UBS (Lux) Key Selection SICAV: Other legal notices (concern also modifications of regulations and prospectuses) as of 27.06.2025

Fund Name  NAV  Issue Price  Redemption Price  Closing Price  Trading Information SIX YTD Perf.  MyFunds
UBS (Lux) Key Selection SICAV - China Allocation Opportunity (USD) P-mdist
LU1226287875
70.21 USD
15.09.2025
70.21 USD
15.09.2025
70.21 USD
15.09.2025
+19.70%
UBS (Lux) Key Selection SICAV - China Allocation Opportunity (USD) Q-6%-mdist
LU2037085722
67.27 USD
15.09.2025
67.27 USD
15.09.2025
67.27 USD
15.09.2025
+20.28%
UBS (Lux) Key Selection SICAV - China Allocation Opportunity (USD) Q-acc
LU2118508683
87.67 USD
15.09.2025
87.67 USD
15.09.2025
87.67 USD
15.09.2025
+20.29%
UBS (Lux) Key Selection SICAV - China Equity Unconstrained (USD) I-X-acc
LU2072950194
Q
102.14 USD
15.09.2025
102.14 USD
15.09.2025
102.14 USD
15.09.2025
+26.16%
UBS (Lux) Key Selection SICAV - Credit Income Opportunities (USD) (CHF hedged) P-dist
LU2267899107
73.02 CHF
12.09.2025
73.02 CHF
12.09.2025
73.02 CHF
12.09.2025
+3.43%
UBS (Lux) Key Selection SICAV - Credit Income Opportunities (USD) (CHF hedged) Q-dist
LU2267899289
73.93 CHF
12.09.2025
73.93 CHF
12.09.2025
73.93 CHF
12.09.2025
+3.81%
UBS (Lux) Key Selection SICAV - Credit Income Opportunities (USD) (EUR hedged) I-B-dist
LU2310811604
Q
80.11 EUR
12.09.2025
80.11 EUR
12.09.2025
80.11 EUR
12.09.2025
+5.87%
UBS (Lux) Key Selection SICAV - Credit Income Opportunities (USD) (EUR hedged) P-acc
LU2267898984
92.10 EUR
12.09.2025
92.10 EUR
12.09.2025
92.10 EUR
12.09.2025
+4.98%
UBS (Lux) Key Selection SICAV - Credit Income Opportunities (USD) (EUR hedged) Q-acc
LU2267899016
94.38 EUR
12.09.2025
94.38 EUR
12.09.2025
94.38 EUR
12.09.2025
+5.37%
UBS (Lux) Key Selection SICAV - Credit Income Opportunities (USD) K-1-acc
LU2249781977
5,105,148.60 USD
12.09.2025
5,105,148.60 USD
12.09.2025
5,105,148.60 USD
12.09.2025
+6.97%
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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