Equity
Attijari Actions aims to outperform the moroccan stock market and to ensure capital appreciation over 5 years.
Thematic
Attijari Valeurs ESG aims to achieve better financial and extra-financial (ESG) performance than its index in the long term.
Attijari Gold's objective is to replicate the performance of Gold in Dirham, by minimizing the tracking error between the portfolio and the index rate of return.
WG Momentum Factor Fund applies a quantitative portfolio management approch, which automatically selects stocks that have historically outperformed the benchmark to optimize the fund's long-term performance.
WG Value Factor Fund applies a quantitative portfolio management approch, which automatically selects stocks considered to be undervalued, in order to optimize the fund's long-term growth potential.
WG Low Volatility Factor Fund applies a quantitative portfolio management approch, which automatically selects low-volatility stocks to optimize the fund's risk/return profile over the long term.
Attijari Dividend Fund aims to enhance performance in the long term and to offer an attractive dividend rate on a yearly basis (3.5% to 4% per year).
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