UBS (Lux) Key Selection SICAV - Global Allocation (USD) (EUR hedged) Q-acc

YTD 1 month 3 months 6 months 1 year 2 years 3 years 5 years
+15.56%
31.12.24 - 18.12.25
+2.13%
18.11.25 - 18.12.25
+2.37%
18.09.25 - 18.12.25
+10.88%
18.06.25 - 18.12.25
+14.91%
18.12.24 - 18.12.25
+13.42%
21.10.24 - 18.12.25
- -
113.86 (H)
11.12.2025
113.86 (H)
11.12.2025
113.86 (H)
11.12.2025
113.86 (H)
11.12.2025
113.86 (H)
11.12.2025
113.86 (H)
11.12.2025
- -
90.81 (L)
07.04.2025
109.76 (L)
20.11.2025
109.48 (L)
25.09.2025
101.20 (L)
19.06.2025
90.81 (L)
07.04.2025
90.81 (L)
07.04.2025
- -