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Search Title

UBS Fund Management (Luxembourg) S.A.

Investor notifications archive

Back to investor notifications

Fund name(PDF, 557 KB)(PDF, 370 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

Sub-fund name

Sub-fund name

Date of dispatch

Date of dispatch

Type of notification

Type of notification

pdf file

pdf file

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Equity Fund

Sub-fund name

 

Date of dispatch

30.12.2020

Type of notification

Prospectus update

pdf file

pdf(PDF, 341 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS Fund Management (Luxembourg) S.A.

Sub-fund name

 

Date of dispatch

28.12.2020

Type of notification

DE Equity Ratio

pdf file

pdf(XLSX, 8 MB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Equity SICAV

Sub-fund name

Russia (USD)

Date of dispatch

28.12.2020

Type of notification

DE Equity Ratio

pdf file

pdf(PDF, 118 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Equity Fund

Sub-fund name

China Opportunity (USD)

Date of dispatch

28.12.2020

Type of notification

DE Equity Ratio

pdf file

pdf

Fund name(PDF, 557 KB)(PDF, 370 KB)

Global Opportunities Access

Sub-fund name

Yield CHF, Yield EUR

Date of dispatch

28.12.2020

Type of notification

DE Equity Ratio

pdf file

pdf(PDF, 120 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Strategy SICAV

Sub-fund name

Xtra Balanced (EUR), Xtra Yield (EUR)

Date of dispatch

11.12.2020

Type of notification

Merger

pdf file

pdf(PDF, 402 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Bond Fund

Sub-fund name

Full Cycle Asian Bond (USD)

Date of dispatch

01.12.2020

Type of notification

Fee reduction

pdf file

pdf(PDF, 125 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Emerging Economies Fund

Sub-fund name

Global Bonds (USD)

Date of dispatch

01.12.2020

Type of notification

Fee reduction

pdf file

pdf(PDF, 125 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Equity SICAV

Sub-fund name

Global Income (USD)

Date of dispatch

01.12.2020

Type of notification

Fee reduction

pdf file

pdf(PDF, 125 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

Mobius SICAV

Sub-fund name

Mobius Emerging Markets Fund

Date of dispatch

20.11.2020

Type of notification

Change of service provider

pdf file

pdf(PDF, 147 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Bond SICAV

Sub-fund name

 

Date of dispatch

20.11.2020

Type of notification

Prospectus update

pdf file

pdf(PDF, 406 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Equity SICAV

Sub-fund name

Global Emerging Markets Opportunity (USD)

Date of dispatch

17.11.2020

Type of notification

Forced redemption

pdf file

pdf(PDF, 136 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Strategy Xtra SICAV

Sub-fund name

Balanced (USD), Balanced (EUR)

Date of dispatch

17.11.2020

Type of notification

Forced redemption

pdf file

pdf(PDF, 143 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Strategy Fund

Sub-fund name

Balanced (EUR), Yield (USD)

Date of dispatch

17.11.2020

Type of notification

Forced redemption

pdf file

pdf(PDF, 128 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Key Selection SICAV

Sub-fund name

Global Multi Income (USD), European Growth and Income (EUR), Global Allocation Focus Europe (EUR)

Date of dispatch

17.11.2020

Type of notification

Forced redemption

pdf file

pdf(PDF, 165 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

Migros Bank (Lux) Fonds

Sub-fund name

 

Date of dispatch

11.11.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 99 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Strategy SICAV

Sub-fund name

 

Date of dispatch

10.11.2020

Type of notification

Annual shareholder meeting

pdf file

pdf(PDF, 204 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Medium Term Bond Fund

Sub-fund name

EUR

Date of dispatch

06.11.2020

Type of notification

Merger

pdf file

pdf(PDF, 491 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Bond SICAV

Sub-fund name

 

Date of dispatch

04.11.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 237 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Equity SICAV

Sub-fund name

 

Date of dispatch

04.11.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 238 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Medium Term Bond Fund

Sub-fund name

CHF

Date of dispatch

30.10.2020

Type of notification

Merger

pdf file

pdf(PDF, 346 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

Steli (Lux) SICAV

Sub-fund name

All

Date of dispatch

27.10.2020

Type of notification

AGM 2020 - Proxy

pdf file

pdf(PDF, 98 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

Steli (Lux) SICAV

Sub-fund name

All

Date of dispatch

27.10.2020

Type of notification

AGM 2020 - Convening notice

pdf file

pdf(PDF, 69 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Investment SICAV

Sub-fund name

 

Date of dispatch

27.10.2020

Type of notification

Conversion to UCITS

pdf file

pdf(PDF, 148 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Key Selection SICAV

Sub-fund name

Multi Asset Defensive Growth (EUR)

Date of dispatch

27.10.2020

Type of notification

Liquidation

pdf file

pdf(PDF, 163 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Key Selection SICAV

Sub-fund name

Multi Asset Defensive Growth (USD)

Date of dispatch

27.10.2020

Type of notification

Liquidation

pdf file

pdf(PDF, 163 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Medium Term Bond Fund

Sub-fund name

USD

Date of dispatch

23.10.2020

Type of notification

Merger

pdf file

pdf(PDF, 496 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

BPER International SICAV

Sub-fund name

All

Date of dispatch

23.10.2020

Type of notification

Notice to investor - Swing Pricing

pdf file

pdf(PDF, 66 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

BPER International SICAV

Sub-fund name

CURRENCY DIVERSIFIER

Date of dispatch

23.10.2020

Type of notification

Notice to investor - Merger

pdf file

pdf(PDF, 235 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

BPER International SICAV

Sub-fund name

SHORT TERM EUR CORPORATES

Date of dispatch

23.10.2020

Type of notification

Notice to investor - Merger

pdf file

pdf(PDF, 250 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Key Selection SICAV

Sub-fund name

 

Date of dispatch

20.10.2020

Type of notification

Prospectus update

pdf file

pdf(PDF, 229 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

BPER International SICAV

Sub-fund name

EQUITY EUROPE OPPORTUNITY

Date of dispatch

16.10.2020

Type of notification

Notice to investor - Merger

pdf file

pdf(PDF, 229 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

BPER International SICAV

Sub-fund name

GLOBAL BALANCED RISK CONTROL

Date of dispatch

16.10.2020

Type of notification

Notice to investor - Merger

pdf file

pdf(PDF, 170 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

SF (Lux) SICAV 2

Sub-fund name

 

Date of dispatch

16.10.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 130 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Institutional Fund

Sub-fund name

Equities Europe (ex Switzerland) Passive, Equities Europe (ex Switzerland) Passive II

Date of dispatch

15.10.2020

Type of notification

Prospectus update

pdf file

pdf(PDF, 157 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Investment SICAV

Sub-fund name

 

Date of dispatch

25.09.2020

Type of notification

Extraordinary shareholders meeting

pdf file

pdf(PDF, 204 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Real Estate Funds Selection

Sub-fund name

 

Date of dispatch

23.09.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 73 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Equity SICAV

Sub-fund name

USA Quantitative (USD)

Date of dispatch

10.09.2020

Type of notification

Liquidation

pdf file

pdf(PDF, 164 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Real Estate Funds Selection

Sub-fund name

 

Date of dispatch

26.08.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 138 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Investment SICAV

Sub-fund name

 

Date of dispatch

21.08.2020

Type of notification

Extraordinary shareholders meeting

pdf file

pdf(PDF, 350 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Money Market Fund

Sub-fund name

 

Date of dispatch

10.08.2020

Type of notification

Prospectus update

pdf file

pdf(PDF, 149 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Strategy Fund

Sub-fund name

 

Date of dispatch

10.08.2020

Type of notification

Prospectus update

pdf file

pdf(PDF, 185 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

SF (Lux) SICAV 3

Sub-fund name

 

Date of dispatch

04.08.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 76 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Medium Term Bond Fund

Sub-fund name

 

Date of dispatch

29.07.2020

Type of notification

Prospectus update

pdf file

pdf(PDF, 152 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Emerging Economies Fund

Sub-fund name

 

Date of dispatch

29.07.2020

Type of notification

Prospectus update

pdf file

pdf(PDF, 152 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

Multi Manager Access

Sub-fund name

 

Date of dispatch

28.07.2020

Type of notification

Other

pdf file

pdf(PDF, 182 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Institutional Fund

Sub-fund name

 

Date of dispatch

24.07.2020

Type of notification

Prospectus update

pdf file

pdf(PDF, 142 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

Jyske SICAV

Sub-fund name

Stable Strategy

Date of dispatch

22.07.2020

Type of notification

Liquidation

pdf file

pdf(PDF, 98 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Money Market Invest

Sub-fund name

EUR

Date of dispatch

20.07.2020

Type of notification

Merger

pdf file

pdf(PDF, 776 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Investment SICAV

Sub-fund name

 

Date of dispatch

09.07.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 202 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Bond Fund

Sub-fund name

Convert Europe (EUR)

Date of dispatch

08.07.2020

Type of notification

Others

pdf file

pdf(PDF, 119 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

Migros Bank (Lux) Fonds

Sub-fund name

 

Date of dispatch

07.07.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 135 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

Sub-fund name

Sub-fund name

Date of dispatch

Date of dispatch

Type of notification

Type of notification

pdf file

pdf file

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Equity Fund

Sub-fund name

 

Date of dispatch

30.06.2020

Type of notification

Prospectus update

pdf file

pdf(PDF, 603 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Bond Fund

Sub-fund name

 

Date of dispatch

26.06.2020

Type of notification

Prospectus update

pdf file

pdf(PDF, 144 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Money Market Invest

Sub-fund name

EUR

Date of dispatch

15.06.2020

Type of notification

Merger

pdf file

pdf(PDF, 346 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Money Market SICAV

Sub-fund name

 

Date of dispatch

12.06.2020

Type of notification

Prospectus update

pdf file

pdf(PDF, 191 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

Manager Opportunities Access

Sub-fund name

 

Date of dispatch

10.06.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 159 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

SF (Lux) SICAV 3

Sub-fund name

 

Date of dispatch

09.06.2020

Type of notification

Others

pdf file

pdf(PDF, 124 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

GREEN ASH SICAV

Sub-fund name

All

Date of dispatch

29.05.2020

Type of notification

GREEN ASH SICAV - AGM Convening Notice

pdf file

pdf(PDF, 119 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

BOS International Fund

Sub-fund name

 

Date of dispatch

22.05.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 71 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Key Selection SICAV

Sub-fund name

 

Date of dispatch

20.05.2020

Type of notification

Prospectus update

pdf file

pdf(PDF, 237 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

Mobius SICAV

Sub-fund name

 

Date of dispatch

19.05.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 71 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Equity SICAV

Sub-fund name

Emerging Markets Sustainable (USD), Global Emerging Markets Opportunity (USD)

Date of dispatch

18.05.2020

Type of notification

Merger

pdf file

pdf(PDF, 373 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) SICAV 2

Sub-fund name

 

Date of dispatch

15.05.2020

Type of notification

Prospectus update

pdf file

pdf(PDF, 371 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Strategy SICAV

Sub-fund name

 

Date of dispatch

14.05.2020

Type of notification

Prospectus update

pdf file

pdf(PDF, 159 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Strategy SICAV

Sub-fund name

Fixed Income (CHF), Income (CHF)

Date of dispatch

06.05.2020

Type of notification

Merger

pdf file

pdf(PDF, 403 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

Multi Manager Access II

Sub-fund name

US Multi Credit

Date of dispatch

30.04.2020

Type of notification

SSP increase

pdf file

pdf(PDF, 87 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

BPER International SICAV

Sub-fund name

 

Date of dispatch

30.04.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 71 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Bond SICAV

Sub-fund name

 

Date of dispatch

22.04.2020

Type of notification

Prospectus update

pdf file

pdf(PDF, 170 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

BPER International SICAV

Sub-fund name

Global Convertible Bond EUR

Date of dispatch

18 04 2020

Type of notification

Prospectus update

pdf file

pdf(PDF, 185 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

BPER International SICAV

Sub-fund name

European Equities Small Cap

Date of dispatch

18 04 2020

Type of notification

Prospectus update

pdf file

pdf(PDF, 202 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Real Estate Funds Selection

Sub-fund name

Global

Date of dispatch

17.04.2020

Type of notification

Others

pdf file

pdf(PDF, 177 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Strategy SICAV

Sub-fund name

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

Date of dispatch

09.04.2020

Type of notification

Merger

pdf file

pdf(PDF, 356 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

Focused Fund

Sub-fund name

 

Date of dispatch

09.04.2020

Type of notification

SSP increase

pdf file

pdf(PDF, 171 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Bond Fund

Sub-fund name

 

Date of dispatch

09.04.2020

Type of notification

SSP increase

pdf file

pdf(PDF, 171 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Emerging Economies Fund

Sub-fund name

 

Date of dispatch

09.04.2020

Type of notification

SSP increase

pdf file

pdf(PDF, 171 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Medium Term Bond Fund

Sub-fund name

 

Date of dispatch

09.04.2020

Type of notification

SSP increase

pdf file

pdf(PDF, 171 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Institutional Fund

Sub-fund name

 

Date of dispatch

09.04.2020

Type of notification

SSP increase

pdf file

pdf(PDF, 171 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Strategy Fund

Sub-fund name

 

Date of dispatch

09.04.2020

Type of notification

SSP increase

pdf file

pdf(PDF, 171 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

Focused SICAV

Sub-fund name

 

Date of dispatch

09.04.2020

Type of notification

SSP increase

pdf file

pdf(PDF, 211 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) SICAV 1

Sub-fund name

 

Date of dispatch

09.04.2020

Type of notification

SSP increase

pdf file

pdf(PDF, 223 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Strategy Xtra SICAV

Sub-fund name

 

Date of dispatch

09.04.2020

Type of notification

SSP increase

pdf file

pdf(PDF, 136 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Bond SICAV

Sub-fund name

 

Date of dispatch

09.04.2020

Type of notification

SSP increase

pdf file

pdf(PDF, 163 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) SICAV 2

Sub-fund name

 

Date of dispatch

09.04.2020

Type of notification

SSP increase

pdf file

pdf(PDF, 163 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Key Selection SICAV

Sub-fund name

 

Date of dispatch

09.04.2020

Type of notification

SSP increase

pdf file

pdf(PDF, 180 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Strategy SICAV

Sub-fund name

 

Date of dispatch

09.04.2020

Type of notification

SSP increase

pdf file

pdf(PDF, 164 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

Jyske SICAV

Sub-fund name

All

Date of dispatch

03.04.2020

Type of notification

Jyske SICAV - AGM Convening Notice

pdf file

pdf(PDF, 119 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Bond SICAV

Sub-fund name

USD High Yield (USD)

Date of dispatch

01.04.2020

Type of notification

Forced redemption

pdf file

pdf(PDF, 202 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Strategy Xtra SICAV

Sub-fund name

 

Date of dispatch

31.03.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 244 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

Multi Manager Access II

Sub-fund name

Emerging Markets Debt, High Yield

Date of dispatch

30.03.2020

Type of notification

SSP increase

pdf file

pdf(PDF, 94 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

Global Opportunities Access

Sub-fund name

Bond Plus USD

Date of dispatch

30.03.2020

Type of notification

SSP increase

pdf file

pdf

Fund name(PDF, 557 KB)(PDF, 370 KB)

OnCapital SICAV

Sub-fund name

 

Date of dispatch

24.03.2020

Type of notification

Prospectus update

pdf file

pdf(PDF, 679 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Bond SICAV

Sub-fund name

USD High Yield (USD)

Date of dispatch

20.03.2020

Type of notification

Forced redemption

pdf file

pdf(PDF, 210 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Equity SICAV

Sub-fund name

USA Quantitative (USD)

Date of dispatch

20.03.2020

Type of notification

Forced redemption

pdf file

pdf(PDF, 214 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Strategy Fund

Sub-fund name

Balanced (EUR)

Date of dispatch

20.03.2020

Type of notification

Forced redemption

pdf file

pdf(PDF, 203 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Strategy SICAV

Sub-fund name

SAP Dynamic (USD), SAP Defensive (USD)

Date of dispatch

20.03.2020

Type of notification

Forced redemption

pdf file

pdf(PDF, 205 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Money Market SICAV

Sub-fund name

 

Date of dispatch

17.03.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 372 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) SICAV 2

Sub-fund name

 

Date of dispatch

17.03.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 290 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

SF (Lux) SICAV 2

Sub-fund name

 

Date of dispatch

13.03.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 69 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

SF (Lux) SICAV 3

Sub-fund name

 

Date of dispatch

13.03.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 68 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) SICAV 1

Sub-fund name

 

Date of dispatch

28.02.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 142 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Key Selection SICAV

Sub-fund name

 

Date of dispatch

28.02.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 94 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Institutional SICAV

Sub-fund name

 

Date of dispatch

28.02.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 94 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

UBS (Lux) Equity SICAV

Sub-fund name

US Quantitative Defensive (USD), USA Growth (USD)

Date of dispatch

17.02.2020

Type of notification

Merger

pdf file

pdf(PDF, 264 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

Focused SICAV

Sub-fund name

US Treasury Bond USD, Global Bond

Date of dispatch

04.02.2020

Type of notification

Prospectus update

pdf file

pdf(PDF, 152 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

Focused SICAV

Sub-fund name

 

Date of dispatch

04.02.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 127 KB)

Fund name(PDF, 557 KB)(PDF, 370 KB)

Multi Manager Access

Sub-fund name

 

Date of dispatch

14.01.2020

Type of notification

Annual shareholders meeting

pdf file

pdf(PDF, 209 KB)

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