UBS (Lux) Bond SICAV - Asian High Yield (USD) Q-dist

YTD 1 month 3 months 6 months 1 year 2 years 3 years 5 years
+16.60%
29.12.23 - 04.10.24
+3.62%
04.09.24 - 04.10.24
+4.87%
04.07.24 - 04.10.24
+8.65%
04.04.24 - 04.10.24
+25.42%
04.10.23 - 04.10.24
+33.29%
04.10.22 - 04.10.24
-28.17%
04.10.21 - 04.10.24
-34.82%
04.10.19 - 04.10.24
62.91 (H)
04.10.2024
62.91 (H)
04.10.2024
62.91 (H)
04.10.2024
62.91 (H)
04.10.2024
62.91 (H)
04.10.2024
62.91 (H)
04.10.2024
87.58 (H)
04.10.2021
102.04 (H)
26.05.2021
53.95 (L)
29.12.2023
60.11 (L)
11.09.2024
59.99 (L)
04.07.2024
56.94 (L)
26.04.2024
49.97 (L)
23.10.2023
40.91 (L)
03.11.2022
40.91 (L)
03.11.2022
40.91 (L)
03.11.2022