U ASSET ALLOCATION: General meetings - Invitations and resolutions as of 23.04.2025

Fund Name  NAV  Issue Price  Redemption Price  Closing Price  Trading Information SIX YTD Perf.  MyFunds
U ASSET ALLOCATION - Calm Sea USD AD
LU2262130664
101.12 USD
05.06.2025
+7.24%
U ASSET ALLOCATION - Calm Sea USD MC
LU2262130748
Q
112.38 USD
05.06.2025
+8.19%
U ASSET ALLOCATION - Conservative EUR AC
LU2262120277
93.58 EUR
05.06.2025
+1.06%
U ASSET ALLOCATION - Conservative EUR MC
LU0860986529
Q
991.37 EUR
05.06.2025
+1.22%
U ASSET ALLOCATION - Conservative EUR MD EUR
LU2262120434
102.26 EUR
05.06.2025
+0.50%
U ASSET ALLOCATION - Conservative GBP MC
LU0860986446
Q
1,071.96 GBP
05.06.2025
+2.17%
U ASSET ALLOCATION - Conservative GBP MD
LU2262119774
Q
101.44 GBP
05.06.2025
+0.79%
U ASSET ALLOCATION - Conservative USD AC
LU2262118453
102.38 USD
05.06.2025
+2.17%
U ASSET ALLOCATION - Conservative USD MC
LU0860986289
Q
1,163.53 USD
05.06.2025
+2.31%
U ASSET ALLOCATION - Dynamic CHF AC
LU2262128338
95.20 CHF
05.06.2025
+0.90%
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Q
Fund for qualified investors
E
The fund is an ETF / The fund is an ETSF
S
The fund is a Sponsored Fund
* NAV / Issue Price exclusive commissions, for listed funds NAV or closing price