UBS (Lux) Bond SICAV: Other legal notices (concern also modifications of regulations and prospectuses) as of 20.05.2025

Fund Name  NAV  Issue Price  Redemption Price  Closing Price  Trading Information SIX YTD Perf.  MyFunds
UBS (Lux) Bond SICAV - USD Corporates (USD) (EUR hedged) P-acc
LU2708692038
112.38 EUR
18.12.2025
112.38 EUR
18.12.2025
112.38 EUR
18.12.2025
+4.33%
UBS (Lux) Bond SICAV - USD Corporates (USD) (EUR hedged) Q-acc
LU0848113352
114.19 EUR
18.12.2025
114.19 EUR
18.12.2025
114.19 EUR
18.12.2025
+4.80%
UBS (Lux) Bond SICAV - USD Corporates (USD) (EUR hedged) QL-acc
LU2708691907
114.22 EUR
18.12.2025
114.22 EUR
18.12.2025
114.22 EUR
18.12.2025
+5.12%
UBS (Lux) Bond SICAV - USD Corporates (USD) (JPY hedged) P-mdist
LU2796509052
9,688.00 JPY
18.12.2025
9,688.00 JPY
18.12.2025
9,688.00 JPY
18.12.2025
+2.43%
UBS (Lux) Bond SICAV - USD Corporates (USD) F-acc
LU0396366626
Q
23.57 USD
18.12.2025
23.57 USD
18.12.2025
23.57 USD
18.12.2025
+7.48%
UBS (Lux) Bond SICAV - USD Corporates (USD) I-A1-acc
LU0396367277
Q
169.25 USD
18.12.2025
169.25 USD
18.12.2025
169.25 USD
18.12.2025
+7.34%
UBS (Lux) Bond SICAV - USD Corporates (USD) I-A3-acc
LU0396367608
Q
139.29 USD
18.12.2025
139.29 USD
18.12.2025
139.29 USD
18.12.2025
+7.45%
UBS (Lux) Bond SICAV - USD Corporates (USD) I-X-acc
LU0396368085
Q
181.88 USD
18.12.2025
181.88 USD
18.12.2025
181.88 USD
18.12.2025
+7.76%
UBS (Lux) Bond SICAV - USD Corporates (USD) I-X-mdist
LU2859748795
Q
101.00 USD
18.12.2025
101.00 USD
18.12.2025
101.00 USD
18.12.2025
+7.76%
UBS (Lux) Bond SICAV - USD Corporates (USD) P-acc
LU0172069584
21.27 USD
18.12.2025
21.27 USD
18.12.2025
21.27 USD
18.12.2025
+6.56%
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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