UPLINE SECURITIES PERFORMANCE
Diversified fund managed by UPLINE CAPITAL MANAGEMENT, benchmarked against 75% MBI + 25% MASI RENTABILITE BRUT.
Managed by Upline Capital Management: see its asset manager page
UPLINE SECURITIES PERFORMANCE vs 75% MBI + 25% MASI RENTABILITE BRUT
Comparison at the same NAV date (weekly NAV convention for Moroccan funds).
| Period | Fund | Benchmark | Spread |
|---|---|---|---|
| 2026 (YTD) | −1.4% | +1.3% | −2.7 pts |
| 1 year | −2.7% | −0.8% | −1.9 pts |
| 3 years | +7.2% | +29.2% | −22.0 pts |
| 5 years | +8.7% | +36.2% | −27.5 pts |
As of September 11, 2026, UPLINE SECURITIES PERFORMANCE posts −1.4% year to date, versus +1.3% for its benchmark 75% MBI + 25% MASI RENTABILITE BRUT, an underperformance of 2.7 points. Over three years, the fund shows +7.2% versus +29.2% for the index. The fund represents 0 bps of the Moroccan fund market.
Net return of the fund
Based on the net asset value. As of September 11, 2026. Click a period to update the chart.
Where the fund is invested
Top positions as of June 30, 2026 (latest published inventory). The full 12-holding breakdown is for subscribers.
GICS sector classification, computed on the fund's latest published inventory.
UPLINE SECURITIES PERFORMANCE fees
Management, subscription and redemption fees.
Volatility, Sharpe, drawdown
Risk metrics and tracking error vs the benchmark.
UPLINE SECURITIES PERFORMANCE ranking
Fund's rank by performance: across the whole market, within its asset class, and among funds tracking the same benchmark.
UPLINE SECURITIES PERFORMANCE's weight
Fund assets relative to total market assets.
Funds comparable to UPLINE SECURITIES PERFORMANCE
Other Moroccan funds to explore, with their asset manager and assets under management.
Frequently asked questions about UPLINE SECURITIES PERFORMANCE
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Data updated automatically · last update: September 11, 2026
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