Asset Management
An experienced teamOur profound knowledge of the Moroccan capital markets, and our consistent analysis of its monetary, bond and equity asset classes, enable us to manage in the most optimal way our mutual funds. Supported by our fundamental investment research as well as our quantitative models for asset allocation and risk-management, our teams strive daily to outperform the market over the recommended investment horizon for each mutual fund category.
A complete rangeOur mutual funds cover the entire risk/return range to offer our clients products that perfectly fit their investment profile.
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Institutional trustThe main Moroccan institutions as well as large companies have trusted us for many years: ADM, Al Ajial Fund Holding, Al Barid Bank, AXA, CAM, CAT, CIH BANK, CIMR, CMR, CNSS, Euler Hermes, MAMDA-MCMA, MATU, RMA, SAHAM, SCR, SOMED, TAQA, etc. SOMED, TAQA, etc. Products co-developped with cih bankTo cater for the interest CIH Bank’s clients in capital markets, a range of mutual funds has been specifically and jointly developed to better serve their needs. Having CIH Bank as a custodian and marketed by CIH Bank’s agency network, these funds are totally free of any custody fees.
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