ATLAS SERENITE

Medium and long-term bond fund managed by ATLAS CAPITAL MANAGEMENT, benchmarked against MBI.

Managed by Atlas Capital Management: see its asset manager page

Classification
Medium and long-term bond
AuM
197.6 M MAD
Holdings
38
Fund vs its benchmark

ATLAS SERENITE vs MBI

Comparison at the same NAV date (weekly NAV convention for Moroccan funds).

PeriodFundBenchmarkSpread
2026 (YTD)−0.9%+0.4%−1.3 pts
1 year−1.0%+0.2%−1.2 pts
3 years+22.3%+17.1%+5.2 pts
5 years+20.1%+14.1%+6.0 pts

As of August 21, 2026, ATLAS SERENITE posts −0.9% year to date, versus +0.4% for its benchmark MBI, an underperformance of 1.3 points. Over three years, the fund shows +22.3% versus +17.1% for the index. The fund represents 2 bps of the Moroccan fund market.

Performance

Net return of the fund

Based on the net asset value. As of August 21, 2026. Click a period to update the chart.

from Dec 26, 2025 to Aug 24, 2026
Net asset value trend
Composition

Where the fund is invested

Top positions as of December 31, 2025 (latest published inventory). The full 38-holding breakdown is for subscribers.

Top 3 holdings
BDT 15Y @3.05% - 2040
13.8%
BDT 20Y @4.00% - 2045
10.4%
BDT 5Y @3.30% - 2029
8.5%
Full inventory for subscribers
Top 3 sectors
Government
66.0%
Financials
21.9%
Real Estate
7.1%
More sectors for subscribers

GICS sector classification, computed on the fund's latest published inventory.

Fees

ATLAS SERENITE fees

Management, subscription and redemption fees.

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For subscribers
See plans
Risk analysis

Volatility, Sharpe, drawdown

Risk metrics and tracking error vs the benchmark.

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For subscribers
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Ranking

ATLAS SERENITE ranking

Fund's rank by performance: across the whole market, within its asset class, and among funds tracking the same benchmark.

Overall ranking
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Medium and long-term bond class ranking
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vs benchmark ranking
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For subscribers
See plans
Market share

ATLAS SERENITE's weight

Fund assets relative to total market assets.

Total fund market
2 bps
0.0% of the fund market
Medium and long-term bond class
6 bps
0.1% of the medium and long-term bond class
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FAQ

Frequently asked questions about ATLAS SERENITE

What is the net asset value (NAV) of ATLAS SERENITE?
As of August 24, 2026, the net asset value of ATLAS SERENITE stands at 177.41 MAD.
What is the performance of ATLAS SERENITE in 2026?
As of August 21, 2026, ATLAS SERENITE is showing a −0.9% performance since the start of 2026.
What is the benchmark index of ATLAS SERENITE?
The benchmark index of ATLAS SERENITE is the MBI.
How much does ATLAS SERENITE have under management?
As of August 21, 2026, ATLAS SERENITE holds 197.6 M MAD in assets under management, or 2 bps of the Moroccan mutual fund (OPCVM) market.
What does ATLAS SERENITE invest in?
As of December 31, 2025, the portfolio of ATLAS SERENITE holds 38 lines. Its three largest positions are BDT 15Y @3.05% - 2040 (13.8%), BDT 20Y @4.00% - 2045 (10.4%) and BDT 5Y @3.30% - 2029 (8.5%).
Who manages ATLAS SERENITE?
ATLAS SERENITE is a fund in the medium and long-term bond (OMLT) category, managed by ATLAS CAPITAL MANAGEMENT.
What are the fees of ATLAS SERENITE?
Management, subscription and redemption fees for ATLAS SERENITE are detailed in the Yuna subscriber area.
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Data updated automatically · last update: August 21, 2026

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