CASAVALUE
The First Value Investing Platform in Morocco

Deep Research for
Moroccan Equities

Rigorous research on Casablanca-listed companies, combining quality scoring, Peter Lynch classification, normalized historical financials, and in-depth company analysis.

Screen every stock on the Bourse

Filter and compare all 77 listed companies with 50+ financial metrics. Sort by quality score, P/E, ROE, dividend yield, and more.

  • 50+ metrics including ROIC, FCF margin, and debt ratios
  • Save custom screener presets for your investment strategy
  • Add to watchlist with one click from any table
Try the Screener
CASAVALUE
Search 77 companies...
Company
P/E
ROE
Score
Chg
LABEL VIELBV
18.2
19.1%
7.8
+2.4%
BCPBCP
14.3
12.7%
7.1
+0.8%
AKDITALAKT
40.8
8.3%
5.3
+3.1%
COSUMARCSR
22.1
15.4%
6.9
-0.5%
MAROC TELECOMIAM
18.9
19.9%
6.2
-1.2%
CASAVALUE
LBV logo
LABEL VIE
Distributeurs
5.14/10Fast Grower
MoatEfficiencyGrowthEarningsCash FlowBalance SheetCapital Alloc.GovernanceIndustry
8/10Growth

Revenue CAGR 12.3% over 5y — aggressive store rollout with 30+ openings planned

7/10Moat

Dominant #1 retailer with 3 brands (Carrefour, Atacadao, Hyper). Scale advantage in purchasing

8/10Earnings

EPS grew 9 of last 10 years. Operating margin stable at 4.2-4.8% despite expansion

3/10Cash Flow

Heavy capex for expansion consumes FCF. Only 2 positive FCF years out of 10

4/10Balance Sheet

Net debt 2.1x EBITDA — manageable but rising with expansion. Monitor leverage trend

Deep company analysis

Every company scored across 9 quality factors, classified by Peter Lynch, and analyzed with 10+ years of normalized financials.

  • 9-factor quality scoring from moat to governance
  • Peter Lynch classification: Fast Grower, Stalwart, Cyclical
  • Historical financials normalized across PCG and IFRS
  • DCF calculator with customizable scenarios
Explore Companies

Track your portfolio

Record your transactions, monitor P&L, track dividends, and benchmark against the MASI index — all in one place.

  • Real-time P&L with weighted average cost basis
  • Performance chart vs MASI and individual stocks
  • Dividend income tracker with monthly calendar
  • Price alerts when stocks hit your margin of safety
Start Tracking
CASAVALUE
Portfolio Value
847K MAD
Total P&L
+17.2%
Div Yield
3.8%
PortfolioMASI
AKDITAL
25%+32.1%
BCP
20%+18.5%
LABEL VIE
18%+12.3%
0
Listed Companies
0+
Years of History
0
Sectors
0+
Financial Metrics

What's inside CasaValue?

Every tool a value investor needs, purpose-built for the Moroccan market.

9-Factor Quality Scoring

Evaluate business quality, growth, capital efficiency, balance sheet strength, and governance.

Peter Lynch Classification

Every company mapped to Lynch's categories: Fast Growers, Stalwarts, Cyclicals, and more.

Normalized Financials

10+ years of financial statements standardized across PCG and IFRS for consistent comparison.

Price & Event Alerts

Get notified when stocks hit your margin of safety target or when corporate events are coming up.

Portfolio Tracking

Track holdings, P&L, dividends, and benchmark performance against the MASI index.

Market News

Aggregated financial news from Moroccan sources, filtered by company and market-wide.

Frequently Asked Questions

What is CasaValue?
CasaValue is a value investing research platform built specifically for the Casablanca Stock Exchange (Bourse de Casablanca). It provides quality scoring, 10-year normalized financials, Peter Lynch classification, and deep company analysis for all listed Moroccan companies.
What companies are covered?
We cover all companies listed on the Bourse de Casablanca across every sector, from banking and insurance to real estate, mining, and consumer goods.
How is the quality score calculated?
The quality score is based on 9 factors: business model strength, competitive moat, capital allocation, growth quality, balance sheet strength, earnings quality, management and governance, valuation margin, and dividend sustainability. Each factor is scored and weighted to produce a final score out of 10.
Is the financial data reliable?
Yes. Financial statements are sourced from official annual reports and normalized across PCG (Plan Comptable General) and IFRS standards for consistent historical comparison going back 10+ years.
What's the difference between Free and Premium?
Free gives you company overviews, a basic screener with 10 columns, top 5 rankings, and portfolio tracking. Premium unlocks all 9 company tabs, full screener with 60+ metrics, custom valuations with price alerts, unlimited watchlist, PDF reports, and 30+ years of MASI data.
Can I track my portfolio?
Yes. Portfolio tracking is free for all users. You can record buy and sell transactions, monitor profit and loss, track dividends, and see your portfolio's sector allocation and weighted metrics.
Independent research, no conflicts

Start Analyzing the Bourse

Explore every listed company with deep financials, quality scores, and data-driven analysis. Create a free account to get started.

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