UBS International Bond Fund


A diversified portfolio of fixed income securities serving as an anchor of performance.

International Bond Fund


Fund Features

Inception Date: 

22 Sep 1993

Management Fee:

0.49% p.a.

Minimum initial investment:



Half year

Entry/Exit Fees:


Buy/sell spread:


Switching Fee:


Investment objective

The Fund aims to provide investors with a total return (after management costs) in excess of the Barclays Capital Global Aggregate Index ($A hedged) (Benchmark) when measured over rolling three year periods.

Investor suitability

The Fund is best suited to investors who seek a diversified portfolio of investment grade international fixed income securities, with foreign currency exposure hedged to the $A.  

Additional information