UBS (Lux) Bond SICAV - Global Inflation-linked (USD) (EUR hedged) Q-acc

YTD 1 month 3 months 6 months 1 year 2 years 3 years 5 years
+5.03%
31.12.24 - 12.12.25
-0.59%
12.11.25 - 12.12.25
-0.18%
12.09.25 - 12.12.25
+1.60%
12.06.25 - 12.12.25
+3.78%
12.12.24 - 12.12.25
+8.15%
12.12.23 - 12.12.25
+8.28%
12.12.22 - 12.12.25
+2.26%
14.12.20 - 12.12.25
116.36 (H)
22.10.2025
116.07 (H)
12.11.2025
116.36 (H)
22.10.2025
116.36 (H)
22.10.2025
116.36 (H)
22.10.2025
116.36 (H)
22.10.2025
116.36 (H)
22.10.2025
117.22 (H)
18.11.2021
109.52 (L)
13.01.2025
115.24 (L)
10.12.2025
115.24 (L)
10.12.2025
113.45 (L)
13.06.2025
109.52 (L)
13.01.2025
106.69 (L)
12.12.2023
102.96 (L)
03.10.2023
102.95 (L)
13.10.2022