UBS Singapore Equity Fund
UBS Singapore Equity Fund allows investors to:
Have easy access to the Singapore equity market.
Tap into the expertise of proven investment specialists.
Benefit from UBS being one of the few asset managers with a truly global investment platform.
Take full advantage of UBS’s proprietary fundamental valuation approach allows consistent identification of the most attractive Singapore companies.
The Fund aims to achieve high growth with a reasonable level of income while giving due consideration to capital security and the liquidity of the Fund's assets. It invests mainly in equities and other equity shares of companies which are domiciled in Singapore or are chiefly active in Singapore.
Investors should read the Singapore prospectus (Prospectus) for further details before deciding to subscribe for or purchase shares in the UBS (Lux) Equity Fund – Singapore (SGD) P-acc, a copy of which can be downloaded from our website. The Prospectus can also be obtained free of charge from UBS Global Asset Management (Singapore) Ltd (Company Registration No.:199308367C), which acts as the Manager and the Singapore Representative of the Fund, or from any of our authorized distributors as listed in our website. The price of the shares in the Fund and the income accruing to those shares, if any, may fall as well as rise. The Fund may invest in financial derivative instruments to the extent permitted under Luxembourg laws. Due to the investment policies of the Fund, it may experience greater volatility in its net asset value. Investments in the Fund are not deposits in, obligations of, or guaranteed or insured by UBS AG, UBS Global Asset Management or their affiliates and are subject to investment risks, including the possible loss of the principal amount investment. Past performance of the Fund and its Manager and any forecasts or information on the economic trends are not necessarily indicative of the future or likely performance of the Fund or its Manager or a guarantee of future trends. The analysis in this document represents the Manager's house view. No responsibility can be accepted by the Manager to anyone for any action taken on the basis of the analysis. The stocks mentioned on this document may or may not form part of the holdings of the Fund. The Fund shall not divulge any confidential information concerning investors unless required to do so by law or regulation. Shares are not available to U.S. persons.
The information about the Fund provided in this document does not constitute an offer. It is for informational purposes only. This publication does not have regard to the specific investment objective(s), financial situation or the particular needs of any person. Investors may wish to seek advice from a financial adviser before making a commitment to invest in the Fund. In the event an investor chooses not to seek advice from a financial adviser, the investor should consider whether the Fund is suitable for him.