De l’énergie à l’eau , TAQA Morocco œuvre depuis plus de 28 ans pour un Maroc durable et résilient. Based on the latest available figures (9M 2025), the company shows revenue of 7.96B, net income of 681M, market cap of 42.67B.

Electricité • MA0000012205
Borsalia tracks TAQA Morocco with its price, intraday chart, filings, and company-linked news on the Casablanca Stock Exchange.
De l’énergie à l’eau , TAQA Morocco œuvre depuis plus de 28 ans pour un Maroc durable et résilient. Based on the latest available figures (9M 2025), the company shows revenue of 7.96B, net income of 681M, market cap of 42.67B.
TAQA Morocco price, daily move, turnover, and session range are grouped at the top of the page for a quick public-market read.
Liquidity, spread, and turnover to judge tradability.
Peer comparisons with SRM and AFMA and related listed names.
Company-linked filings, news, and market context around TAQA Morocco.
De l’énergie à l’eau , TAQA Morocco œuvre depuis plus de 28 ans pour un Maroc durable et résilient.
Direct exposure to the Electricité sector.
| Company | Price | 1D change | Market cap | P/E | Liquidity |
|---|---|---|---|---|---|
![]() | 1.809,00 MAD | +0.50% | 42,7 Md MAD | -- | light |
![]() | 483,40 MAD | +0.00% | 154,7 M MAD | -- | light |
TAQA Morocco est un acteur intégré énergie-eau, majoritairement détenu par Abu Dhabi National Energy Company (85.8%). Résultats 9M 2025 solides (CA 7 957 MDH, EBITDA 2 415 MDH) mais signalent un retournement opérationnel lié au charbon et une transformation lourde vers renouvelables et dessalement. Le groupe engage un cycle d’investissement massif (articles évoquent ~130 mdh et objectif 2→8 GW d’ici 2030). Valorisation élevée (PER 2025 autour de 51) et faible flottant (14,2%) limitent la liquidité et augmentent la sensibilité au risque d’exécution.
The TAQA Morocco quote is the entry point: last price, change, range, volume, and traded value. Before drawing a quick conclusion, compare that move with liquidity, recent chart behavior, and the role of TQM within Electricité. A single move may reflect real information, but it can also come from a thin order book or a session with limited turnover.
Listed filings help explain results, releases, notices, and events that may sit behind a price move. Recent news is a monitoring signal, but the stronger workflow is to open filings, check dates, and compare the content with the page metrics. Events and dividends should be read in the same context.
The displayed shareholder structure adds governance context, but it does not replace fundamentals, valuation, and peer comparison. Use comparable companies, financial indicators, and dividend history to separate a temporarily active stock from a company whose underlying data is changing. Borsalia keeps this page informational: no target price and no personalized recommendation.
For TQM, the strongest reading follows the same order every time: price and volume, chart, filings, events, fundamentals, shareholders, then sector comparison. This routine makes company pages comparable and prevents one visible module from dominating the read. If a tab looks sparse, treat it as a verification signal: it often means a publication is missing, a data field is not exploitable, or a consistency check is still open. Keep the same checklist when comparing peers so the conclusion is based on a repeatable method.
Verified shareholder structure available for this page.
Recent official issuer documents linked to the stock.
Automated news and release monitoring.
| 1.220,00 MAD |
| +0.00% |
| 1,2 Md MAD |
| -- |
| light |
| 129,30 MAD | -0.54% | 7,8 Md MAD | -- | light |
![]() | 32,80 MAD | -0.58% | 13,2 Md MAD | -- | light |
![]() | 356,00 MAD | -1.11% | 103,8 M MAD | -- | light |