UBS (Lux) Bond SICAV - Global Short Term Flexible (USD) (GBP hedged) P-acc

Reference Data

ISIN LU2327293929
Valor Number 110760053
Bloomberg Global ID UBTFUPG LX
Fund Name UBS (Lux) Bond SICAV - Global Short Term Flexible (USD) (GBP hedged) P-acc
Fund Provider UBS Asset Management Switzerland AG, Zurich 8098 Zürich, Schweiz
E-Mail: ubs-am-wholesale-switzerland@ubs.com
Web: www.ubs.com/fonds
Fund Provider UBS Asset Management Switzerland AG, Zurich
Representative in Switzerland UBS Fund Management (Switzerland) AG
Basel
Phone: +41 61 288 49 10
Distributor(s) UBS Global Asset Management
Basel
Phone: +41 61 288 20 20
Asset Class Bonds
EFC Category Bond Aggregate ST GBP
Distribution Policy Accumulation
Home Country Luxembourg
Issuing Condition The fund management company and/or distributor charges an issuing commission (different commissions can be charged for the same fund depending on the sales channel)
Redemption Condition The fund does not charge any redemption commission and/or fees (units are redeemed at the NAV)
Investment Strategy *** This sub-fund promotes environmental and/or social characteristics and complies with Article 8 of Regulation (EU) 2019/2088 on sustainability-related disclosures in the financial services sector (“SFDR”). This actively managed sub-fund uses the benchmark Bloomberg Global Aggregate 1-3 years TR (USD hedged) Index as reference for portfolio construction, sustainability profile comparison and performance evaluation purposes. The sub-fund seeks to achieve attractive returns by investing in the global bond markets while managing the overall portfolio risk. Within the scope of the general investment policy, this sub-fund invests at least two-thirds of its assets in a globally diversified portfolio of debt securities and claims. This includes ABS, MBS and CDOs, which may not exceed 40% of the sub-fund’s net assets in total.
Peculiarities

Fund Prices

Current Price * 107.23 GBP 11.06.2025
Previous Price * 107.23 GBP 10.06.2025
52 Week High * 107.23 GBP 10.06.2025
52 Week Low * 100.54 GBP 12.06.2024
NAV * 107.23 GBP 11.06.2025
Issue Price * 107.23 GBP 11.06.2025
Redemption Price * 107.23 GBP 11.06.2025
Closing Price *
Indicative Minimum Price
Fund Assets *** 110,840,691
Unit/Share Assets *** 11,367,193
Trading Information SIX

Performance

YTD Performance +3.23% 31.12.2024
11.06.2025
YTD Performance (in CHF) +1.01% 31.12.2024
11.06.2025
1 month +0.68% 12.05.2025
11.06.2025
3 months +1.94% 11.03.2025
11.06.2025
6 months +2.96% 11.12.2024
11.06.2025
1 year +6.75% 11.06.2024
11.06.2025
2 years +11.34% 12.06.2023
11.06.2025
3 years +12.26% 13.06.2022
11.06.2025
5 years +7.23% 01.06.2021
11.06.2025

Tax Data

Equity Participation Rate in %
Share of Total Fund Assets in %
Real Estate Rate in %
ADDI
ADDI Date

Top 10 Holdings ***

United States Treasury Notes 4.75% 3.99%
France (Republic Of) 0.5% 3.58%
Italy (Republic Of) 3.5% 3.48%
United States Treasury Notes 4.25% 3.13%
Italy (Republic Of) 1.85% 3.05%
United States Treasury Notes 2.875% 2.69%
Italy (Republic Of) 1.3% 2.07%
Mexico (United Mexican States) 7.75% 2.02%
United Kingdom of Great Britain and Northern Ireland 3.5% 1.96%
United States Treasury Notes 4% 1.75%
Last data update 30.04.2025

Cost / Risk

TER 0.0097%
TER date 31.05.2024
Performance Fee *** 0.00%
PTR
Max. Management Fee *** 0.70%
Ongoing Charges *** 0.96%
SRRI ***
SRRI date *** 31.05.2025

Breakdowns

Bond Sectors ***


* NAV / Issue Price exclusive commissions, for listed funds NAV or closing price
** Calculation of interim profit followed § 9 Satz 2 InvStG
*** Data source: Morningstar (Data is based on the rescaled long position of the holdings)