UBS (CH) Institutional Fund - Bonds CHF Foreign Prime I-X-acc

YTD 1 month 3 months 6 months 1 year 2 years 3 years 5 years
+0.36%
31.12.24 - 17.12.25
-0.63%
17.11.25 - 17.12.25
-0.57%
17.09.25 - 17.12.25
-0.38%
17.06.25 - 17.12.25
+0.35%
17.12.24 - 17.12.25
+5.11%
18.12.23 - 17.12.25
+9.63%
19.12.22 - 17.12.25
+0.25%
17.12.20 - 17.12.25
1,073.36 (H)
04.11.2025
1,071.84 (H)
03.12.2025
1,073.36 (H)
04.11.2025
1,073.36 (H)
04.11.2025
1,073.36 (H)
04.11.2025
1,073.36 (H)
04.11.2025
1,073.36 (H)
04.11.2025
1,073.36 (H)
04.11.2025
1,041.06 (L)
12.03.2025
1,062.62 (L)
12.12.2025
1,062.62 (L)
12.12.2025
1,061.91 (L)
27.06.2025
1,041.06 (L)
12.03.2025
1,003.77 (L)
10.01.2024
956.32 (L)
27.12.2022
939.76 (L)
10.10.2022