
Attijari Al Moucharaka
Attijari Al Moucharaka aims to outperform the equity market over an investment horizon of 5 years, by targeting sectors operating an "ethical" activity.
ISIN Code | Classification | Benchmark index |
MA0000040156 | Equity | 100% MASI |
NAV Calculation frequency | Recommended investment period | Eligible PEA |
Weekly | 5 years | Yes |
For who ?
For investors looking for an alternative investment product offering a high expected return over the long term.
Why ?
An attractive savings solution for clients seeking high performance in return for a controlled risk level on the long-term.
A selective access to the equity market through the selection and diversification of companies operating "ethical" activities (excluding banks, finance companies, insurance, and spirits).
Rigorous portfolio and risk management processes leveraging Wafa Gestion's recognized financial, technical and economic expertise.
How does it work ?
Wafa Gestion filters and selects, within the defined investment universe, the companies with the best long-term growth potential based on financial analysis.
Wafa Gestion analyzes and seeks to anticipate economic events and movements that could impact the equity market and consequently the portfolio.
Market share
Million dirhams under management
Net Asset Value

Return and Risk profile
A numerical scale, graduated from 1, for the lowest risk, to 7 for the highest risk, being specified that the lowest risk category (level 1) does not mean "no risk".
Documents to download
Attijari Al Moucharaka Fact Sheet
Attijari Al Mouchakara Monthly report