A conviction-driven management style
We favour active management based on in-depth analysis of financial markets, rigorous asset selection and an allocation tailored to each investor’s objectives and risk profile.
Red Med Asset Management
Licensed by the Moroccan Capital Market Authority (AMMC), Red Med Asset Management is an independent asset-management company specialising in the design and management of investment and savings solutions tailored to institutional and private investors. We build strategies grounded in rigorous market analysis, disciplined risk management and a long-term perspective to deliver sustainable performance.
We favour active management based on in-depth analysis of financial markets, rigorous asset selection and an allocation tailored to each investor’s objectives and risk profile.
Our teams combine economic research, financial analysis and decision-support tools to identify the best investment opportunities and optimise portfolio performance.
Our organisation relies on robust governance, an independent risk-control framework and high standards of transparency, ensuring disciplined management at every stage of the investment process.
An approach built on three pillars
Continuous market monitoring, supported by powerful tools and in-depth economic and financial analysis to identify investment opportunities.
An experienced team that enhances quantitative analysis through nuanced market insight, knowledge of issuers and a strong conviction-led approach.
Disciplined management based on independent control processes, demanding governance and continuous risk monitoring to protect investments over time.
Solutions tailored to every investor profile
Solutions prioritising capital preservation and liquidity for short-term treasury needs.
Discover the rangeFunds mainly invested in debt securities, offering a risk/return profile suited to short-term investment horizons.
Discover the rangeStrategies seeking regular capital appreciation through active management of bond markets.
Discover the rangeFlexible allocation across asset classes to balance performance with risk control.
Discover the rangeEquity-market funds for investors seeking higher return potential over a long-term horizon.
Discover the range
Our governance ensures independent investment decisions, robust risk oversight and compliance with the highest market standards.
Including independent directors.
Oversees the quality of financial reporting, the effectiveness of internal control and regulatory follow-up.
Reviews asset allocation, validates management guidelines and ensures consistency in investment decisions.
Independent risk-management function.
Ensures compliance with internal procedures, regulatory obligations and the highest compliance standards.
Asset Management