UBS (Lux) Equity Fund - Japan (JPY) I-B-acc

YTD 1 month 3 months 6 months 1 year 2 years 3 years 5 years
- +0.21%
03.12.25 - 16.12.25
+0.21%
03.12.25 - 16.12.25
+0.21%
03.12.25 - 16.12.25
+0.21%
03.12.25 - 16.12.25
+0.21%
03.12.25 - 16.12.25
+0.21%
03.12.25 - 16.12.25
-0.26%
21.06.21 - 16.12.25
- 10,173.00 (H)
15.12.2025
10,173.00 (H)
15.12.2025
10,173.00 (H)
15.12.2025
10,173.00 (H)
15.12.2025
10,173.00 (H)
15.12.2025
10,173.00 (H)
15.12.2025
11,221.00 (H)
16.11.2021
- 9,953.00 (L)
03.12.2025
9,953.00 (L)
03.12.2025
9,953.00 (L)
03.12.2025
9,953.00 (L)
03.12.2025
9,953.00 (L)
03.12.2025
9,953.00 (L)
03.12.2025
9,111.00 (L)
08.03.2022