UBS (CH) Investment Fund: Other legal notices (concern also modifications of regulations and prospectuses) as of 22.09.2025

Fund Name  NAV  Issue Price  Redemption Price  Closing Price  Trading Information SIX YTD Perf.  MyFunds
UBS (CH) Investment Fund - Equities Pacific ex Japan Index (USD) I-X-acc
CH0295356635
Q
1,848.46 USD
15.12.2025
1,848.46 USD
15.12.2025
1,848.46 USD
15.12.2025
+19.53%
UBS (CH) Investment Fund - Equities Pacific ex Japan Index I-A-acc
CH0033047561
Q
1,100.08 CHF
15.12.2025
1,100.08 CHF
15.12.2025
1,100.08 CHF
15.12.2025
+4.73%
UBS (CH) Investment Fund - Equities Pacific ex Japan Index I-B-acc
CH0033048098
Q
1,013.28 CHF
15.12.2025
1,013.28 CHF
15.12.2025
1,013.28 CHF
15.12.2025
+4.81%
UBS (CH) Investment Fund - Equities Pacific ex Japan Index I-X-acc
CH0033048320
Q
989.02 CHF
15.12.2025
989.02 CHF
15.12.2025
989.02 CHF
15.12.2025
+4.87%
UBS (CH) Investment Fund - Equities Switzerland All Index A-acc
CH0356569118
S
175.91 CHF
15.12.2025
175.91 CHF
15.12.2025
175.91 CHF
15.12.2025
+15.64%
UBS (CH) Investment Fund - Equities Switzerland All Index I-A-acc
CH0015710095
Q
3,109.80 CHF
15.12.2025
3,109.80 CHF
15.12.2025
3,109.80 CHF
15.12.2025
+15.69%
UBS (CH) Investment Fund - Equities Switzerland All Index I-A3-acc
CH0116839157
Q
1,880.61 CHF
15.12.2025
1,880.61 CHF
15.12.2025
1,880.61 CHF
15.12.2025
+15.69%
UBS (CH) Investment Fund - Equities Switzerland All Index I-B-acc
CH0015710145
Q
4,098.38 CHF
15.12.2025
4,098.38 CHF
15.12.2025
4,098.38 CHF
15.12.2025
+15.75%
UBS (CH) Investment Fund - Equities Switzerland All Index I-X-acc
CH0015710194
Q
3,864.62 CHF
15.12.2025
3,864.62 CHF
15.12.2025
3,864.62 CHF
15.12.2025
+15.80%
UBS (CH) Investment Fund - Equities Switzerland All Net Zero Ambition NSL I-A-acc
CH1458346744
Q
1,072.41 CHF
15.12.2025
1,072.41 CHF
15.12.2025
1,072.41 CHF
15.12.2025
/ Add to MyFunds list / Delete from MyFunds list
/ Add to comparison list / Remove from comparison list
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