Upline Valeurs Plus

As Of : 13-Oct-2022
  • MAD
  • 1 Y :
  • -308.7300
  • -10.55%
  • YTD :
  • -279.2400
  • -9.64%
Symbol : MARUCMUVA
ISIN :
Classificaion : Equity
Domicile : --
Note :  All calculations and ratios on the top panel are based on previous day EOD's NAV

Upline Valeurs Plus Profile

Overview

  • Fund Classification :
    Equity
  • Geographic Focus :
    Northern Africa , Morocco
  • Domicile :
  • Eligibility :
    --
  • Benchmark :
  • NAV Frequency :
    Daily
  • Currency :
    MAD
  • Type :
    Open
  • Establishing Date :
    08-Jun-2007
  • Certificates :
  • Duration (Years) :
  • Par Value :
  • Start of FY :
    1 Jan
  • End of FY :
    31 Dec
  • Objective :
  • Investment Strategy :
    The fund invests 60% of net assets, at least, in cash, in investment certificates and in equity listed in Casablanca Stock Exchange. It may also allocate up to 10% of net assets for investment operations in foreign currency abroad.
  • Dividend policy :
  • Risk :

Performance

1M
3M
YTD
1Y
MAX
From :
To :
:
:

Management

Fees

  • Subscription :
  • Redemption :
  • Management :
  • Administration :
  • Custodian :
  • Performance :
  • Min. Subscription :
  • Subsequent Sub. :
  • Other Expenses :

Disclosures

Date Title File
30-Jun-2021 FCP Upline Valeurs Plus Semiannual Financial Report 2021
31-Dec-2020 FCP Upline Valeurs Plus Annual Financial Report 2020
30-Jun-2020 UPLINE VALEURS PLUS Semiannual Financial Report 2020
30-Jun-2019 FCP Upline Valeurs Plus Semiannual Financial Report 2019
31-Dec-2018 FCP Upline Valeurs Plus Annual Financial Report 2018
30-Jun-2018 FCP Upline Valeurs Plus Semiannual Financial Report 2018
30-Jun-2017 FCP Upline Valeurs Plus Semiannual Financial Report 2017
31-Dec-2016 FCP Upline Valeurs Plus Annual Financial Report 2016
30-Jun-2016 FCP Upline Valeurs Plus Semiannual Financial Report 2016
31-Dec-2015 FCP Upline Valeurs Plus Annual Financial Report 2015
30-Jun-2015 FCP Upline Valeurs Plus Semiannual Financial Report 2015
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