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Attijari Patrimoine Valeurs

Attijari Patrimoine Valeurs' objective is to increase the value of the capital in the long term by investing in an equity portfolio integrating a rigorous risk management.

ISIN Code Classification Benchmark index
MA0000030645 Equity 100% MASI
NAV  Calculation frequency Recommended investment period Eligible PEA
Weekly 5 years Yes

For who ?

For private investors looking for capital increase in the long term, through an equity portfolio managed by market experts.


Why ?

An optimal savings solution offering a high expected return against a controlled risk level over the long term.

A portfolio diversification in order to multiply performance opportunities while seeking to reduce the overall downside risk.

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, based on in-depth analysis, the stocks with the strongest fundamentals and growth potential in order to outperform its benchmark.

Wafa Gestion analyzes and seeks to anticipate financial and economic events that could impact the equity market and therefore the portfolio.

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Market share

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Million dirhams under management

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Net Asset Value

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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".