, di trading o di altro tipo fornite o approvate da TradingView. Per ulteriori informazioni, consultare i Termini di utilizzo.
Script open-source
Nello spirito di TradingView, l'autore di questo script lo ha reso open source, in modo che i trader possano esaminarne e verificarne la funzionalità. Complimenti all'autore! Sebbene sia possibile utilizzarlo gratuitamente, ricordiamo che la ripubblicazione del codice è soggetta al nostro Regolamento.
Declinazione di responsabilità
Le informazioni e le pubblicazioni non sono intese come, e non costituiscono, consulenza o raccomandazioni finanziarie, di investimento, di trading o di altro tipo fornite o approvate da TradingView. Per ulteriori informazioni, consultare i Termini di utilizzo.