CS Investment Funds 1 - UBS (Lux) Global High Yield Bond Fund I-A1-dist

YTD 1 mese 3 mesi 6 mesi 1 anno 2 anni 3 anni 5 anni
+6.72%
31.12.24 - 15.12.25
+0.85%
17.11.25 - 15.12.25
+0.05%
15.09.25 - 15.12.25
+3.00%
16.06.25 - 15.12.25
+6.21%
16.12.24 - 15.12.25
+11.04%
15.12.23 - 15.12.25
+17.57%
15.12.22 - 15.12.25
+1.42%
15.12.20 - 15.12.25
1'040.55 (H)
27.10.2025
1'038.77 (H)
03.12.2025
1'040.55 (H)
27.10.2025
1'040.55 (H)
27.10.2025
1'040.55 (H)
27.10.2025
1'040.55 (H)
27.10.2025
1'040.55 (H)
27.10.2025
1'047.71 (H)
06.09.2021
963.98 (L)
09.04.2025
1'028.23 (L)
18.11.2025
1'028.23 (L)
18.11.2025
1'007.78 (L)
17.06.2025
963.98 (L)
09.04.2025
935.29 (L)
15.12.2023
872.86 (L)
30.12.2022
845.35 (L)
13.10.2022