UBS (Lux) Bond Fund - Asia Flexible (USD), Anteilsklasse (EUR hedged) P-dist, EUR/  LU0464250496  /

Fonds
NAV2024-05-13 Chg.+0.0200 Type of yield Investment Focus Investment company
78.1800EUR +0.03% paying dividend Bonds Asia (excl. Japan) UBS Fund M. (LU) 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2010 - - 3.21 1.33 -2.40 1.64 3.15 2.15 2.78 0.91 -2.01 0.05 -
2011 -0.68 0.25 0.74 1.46 0.42 -1.21 2.15 -2.39 -6.55 4.14 -1.64 1.07 -2.61%
2012 2.47 1.46 -0.63 1.10 -0.81 2.03 2.86 0.54 1.82 0.42 0.56 0.31 +12.75%
2013 -0.71 0.05 0.63 1.25 -2.16 -4.21 0.84 -2.28 2.54 1.97 -0.55 0.02 -2.79%
2014 0.50 1.45 0.69 0.53 2.23 0.33 0.85 0.94 -0.74 1.12 0.63 -1.23 +7.51%
2015 0.98 1.36 -0.20 0.69 -0.09 -0.82 0.04 -0.93 -0.69 1.83 0.26 -0.54 +1.86%
2016 1.02 0.13 1.96 0.88 0.18 1.51 1.28 0.49 -0.18 -0.90 -2.27 -0.22 +3.86%
2017 0.62 1.19 0.01 0.26 -0.04 -0.27 0.21 0.68 -0.38 0.35 -0.74 -0.26 +1.63%
2018 -0.91 -0.91 -0.50 -0.88 -0.42 -0.78 0.57 0.20 -0.49 -1.42 0.35 1.28 -3.85%
2019 2.23 0.58 2.02 0.30 1.02 0.66 0.13 0.98 -0.49 0.34 0.14 0.15 +8.35%
2020 0.86 1.67 -6.44 2.23 2.08 1.35 1.87 0.14 -0.77 0.42 1.63 0.72 +5.60%
2021 0.52 -1.00 -0.46 0.14 0.53 0.45 -1.23 1.23 -2.11 -3.75 0.14 -1.02 -6.46%
2022 -3.27 -3.83 -2.92 -2.26 -1.65 -3.50 -0.99 -0.28 -4.53 -4.80 6.04 2.71 -18.11%
2023 3.78 -2.35 0.18 0.11 -1.46 -0.11 -0.05 -1.73 -1.36 -1.22 3.79 2.35 +1.69%
2024 0.41 -0.03 1.00 -1.54 1.13 - - - - - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 3.57% 3.63% 3.89% 5.86% 5.66%
Sharpe ratio -0.33 2.34 -0.58 -1.92 -1.23
Best month +2.35% +3.79% +3.79% +6.04% +6.04%
Worst month -1.54% -1.54% -1.73% -4.80% -6.44%
Maximum loss -1.82% -1.82% -6.13% -30.52% -30.52%
Outperformance +5.26% - +4.91% +2.29% -1.92%
 
All quotes in EUR

Tranches

Name   Type of yield Repurchase p. 1 Year 3 Years
UBS(Lux)B.F.-Asia Flex.(USD)P SG... reinvestment 130.9200 +1.67% -18.23%
UBS(Lux)B.F.-Asia Flex.(USD)I-A2... paying dividend 78.0000 +3.76% -
UBS(Lux)B.F.-Asia Flex.(USD)Q GB... paying dividend 80.3200 +3.49% -
UBS(Lux)B.F.-Asia Flex.(USD)I-A3... paying dividend 105.0100 +3.84% -
UBS (Lux) Bond Fund - Asia Flexi... paying dividend 8,614.6201 +4.67% -13.41%
UBS (Lux) Bond Fund - Asia Flexi... reinvestment 102.4700 +2.55% -
UBS(Lux)B.F.-Asia Flex.(USD)I-A3 paying dividend 100.0900 +4.18% -
UBS(Lux)B.F.-Asia Flex.(USD)I-A1... reinvestment 137.4800 +4.05% -
UBS(Lux)B.F.-Asia Flex.(USD)I-A3... reinvestment 85.1800 +4.17% -
UBS(Lux)B.F.-Asia Flex.(USD)I-B ... reinvestment 108.2000 +4.55% -
UBS(Lux)B.F.-Asia Flex.(USD)I-A3... paying dividend 102.3800 +2.45% -
UBS (Lux) Bond Fund - Asia Flexi... reinvestment 140.6700 +3.29% -16.55%
UBS (Lux) Bond Fund - Asia Flexi... reinvestment 119.5500 +1.56% -20.73%
UBS (Lux) Bond Fund - Asia Flexi... paying dividend 78.1800 +1.57% -20.73%
UBS(Lux)B.F.-Asia Flex.(USD)P US... paying dividend 74.4200 +3.29% -16.55%
UBS(Lux)B.F.-Asia Flex.(USD)Q EU... reinvestment 97.4800 +2.09% -19.49%
UBS(Lux)B.F.-Asia Flex.(USD)Q EU... paying dividend 72.1200 +2.09% -19.52%
UBS(Lux)B.F.-Asia Flex.(USD)Q US... reinvestment 112.8600 +3.82% -15.24%
UBS(Lux)B.F.-Asia Flex.(USD)F EU... reinvestment 132.9000 +2.45% -
UBS(Lux)B.F.-Asia Flex.(USD)P SG... paying dividend 72.9400 +1.66% -
UBS(Lux)B.F.-Asia Flex.(USD)K-B ... reinvestment 85.0000 +4.51% -
UBS(Lux)B.F.-Asia Flex.(USD)Q US... paying dividend 82.0400 +3.82% -
UBS (Lux) Bond Fund - Asia Flexi... reinvestment 104.2500 +4.18% -

Performance

YTD  
+0.96%
6 Months  
+5.94%
1 Year  
+1.57%
3 Years
  -20.73%
5 Years
  -14.71%
10 Years
  -3.75%
Since start  
+19.42%
Year
2023  
+1.69%
2022
  -18.11%
2021
  -6.46%
2020  
+5.60%
2019  
+8.35%
2018
  -3.85%
2017  
+1.63%
2016  
+3.86%
2015  
+1.86%
 

Dividends

2023-06-01 1.90 EUR
2022-06-01 2.61 EUR
2021-06-01 2.33 EUR
2020-06-02 3.49 EUR
2019-06-03 3.29 EUR
2018-06-01 2.39 EUR
2017-06-01 2.58 EUR
2016-06-01 2.88 EUR
2015-06-02 4.23 EUR
2014-06-02 4.04 EUR
2013-06-03 4.11 EUR
2012-06-01 4.86 EUR
2011-06-01 4.62 EUR
2010-06-01 0.65 EUR