UBS (LUX) F.S.-MSCI Japan UE A H/  LU1169822340  /

Fonds
NAV2024-04-18 Chg.+0.0859 Type of yield Investment Focus Investment company
19.9308GBP +0.43% paying dividend Equity ETF Stocks UBS Fund M. (LU) 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2017 - - - - - - - -0.50 4.00 5.63 1.41 1.37 -
2018 0.70 -3.94 -3.03 4.34 -1.78 -0.60 0.76 -0.71 5.47 -9.23 1.04 -10.06 -16.83%
2019 3.36 2.19 0.01 2.09 -6.71 2.99 -0.03 -3.29 5.78 4.75 1.89 1.40 +14.68%
2020 -1.60 -10.51 -7.36 4.39 6.87 0.13 -3.47 6.69 0.50 -2.52 11.92 3.08 +6.08%
2021 0.36 3.22 4.81 -2.59 1.58 1.15 -2.38 3.17 4.35 -1.18 -3.00 3.26 +13.05%
2022 -5.07 -1.14 4.65 -2.45 1.03 -2.63 4.10 1.21 -6.23 5.63 3.33 -5.15 -3.60%
2023 4.92 1.08 1.92 2.89 4.74 7.70 1.65 0.41 0.80 -2.58 6.20 0.01 +33.56%
2024 8.61 5.79 4.11 -2.87 - - - - - - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 13.95% 14.41% 14.16% 15.68% 16.69%
Sharpe ratio 4.63 2.94 2.59 0.76 0.60
Best month +8.61% +8.61% +8.61% +8.61% +11.92%
Worst month -2.87% -2.87% -2.87% -6.23% -10.51%
Maximum loss -4.59% -4.59% -7.89% -16.34% -30.41%
Outperformance +4.55% - +4.11% -8.32% -
 
All quotes in GBP

Tranches

Name   Type of yield Repurchase p. 1 Year 3 Years
UBS (LUX) F.S.-MSCI Japan UE A ... paying dividend 2,958.3110 +34.96% +46.09%
UBS (LUX) F.S.-MSCI Japan UE A reinvestment 3,529.6350 +34.96% +46.13%
UBS (LUX) F.S.-MSCI Japan UE A H reinvestment 26.6838 +36.41% +46.38%
UBS (LUX) F.S.-MSCI Japan UE A H reinvestment 26.2212 +41.63% +59.38%
UBS (LUX) F.S.-MSCI Japan UE A H paying dividend 19.9308 +40.52% +55.33%
UBS (LUX) F.S.-MSCI Japan UE A H paying dividend 24.7554 +39.33% +50.95%
UBS (LUX) F.S.-MSCI Japan UE A paying dividend 8,285.7178 +34.96% +46.10%
UBS (LUX) F.S.-MSCI Japan UE A H reinvestment 26.2696 +39.36% +50.92%

Performance

YTD  
+16.19%
6 Months  
+20.88%
1 Year  
+40.52%
3 Years  
+55.33%
5 Years  
+91.27%
Since start  
+92.27%
Year
2023  
+33.56%
2022
  -3.60%
2021  
+13.05%
2020  
+6.08%
2019  
+14.68%
2018
  -16.83%
 

Dividends

2024-02-01 0.10 GBP
2023-08-08 0.13 GBP
2023-02-01 0.13 GBP
2022-08-01 0.13 GBP
2022-02-01 0.10 GBP
2021-08-02 0.11 GBP
2021-02-01 0.09 GBP