UBS (Lux) Key Selection SICAV - Global Allocation (USD) (EUR hedged) P-6% mdist

YTD 1 mese 3 mesi 6 mesi 1 anno 2 anni 3 anni 5 anni
+5.82%
31.12.24 - 30.06.25
+3.97%
30.05.25 - 30.06.25
+6.17%
31.03.25 - 30.06.25
+5.82%
30.12.24 - 30.06.25
+3.87%
21.10.24 - 30.06.25
- - -
99.57 (H)
30.06.2025
99.57 (H)
30.06.2025
99.57 (H)
30.06.2025
99.57 (H)
30.06.2025
99.57 (H)
30.06.2025
- - -
87.09 (L)
07.04.2025
95.77 (L)
30.05.2025
87.09 (L)
07.04.2025
87.09 (L)
07.04.2025
87.09 (L)
07.04.2025
- - -