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UBS Fund Management (Luxembourg) S.A.

Investor notifications archive

Back to investor notifications

Fund name

Fund name

Sub-fund name

Sub-fund name

Date of dispatch

Date of dispatch

Type of notification

Type of notification

pdf file

pdf file

Fund name

Fund name: Multi Manager Access

Sub-fund name

All

Date of dispatch

31.12.2021

Type of notification

Annual General Meeting

pdf file

pdf(PDF, 91 KB)

Fund name

Fund name:GlobalOpportunitesAccess

Sub-fund name

All

Date of dispatch

31.12.2021

Type of notification

Annual General Meeting

pdf file

pdf(PDF, 92 KB)

Fund name

Fund name: Multi Manager Access II

Sub-fund name

All

Date of dispatch

31.12.2021

Type of notification

Annual General Meeting

pdf file

pdf(PDF, 126 KB)

Fund name

UBS (Lux) Key Selection SICAV

Sub-fund name

All

Date of dispatch

30.12.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 416 KB)

Fund name

Steli (Lux) SICAV

Sub-fund name

All

Date of dispatch

23.12.2021

Type of notification

3rd Annual General Meeting

pdf file

pdf(PDF, 97 KB)

Fund name

Bos International Fund

Sub-fund name

Growth

Date of dispatch

20.12.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 158 KB)

Fund name

Bos International Fund

Sub-fund name

Asia Equities

Date of dispatch

20.12.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 159 KB)

Fund name

Bos International Fund

Sub-fund name

Balanced

Date of dispatch

20.12.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 158 KB)

Fund name

Bos International Fund

Sub-fund name

Defensive

Date of dispatch

20.12.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 157 KB)

Fund name

Bos International Fund

Sub-fund name

DM Investment Grade Bond

Date of dispatch

20.12.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 159 KB)

Fund name

Bos International Fund

Sub-fund name

EM Investment Grade Bond

Date of dispatch

20.12.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 159 KB)

Fund name

Bos International Fund

Sub-fund name

EU Equities

Date of dispatch

20.12.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 158 KB)

Fund name

Bos International Fund

Sub-fund name

High Yield Bond

Date of dispatch

20.12.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 161 KB)

Fund name

Bos International Fund

Sub-fund name

US Equities

Date of dispatch

20.12.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 158 KB)

Fund name

UBS (Lux) Equity SICAV

Sub-fund name

Global Quantitative (USD), Global Opportunity Sustainable (USD)

Date of dispatch

14.12.2021

Type of notification

Merger

pdf file

pdf(PDF, 464 KB)

Fund name

SF (Lux) SICAV 2

Sub-fund name

Guaranteed Life Design 2014, Guaranteed Life Design 2019, Life Investment 90% Protected Fund

Date of dispatch

13.12.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 125 KB)

Fund name

Steli (Lux) SICAV

Sub-fund name

All

Date of dispatch

29.11.2021

Type of notification

2nd Annual General Meeting

pdf file

pdf(PDF, 82 KB)

Fund name

Jyske SICAV

Sub-fund name

Jyske SICAV Equities Low Volatility

Date of dispatch

23.11.2021

Type of notification

Liquidation

pdf file

pdf(PDF, 115 KB)

Fund name

Migros Bank (Lux) Fonds

Sub-fund name

All

Date of dispatch

18.11.2021

Type of notification

Annual General Meeting

pdf file

pdf(PDF, 146 KB)

Fund name

UBS (Lux) Bond Fund

Sub-fund name

Convert Europe (EUR)

Date of dispatch

16.11.2021

Type of notification

Other

pdf file

pdf(PDF, 178 KB)

Fund name

UBS (Lux) Bond SICAV

Sub-fund name

Convert Global (EUR)

Date of dispatch

16.11.2021

Type of notification

Other

pdf file

pdf(PDF, 194 KB)

Fund name

SF (Lux) SICAV 2

Sub-fund name

All

Date of dispatch

03.11.2021

Type of notification

Annual General Meeting

pdf file

pdf(PDF, 80 KB)

Fund name

UBS (Lux) Strategy SICAV

Sub-fund name

All

Date of dispatch

02.11.2021

Type of notification

Annual General Meeting

pdf file

pdf(PDF, 162 KB)

Fund name

UBS (Lux) Equity SICAV

Sub-fund name

All

Date of dispatch

29.10.2021

Type of notification

prospectus update

pdf file

pdf(PDF, 1 MB)

Fund name

UBS (Lux) Equity SICAV

Sub-fund name

All

Date of dispatch

29.10.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 1 MB)

Fund name

Global Opportunities Access

Sub-fund name

All

Date of dispatch

27.10.2021

Type of notification

prospectus update

pdf file

pdf(PDF, 68 KB)

Fund name

UBS (Lux) Money Market Fund

Sub-fund name

All

Date of dispatch

26.10.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 218 KB)

Fund name

UBS (Lux) Bond SICAV

Sub-fund name

All

Date of dispatch

25.10.2021

Type of notification

Annual General Meeting

pdf file

pdf(PDF, 161 KB)

Fund name

UBS (Lux) Equity SICAV

Sub-fund name

All

Date of dispatch

25.10.2021

Type of notification

Annual General Meeting

pdf file

pdf(PDF, 162 KB)

Fund name

Steli (Lux) SICAV

Sub-fund name

All

Date of dispatch

22.10.2021

Type of notification

Annual General Meeting

pdf file

pdf(PDF, 81 KB)

Fund name

UBS (Lux) SICAV 2

Sub-fund name

All

Date of dispatch

15.10.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 315 KB)

Fund name

UBS (Lux) Strategy Fund

Sub-fund name

All

Date of dispatch

15.10.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 213 KB)

Fund name

UBS (Lux) Strategy SICAV

Sub-fund name

All

Date of dispatch

15.10.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 289 KB)

Fund name

UBS (Lux) Institutional SICAV

Sub-fund name

All

Date of dispatch

13.10.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 117 KB)

Fund name

Focused SICAV

Sub-fund name

All

Date of dispatch

07.10.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 294 KB)

Fund name

UBS (Irl) Investor Selection plc

Sub-fund name

All

Date of dispatch

05.10.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 3 MB)

Fund name

UBS (Lux) Strategy Fund

Sub-fund name

All

Date of dispatch

30.09.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 213 KB)

Fund name

UBS (Lux) Strategy SICAV

Sub-fund name

All

Date of dispatch

30.09.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 291 KB)

Fund name

UBS (Lux) Investment SICAV

Sub-fund name

All

Date of dispatch

30.09.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 324 KB)

Fund name

UBS (Lux) Equity Fund

Sub-fund name

UBS (Lux) Equity Fund - Greater China (USD)

Date of dispatch

29.09.2021

Type of notification

DE Equity Ratio

pdf file

pdf(PDF, 113 KB)

Fund name

UBS (Lux) Equity Fund

Sub-fund name

UBS (Lux) Equity Fund - China Opportunity (USD)

Date of dispatch

29.09.2021

Type of notification

DE Equity Ratio

pdf file

pdf(PDF, 119 KB)

Fund name

UBS (Lux) Equity Fund

Sub-fund name

All

Date of dispatch

27.09.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 807 KB)

Fund name

UBS (Lux) Institutional Fund

Sub-fund name

All

Date of dispatch

22.09.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 276 KB)

Fund name

Green Ash SICAV

Sub-fund name

Green Ash SICAV – MULTI ASSET FUND

Date of dispatch

20.09.2021

Type of notification

Notification to shareholders

pdf file

pdf(PDF, 587 KB)

Fund name

UBS (Lux) Bond SICAV

Sub-fund name

All

Date of dispatch

17.09.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 179 KB)

Fund name

UBS (Lux) Bond SICAV

Sub-fund name

UBS (Lux) Bond SICAV – Asian High Yield (USD), UBS (Lux) Bond SICAV – USD Corporates (USD), UBS (Lux) Bond SICAV – Global Corporates (USD)

Date of dispatch

17.09.2021

Type of notification

Notification to shareholders

pdf file

pdf(PDF, 180 KB)

Fund name

Kersio Lux SICAV

Sub-fund name

Kersio Lux SICAV– Kersio Equity

Date of dispatch

15.09.2021

Type of notification

Notification to shareholders

pdf file

pdf(PDF, 96 KB)

Fund name

UBS (Lux) Real Estate Funds Selection - AGM 2021

Sub-fund name

UBS (Lux) Real Estate Funds Selection - Global

Date of dispatch

07.09.2021

Type of notification

Convening notice

pdf file

pdf(PDF, 62 KB)

Fund name

UBS (Lux) Real Estate Funds Selection - AGM 2021

Sub-fund name

UBS (Lux) Real Estate Funds Selection - Global

Date of dispatch

07.09.2021

Type of notification

Proxy

pdf file

pdf(PDF, 146 KB)

Fund name

UBS (Lux) Equity Sicav

Sub-fund name

UBS (Lux) Equity Sicav - All China (USD)

Date of dispatch

31.08.2021

Type of notification

DE Equity Ratio

pdf file

pdf

Fund name

UBS (Lux) Emerging Economies Fund

Sub-fund name

Global Bonds (USD)

Date of dispatch

30.08.2021

Type of notification

Prospectus update

pdf file

pdf

Fund name

OnCapital SICAV

Sub-fund name

All

Date of dispatch

27.08.2021

Type of notification

Prospectus update

pdf file

pdf

Fund name

UBS (Lux) Strategy Xtra SICAV

Sub-fund name

All

Date of dispatch

19.08.2021

Type of notification

Ordinary General shareholders meeting

pdf file

pdf

Fund name

UBS (Lux) Strategy SICAV

Sub-fund name

All

Date of dispatch

19.08.2021

Type of notification

Ordinary General shareholders meeting

pdf file

pdf

Fund name

UBS (Lux) SICAV 2

Sub-fund name

All

Date of dispatch

19.08.2021

Type of notification

Ordinary General shareholders meeting

pdf file

pdf

Fund name

UBS (Lux) SICAV 1

Sub-fund name

All

Date of dispatch

19.08.2021

Type of notification

Ordinary General shareholders meeting

pdf file

pdf

Fund name

UBS (Lux) Money Market SICAV

Sub-fund name

All

Date of dispatch

19.08.2021

Type of notification

Ordinary General shareholders meeting

pdf file

pdf

Fund name

UBS (Lux) Key Selection SICAV

Sub-fund name

All

Date of dispatch

19.08.2021

Type of notification

Ordinary General shareholders meeting

pdf file

pdf

Fund name

UBS (Lux) Investment SICAV

Sub-fund name

All

Date of dispatch

19.08.2021

Type of notification

Ordinary General shareholders meeting

pdf file

pdf

Fund name

UBS (Lux) Institutional SICAV

Sub-fund name

All

Date of dispatch

19.08.2021

Type of notification

Ordinary General shareholders meeting

pdf file

pdf

Fund name

UBS (Lux) Equity SICAV

Sub-fund name

All

Date of dispatch

19.08.2021

Type of notification

Ordinary General shareholders meeting

pdf file

pdf

Fund name

UBS (Lux) Bond SICAV

Sub-fund name

All

Date of dispatch

19.08.2021

Type of notification

Ordinary General shareholders meeting

pdf file

pdf

Fund name

Focused SICAV

Sub-fund name

All

Date of dispatch

19.08.2021

Type of notification

Ordinary General shareholders meeting

pdf file

pdf

Fund name

UBS (Lux) Bond SICAV

Sub-fund name

All

Date of dispatch

19.08.2021

Type of notification

Prospectus update

pdf file

pdf

Fund name

UBS (Lux) Bond SICAV

Sub-fund name

Asian High Yield (USD), USD High Yield (USD)

Date of dispatch

16.08.2021

Type of notification

Forced redemption

pdf file

pdf

Fund name

UBS (Lux) Equity SICAV

Sub-fund name

Global Income (USD)

Date of dispatch

16.08.2021

Type of notification

Forced redemption

pdf file

pdf

Fund name

UBS (Lux) Bond Fund

Sub-fund name

Euro High Yield (EUR)

Date of dispatch

16.08.2021

Type of notification

Forced redemption

pdf file

pdf

Fund name

UBS (Lux) Bond SICAV

Sub-fund name

Convert Global (EUR)

Date of dispatch

16.08.2021

Type of notification

Fee increase

pdf file

pdf

Fund name

Multi Manager Access II

Sub-fund name

Future of Earth

Date of dispatch

13.08.2021

Type of notification

Prospectus update

pdf file

pdf

Fund name

Multi Manager Access II

Sub-fund name

European Multi Credit

Date of dispatch

13.08.2021

Type of notification

Prospectus update

pdf file

pdf

Fund name

Multi Manager Access II

Sub-fund name

US Multi Credit

Date of dispatch

13.08.2021

Type of notification

Prospectus update

pdf file

pdf

Fund name

UBS (Lux) Bond SICAV

Sub-fund name

All

Date of dispatch

30.07.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 171 KB)

Fund name

UBS (Lux) Money Market SICAV

Sub-fund name

All

Date of dispatch

30.07.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 195 KB)

Fund name

UBS (Lux) Equity SICAV

Sub-fund name

All

Date of dispatch

30.07.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 279 KB)

Fund name

Green Ash SICAV

Sub-fund name

Multi Asset Fund

Date of dispatch

23.07.2021

Type of notification

Merger-out

pdf file

pdf(PDF, 339 KB)

Fund name

Global Opportunities Access

Sub-fund name

All

Date of dispatch

21.07.2021

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 153 KB)

Fund name

Multi Manager Access

Sub-fund name

All

Date of dispatch

21.07.2021

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 128 KB)

Fund name

Multi Manager Access II

Sub-fund name

All

Date of dispatch

21.07.2021

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 281 KB)

Fund name

UBS (Irl) Fund plc

Sub-fund name

All

Date of dispatch

14.07.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 215 KB)

Fund name

UBS (Irl) Investor Selection plc

Sub-fund name

All

Date of dispatch

14.07.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 208 KB)

Fund name

UBS (Lux) Investment SICAV

Sub-fund name

All

Date of dispatch

14.07.2021

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 158 KB)

Fund name

UBS (Lux) Real Estate Funds Selection

Sub-fund name

All

Date of dispatch

14.07.2021

Type of notification

Ordinary General shareholders meeting

pdf file

pdf(PDF, 179 KB)

Fund name

UBS (Lux) SICAV 2

Sub-fund name

All

Date of dispatch

02.07.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 194 KB)

Fund name

UBS (Lux) Key Selection SICAV

Sub-fund name

All

Date of dispatch

02.07.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 362 KB)

Fund name

UBS (Lux) Money Market Fund

Sub-fund name

All

Date of dispatch

30.06.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 143 KB)

Fund name

UBS (Lux) SICAV 1

Sub-fund name

All

Date of dispatch

30.06.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 294 KB)

Fund name

Focused Fund

Sub-fund name

All

Date of dispatch

30.06.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 237 KB)

Fund name

Jyske SICAV

Sub-fund name

JYSKE SICAV EQUITIES LOW VOLATILITY

Date of dispatch

26.06.2021

Type of notification

prospectus update

pdf file

pdf(PDF, 96 KB)

Fund name

Jyske SICAV

Sub-fund name

JYSKE SICAV HIGH YIELD CORPORATE BONDS (SRI)

Date of dispatch

26.06.2021

Type of notification

prospectus update

pdf file

pdf(PDF, 77 KB)

Fund name

UBS (Lux) Strategy Fund

Sub-fund name

All

Date of dispatch

22.06.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 160 KB)

Fund name

UBS (Lux) Strategy SICAV

Sub-fund name

All

Date of dispatch

22.06.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 172 KB)

Fund name

UBS (Lux) Equity SICAV

Sub-fund name

Global Quantitative (USD)

Date of dispatch

18.06.2021

Type of notification

DE Equity Ratio

pdf file

pdf(PDF, 120 KB)

Fund name

Kersio Lux

Sub-fund name

All

Date of dispatch

10.05.2021

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 147 KB)

Fund name

BOS International Fund

Sub-fund name

All

Date of dispatch

10.05.2021

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 169 KB)

Fund name

Global Opportunities Access

Sub-fund name

 Growth EUR, Income EUR, Fixed Income EUR, Equity EUR

Date of dispatch

05.05.2021

Type of notification

Liquidation

pdf file

pdf(PDF, 177 KB)

Fund name

UBS (Lux) Strategy Fund

Sub-fund name

Yield (CHF)

Date of dispatch

29.04.2021

Type of notification

Cancel forced redemption

pdf file

pdf(PDF, 144 KB)

Fund name

UBS (Lux) SICAV 2

Sub-fund name

Medium Term Bonds (GBP)

Date of dispatch

28.04.2021

Type of notification

Merger

pdf file

pdf(PDF, 650 KB)

Fund name

UBS (Lux) SICAV 2

Sub-fund name

Medium Term Bonds (GBP)

Date of dispatch

28.04.2021

Type of notification

Forced redemption

pdf file

pdf(PDF, 156 KB)

Fund name

UBS (Lux) Bond Fund

Sub-fund name

Euro High Yield (EUR)

Date of dispatch

16.04.2021

Type of notification

Forced redemption

pdf file

pdf(PDF, 144 KB)

Fund name

UBS (Lux) Bond SICAV

Sub-fund name

Emerging Economies Local Currency Bond (USD), Floating Rate Income (USD), Global Short Term Flexible (USD), Short Duration High Yield Sustainable (USD)

Date of dispatch

16.04.2021

Type of notification

Forced redemption

pdf file

pdf(PDF, 169 KB)

Fund name

UBS (Lux) Key Selection SICAV

Sub-fund name

European Growth and Income (EUR), Global Allocation (CHF)

Date of dispatch

16.04.2021

Type of notification

Forced redemption

pdf file

pdf(PDF, 161 KB)

Fund name

UBS (Lux) Strategy Fund

Sub-fund name

Yield (CHF)

Date of dispatch

16.04.2021

Type of notification

Forced redemption

pdf file

pdf(PDF, 145 KB)

Fund name

UBS (Lux) Strategy SICAV

Sub-fund name

Systematic Allocation Portfolio Defensive (USD), Systematic Allocation Portfolio Medium (USD)

Date of dispatch

16.04.2021

Type of notification

Forced redemption

pdf file

pdf(PDF, 167 KB)

Fund name

UBS (Lux) Equity SICAV

Sub-fund name

Euro Countries Income (EUR), Global High Dividend (USD), Global Income (USD), Long Term Themes (USD), US Income (USD), USA Growth (USD)

Date of dispatch

16.04.2021

Type of notification

Forced redemption

pdf file

pdf(PDF, 147 KB)

Fund name

UBS (Lux) Equity SICAV

Sub-fund name

Long Term Themes (USD)

Date of dispatch

16.04.2021

Type of notification

Forced redemption

pdf file

pdf(PDF, 174 KB)

Fund name

UBS (Lux) Strategy Fund

Sub-fund name

Equity (USD), Growth (USD)

Date of dispatch

16.04.2021

Type of notification

Merger

pdf file

pdf(PDF, 269 KB)

Fund name

Focused Fund

Sub-fund name

All

Date of dispatch

15.04.2021

Type of notification

Return to max swing factor

pdf file

pdf(PDF, 145 KB)

Fund name

UBS (Lux) Bond Fund

Sub-fund name

All

Date of dispatch

15.04.2021

Type of notification

Return to max swing factor

pdf file

pdf(PDF, 145 KB)

Fund name

UBS (Lux) Emerging Economies Fund

Sub-fund name

All

Date of dispatch

15.04.2021

Type of notification

Return to max swing factor

pdf file

pdf(PDF, 145 KB)

Fund name

UBS (Lux) Institutional Fund

Sub-fund name

Euro Corporate Bonds, Global Convertible Bonds

Date of dispatch

15.04.2021

Type of notification

Return to max swing factor

pdf file

pdf(PDF, 145 KB)

Fund name

UBS (Lux) Strategy Fund

Sub-fund name

Balanced (CHF), Balanced (EUR), Balanced (USD), Fixed Income (CHF), Fixed Income (EUR), Fixed Income (USD), Growth (CHF), Growth (EUR), Growth (USD), Yield (CHF), Yield (EUR), Yield (USD)

Date of dispatch

15.04.2021

Type of notification

Return to max swing factor

pdf file

pdf(PDF, 145 KB)

Fund name

UBS (Lux) SICAV 2

Sub-fund name

All

Date of dispatch

15.04.2021

Type of notification

Return to max swing factor

pdf file

pdf(PDF, 154 KB)

Fund name

UBS (Lux) SICAV 1

Sub-fund name

All

Date of dispatch

15.04.2021

Type of notification

Return to max swing factor

pdf file

pdf(PDF, 148 KB)

Fund name

UBS (Lux) Key Selection SICAV

Sub-fund name

Asian Global Strategy Balanced (USD), China Allocation Opportunity (USD), Dynamic Alpha (USD), Emerging Markets Income (USD), European Growth and Income (EUR), Global Allocation (CHF), Global Allocation (EUR), Global Allocation (USD), Global Multi Income (USD)

Date of dispatch

15.04.2021

Type of notification

Return to max swing factor

pdf file

pdf(PDF, 158 KB)

Fund name

UBS (Lux) Bond SICAV

Sub-fund name

All

Date of dispatch

15.04.2021

Type of notification

Return to max swing factor

pdf file

pdf(PDF, 153 KB)

Fund name

Focused SICAV

Sub-fund name

All

Date of dispatch

15.04.2021

Type of notification

Return to max swing factor

pdf file

pdf(PDF, 135 KB)

Fund name

UBS (Lux) Strategy SICAV

Sub-fund name

All

Date of dispatch

15.04.2021

Type of notification

Return to max swing factor

pdf file

pdf(PDF, 154 KB)

Fund name

UBS (Lux) Strategy Xtra SICAV

Sub-fund name

All

Date of dispatch

15.04.2021

Type of notification

Return to max swing factor

pdf file

pdf(PDF, 137 KB)

Fund name

Multi Manager Access II

Sub-fund name

Emerging Markets Debt, High Yield, US Multi Credit

Date of dispatch

15.04.2021

Type of notification

Return to max swing factor

pdf file

pdf(PDF, 94 KB)

Fund name

Global Opportunities Access

Sub-fund name

Bond Plus USD

Date of dispatch

15.04.2021

Type of notification

Return to max swing factor

pdf file

pdf(PDF, 89 KB)

Fund name

UBS (Lux) SICAV 2

Sub-fund name

All

Date of dispatch

10.04.2021

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 290 KB)

Fund name

UBS (Lux) Money Market SICAV

Sub-fund name

All

Date of dispatch

10.04.2021

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 296 KB)

Fund name

Green Ash SICAV

Sub-fund name

All

Date of dispatch

06.04.2021

Type of notification

Redemption notice

pdf file

pdf(PDF, 211 KB)

Fund name

UBS (Lux) Strategy Xtra SICAV

Sub-fund name

All

Date of dispatch

31.03.2021

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 186 KB)

Fund name

UBS (Lux) Strategy Fund

Sub-fund name

Equity (USD), Growth (USD)

Date of dispatch

30.03.2021

Type of notification

Merger

pdf file

pdf(PDF, 273 KB)

Fund name

OnCapital SICAV

Sub-fund name

All

Date of dispatch

26.03.2021

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 210 KB)

Fund name

UBS (Lux) Strategy SICAV

Sub-fund name

Systematic Allocation Portfolio Medium Classic (USD), Systematic Allocation Portfolio Medium (USD)

Date of dispatch

17.03.2021

Type of notification

Merger

pdf file

pdf(PDF, 417 KB)

Fund name

UBS (Lux) Bond Fund

Sub-fund name

All

Date of dispatch

10.03.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 150 KB)

Fund name

Focused Fund

Sub-fund name

All

Date of dispatch

10.03.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 127 KB)

Fund name

UBS (Lux) Emerging Economies Fund

Sub-fund name

All

Date of dispatch

10.03.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 127 KB)

Fund name

UBS (Lux) Investment SICAV

Sub-fund name

All

Date of dispatch

10.03.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 137 KB)

Fund name

UBS (Lux) Money Market Fund

Sub-fund name

All

Date of dispatch

10.03.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 127 KB)

Fund name

UBS (Lux) SICAV 1

Sub-fund name

All

Date of dispatch

10.03.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 136 KB)

Fund name

UBS (Lux) Institutional SICAV

Sub-fund name

 

Date of dispatch

02.03.2021

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 179 KB)

Fund name

UBS (Lux) SICAV 1

Sub-fund name

 

Date of dispatch

02.03.2021

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 295 KB)

Fund name

UBS (Lux) Key Selection SICAV

Sub-fund name

 

Date of dispatch

02.03.2021

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 296 KB)

Fund name

Focused SICAV

Sub-fund name

All

Date of dispatch

01.03.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 168 KB)

Fund name

Migros Bank (Lux) Fonds

Sub-fund name

All

Date of dispatch

25.02.2021

Type of notification

Relocation

pdf file

pdf(PDF, 148 KB)

Fund name

SF (Lux) SICAV 3

Sub-fund name

All

Date of dispatch

03.02.2021

Type of notification

Relocation

pdf file

pdf(PDF, 94 KB)

Fund name

SF (Lux) SICAV 3

Sub-fund name

All

Date of dispatch

03.02.2021

Type of notification

Relocation

pdf file

pdf(PDF, 166 KB)

Fund name

UBS (Lux) Strategy Xtra SICAV

Sub-fund name

 

Date of dispatch

12.02.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 159 KB)

Fund name

Focused SICAV

Sub-fund name

 

Date of dispatch

04.02.2021

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 97 KB)

Fund name

SF (Lux) SICAV 2

Sub-fund name

All

Date of dispatch

03.02.2021

Type of notification

Relocation

pdf file

pdf(PDF, 94 KB)

Fund name

UBS (Lux) Equity Fund

Sub-fund name

Canada (CAD)

Date of dispatch

27.01.2021

Type of notification

Liquidation

pdf file

pdf(PDF, 167 KB)

Fund name

UBS (Lux) Strategy Xtra SICAV

Sub-fund name

Balanced (CHF), Balanced (EUR), Balanced (USD)

Date of dispatch

26.01.2021

Type of notification

DE Equity Ratio

pdf file

pdf(PDF, 111 KB)

Fund name

UBS (Lux) Strategy SICAV

Sub-fund name

Xtra Balanced (EUR)

Date of dispatch

26.01.2021

Type of notification

DE Equity Ratio

pdf file

pdf(PDF, 111 KB)

Fund name

UBS (Lux) Strategy Fund

Sub-fund name

Balanced (CHF), Balanced (EUR), Balanced (USD), Equity (CHF), Equity (EUR), Equity (USD), Growth (CHF), Growth (EUR), Growth (USD

Date of dispatch

26.01.2021

Type of notification

DE Equity Ratio

pdf file

pdf(PDF, 111 KB)

Fund name

UBS (Lux) Key Selection SICAV

Sub-fund name

Asian Global Strategy Balanced (USDI, China Allocation Opportunity (USD), China Equity Long Short (USD), Digital Transformation Dynamic (USD), Digital Transformation Themes (USD), Emerging Markets Income (USD), European Growth and Income (EUR), Global Allocation (CHF), Global Allocation (EUR), Global Allocation (USD), Global Allocation Focus Europe (EUR), Systematic Allocation Portfolio Equity (USD)

Date of dispatch

26.01.2021

Type of notification

DE Equity Ratio

pdf file

pdf(PDF, 111 KB)

Fund name

SF (Lux) SICAV 3

Sub-fund name

Key Multi-Manger Hedge Fund - Diversified CHF, Key Multi-Manager Hedge Fund - Diversified EUR, Key Multi-Manager Hedge Fund - Diversified USD, Key Multi-Manager Hedge Fund - Focused CHF

Date of dispatch

26.01.2021

Type of notification

DE Equity Ratio

pdf file

pdf(PDF, 111 KB)

Fund name

Multi Manager Access II

Sub-fund name

Sustainable Investing Balanced, Sustainable Investing Yield

Date of dispatch

26.01.2021

Type of notification

DE Equity Ratio

pdf file

pdf(PDF, 111 KB)

Fund name

Luxembourg Placement Fund

Sub-fund name

Solitär

Date of dispatch

26.01.2021

Type of notification

DE Equity Ratio

pdf file

pdf(PDF, 111 KB)

Fund name

Global Opportunities Access

Sub-fund name

Balanced CHF, Balanced EUR, Growth EUR, Yield EUR

Date of dispatch

26.01.2021

Type of notification

DE Equity Ratio

pdf file

pdf(PDF, 111 KB)

Fund name

Focused SICAV

Sub-fund name

Equity Overlay Fund I CHF, Equity Overlay Fund II CHF

Date of dispatch

26.01.2021

Type of notification

DE Equity Ratio

pdf file

pdf(PDF, 111 KB)

Fund name

UBS (Lux) Key Selection SICAV

Sub-fund name

Global Allocation Focus Europe (EUR), Global Allocation (EUR)

Date of dispatch

15.01.2021

Type of notification

Merger

pdf file

pdf(PDF, 452 KB)

Fund name

Multi Manager Access

Sub-fund name

 

Date of dispatch

12.01.2021

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 124 KB)

Fund name

Multi Manager Access II

Sub-fund name

 

Date of dispatch

12.01.2021

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 395 KB)

Fund name

Multi Manager Access II

Sub-fund name

Sustainable Investing Yield

Date of dispatch

12.01.2021

Type of notification

share class closure

pdf file

pdf(PDF, 101 KB)

Fund name

Jyske SICAV

Sub-fund name

Danish Bonds

Date of dispatch

08.01.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 87 KB)

Fund name

Jyske SICAV

Sub-fund name

Equities Low Volatility

Date of dispatch

08.01.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 88 KB)

Fund name

Jyske SICAV

Sub-fund name

High Yield Corporate Bonds

Date of dispatch

08.01.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 98 KB)

Fund name

Jyske SICAV

Sub-fund name

Investment Grade Corporate Bonds (SR)

Date of dispatch

08.01.2021

Type of notification

Prospectus update

pdf file

pdf(PDF, 93 KB)

Fund name

Global Opportunities Access

Sub-fund name

 

Date of dispatch

08.01.2021

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 317 KB)

Fund name

BPER International SICAV

Sub-fund name

All

Date of dispatch

01.01.2021

Type of notification

Transfer of the registered office

pdf file

pdf(PDF, 377 KB)

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