CS Investment Funds 13 - UBS (Lux) Commodity Index Plus USD Fund EB USD

YTD 1 month 3 months 6 months 1 year 2 years 3 years 5 years
+14.52%
31.12.24 - 15.12.25
+0.24%
17.11.25 - 15.12.25
+4.58%
15.09.25 - 15.12.25
+5.29%
16.06.25 - 15.12.25
+15.14%
16.12.24 - 15.12.25
+19.66%
15.12.23 - 15.12.25
+9.42%
15.12.22 - 15.12.25
+68.76%
15.12.20 - 15.12.25
1,537.12 (H)
05.12.2025
1,537.12 (H)
05.12.2025
1,537.12 (H)
05.12.2025
1,537.12 (H)
05.12.2025
1,537.12 (H)
05.12.2025
1,537.12 (H)
05.12.2025
1,537.12 (H)
05.12.2025
1,606.18 (H)
09.06.2022
1,302.71 (L)
08.04.2025
1,477.19 (L)
25.11.2025
1,412.40 (L)
19.09.2025
1,361.13 (L)
19.08.2025
1,280.18 (L)
19.12.2024
1,218.93 (L)
14.02.2024
1,211.52 (L)
31.05.2023
888.79 (L)
15.12.2020