Attijari Sécurité
Attijari Sécurité's investment objective is to generate a positive return against a limited downside risk, by investing 100% of its assets in Treasury Bonds.
ISIN Code | Classification | Benchmark index |
MA0000040263 | Medium-Long Term fixed income | 100% MBI MT |
NAV Calculation frequency | Recommended investment period |
Daily | 2 years |
For who ?
For investors looking for capital growth in the medium term through a portfolio of Treasury bonds, ensuring a limited credit risk.
Why ?
A privileged access to the Moroccan bond market, for investors forced to invest exclusively in securities issued or guaranteed by the State.
A rigorous portfolio management process backed by the recognized financial, technical and economic expertise of Wafa Gestion.
How does it work ?
Wafa Gestion analyzes the macroeconomic environment and the evolution of the various bond market indicators.
Wafa Gestion selects from the securities issued and / or guaranteed by the Moroccan State those offering the best yields.
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, with the understanding that the lowest risk category (level 1) does not mean "no risk".
Download documents
Attijari Sécurité Fact Sheet
Attijari Sécurité Weekly report