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  • Fund Type: SICAV
  • Objective: Corporate/Preferred-Inv Grade
  • Asset Class: Debt
  • Geographic Focus: Global

UBS Lux Bond SICAV - USD Corporates USD

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UBSUCPI:LX

99.14 USD 0.11 0.11%

As of 00:59:30 ET on 05/21/2013.

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Snapshot for UBS Lux Bond SICAV - USD Corporates USD (UBSUCPI)

Year To Date: +0.16% 3-Month: +1.21% 3-Year: - 52-Week Range: 98.46 - 100.80
1-Month: -0.64% 1-Year: - 5-Year: - Beta vs LUXXX: -

Mutual Fund Chart for UBSUCPI

No chart data available.
  • UBSUCPI:LX 99.14
  • 1M
  • 1Y
Interactive UBSUCPI Chart

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Fund Profile & Information for UBSUCPI

UBS Lux Bond SICAV - USD Corporates USD is an open-end investment fund incorporated in Luxembourg. The Fund's objective is to achieve a high regular income while considering capital security and asset liquidity. The Fund invests at least two thirds of its assets in investment-grade bonds, notes and other fixed- and variable-rate securities denominated in United States dollars.

Inception Date: 12-14-2012 Telephone: 352-44-10-10-1 Tel
Managers: RYAN RAYMOND / MATTHEW KETCHUM
Web Site: www.bourse.lu

Fundamentals for UBSUCPI

NAV (on 2013-05-21) 99.14
Assets (M) (on 2013-05-21) 828.87
Fund Leveraged N
Minimum Investment -
Minimum Subsequent Investment -

Dividends for UBSUCPI

Dividend Type Income
Dividend Frequency Monthly
Last Dividend Net (on 2013-05-15) 0.27
Dividend Yield (ttm) 1.26

Fees & Expenses for UBSUCPI

Front Load 6.00
Back Load 2.00
Current Mgmt Fee -
Redemption Fee 2.00
12b1 Fee -
Expense Ratio -

Top Fund Holdings for UBSUCPI

Filing Date: 02/28/2013
Name Position Value % of Total
T 0 ⅞ 01/31/18 33,930 34,154,440 3.853%
WFC 2.1 05/08/17 14,675 15,255,538 1.721%
CMCSA 6.3 11/15/17 8,550 10,578,342 1.193%
JPM 4 ½ 01/24/22 8,975 10,028,037 1.131%
C 4.45 01/10/17 8,700 9,658,639 1.089%
CME 3 09/15/22 9,000 9,224,379 1.041%
MS 6 04/28/15 8,100 9,004,284 1.016%
JPM 4 ¼ 10/15/20 7,575 8,497,774 0.959%
GS 5.35 01/15/16 7,330 8,175,474 0.922%
CMCSA 4 ¼ 01/15/33 8,000 8,150,876 0.919%

Quotes delayed, except where indicated otherwise. Mutual fund NAVs include dividends. All prices in local currency. Time is ET.

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