UBS (Lux) Bond Fund - Global Flexible (USD hedged) P-acc

YTD 1 month 3 months 6 months 1 year 2 years 3 years 5 years
+6.21%
31.12.24 - 12.12.25
-0.79%
12.11.25 - 12.12.25
+0.17%
12.09.25 - 12.12.25
+2.39%
12.06.25 - 12.12.25
+4.82%
12.12.24 - 12.12.25
+11.45%
12.12.23 - 12.12.25
+13.59%
12.12.22 - 12.12.25
-2.74%
14.12.20 - 12.12.25
106.68 (H)
28.10.2025
106.13 (H)
12.11.2025
106.68 (H)
28.10.2025
106.68 (H)
28.10.2025
106.68 (H)
28.10.2025
106.68 (H)
28.10.2025
106.68 (H)
28.10.2025
109.20 (H)
29.12.2020
97.99 (L)
14.01.2025
105.18 (L)
10.12.2025
105.04 (L)
26.09.2025
102.64 (L)
13.06.2025
97.99 (L)
14.01.2025
94.47 (L)
12.12.2023
88.27 (L)
19.10.2023
87.83 (L)
21.10.2022