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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)

    AeK Wien SIF

    Sub-fund name

     

    Date of dispatch

    27.12.2019

    Type of notification

    Other

    pdf file

    pdf(PDF, 78 KB)

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

    UBS (Lux) Key Selection SICAV

    Sub-fund name

    Multi Strategy Alternatives (EUR)

    Date of dispatch

    20.12.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 162 KB)

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

    UBS (Lux) Investment SICAV

    Sub-fund name

    China Income (RMB)

    Date of dispatch

    09.12.2019

    Type of notification

    Liquidation

    pdf file

    pdf(PDF, 84 KB)

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

    UBS (Lux) Bond Fund

    Sub-fund name

     

    Date of dispatch

    29.11.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 172 KB)

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

    Steli (Lux) SICAV

    Sub-fund name

     

    Date of dispatch

    27.11.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 204 KB)

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

    Migros Bank (Lux) Fonds

    Sub-fund name

     

    Date of dispatch

    21.11.2019

    Type of notification

    Annual shareholders meeting

    pdf file

    pdf(PDF, 96 KB)

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

    Multi Manager Access II

    Sub-fund name

     

    Date of dispatch

    20.11.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 177 KB)

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

    Focused SICAV

    Sub-fund name

     

    Date of dispatch

    15.11.2019

    Type of notification

    Others

    pdf file

    pdf(PDF, 258 KB)

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

    UBS (Lux) Bond Fund

    Sub-fund name

     

    Date of dispatch

    15.11.2019

    Type of notification

    Others

    pdf file

    pdf(PDF, 258 KB)

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

    UBS (Lux) Bond SICAV

    Sub-fund name

     

    Date of dispatch

    15.11.2019

    Type of notification

    Others

    pdf file

    pdf(PDF, 258 KB)

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

    UBS (Lux) Equity SICAV

    Sub-fund name

     

    Date of dispatch

    15.11.2019

    Type of notification

    Others

    pdf file

    pdf(PDF, 258 KB)

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

    UBS (Lux) Key Selection SICAV

    Sub-fund name

     

    Date of dispatch

    15.11.2019

    Type of notification

    Others

    pdf file

    pdf(PDF, 258 KB)

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

    UBS (Lux) Strategy Fund

    Sub-fund name

     

    Date of dispatch

    15.11.2019

    Type of notification

    Others

    pdf file

    pdf(PDF, 258 KB)

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

    UBS (Lux) Strategy SICAV

    Sub-fund name

     

    Date of dispatch

    15.11.2019

    Type of notification

    Others

    pdf file

    pdf(PDF, 258 KB)

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

    UBS (Lux) Strategy Xtra SICAV

    Sub-fund name

     

    Date of dispatch

    15.11.2019

    Type of notification

    Others

    pdf file

    pdf(PDF, 258 KB)

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

    UBS (Lux) Equity Fund

    Sub-fund name

     

    Date of dispatch

    15.11.2019

    Type of notification

    Others

    pdf file

    pdf(PDF, 258 KB)

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

    UBS (Lux) Money Market Fund

    Sub-fund name

     

    Date of dispatch

    15.11.2019

    Type of notification

    Others

    pdf file

    pdf(PDF, 258 KB)

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

    UBS (Lux) SICAV 2

    Sub-fund name

     

    Date of dispatch

    15.11.2019

    Type of notification

    Others

    pdf file

    pdf(PDF, 258 KB)

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

    UBS (Irl) Fund plc

    Sub-fund name

     

    Date of dispatch

    11.11.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 348 KB)

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

    UBS (Lux) Strategy SICAV

    Sub-fund name

     

    Date of dispatch

    11.11.2019

    Type of notification

    Annual shareholders meeting

    pdf file

    pdf(PDF, 375 KB)

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

    UBS (Lux) Bond SICAV

    Sub-fund name

     

    Date of dispatch

    05.11.2019

    Type of notification

    Annual shareholders meeting

    pdf file

    pdf(PDF, 234 KB)

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

    UBS (Lux) Equity SICAV

    Sub-fund name

     

    Date of dispatch

    05.11.2019

    Type of notification

    Annual shareholders meeting

    pdf file

    pdf(PDF, 475 KB)

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

    Sidera Funds SICAV

    Sub-fund name

     

    Date of dispatch

    31.10.2019

    Type of notification

    Appointment of Management Company

    pdf file

    pdf(PDF, 142 KB)

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

    UBS (Lux) Bond SICAV

    Sub-fund name

     

    Date of dispatch

    31.10.2019

    Type of notification

    Prospectus update

    pdf file

    (PDF, 370 KB)pdf

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

    Luxembourg Placement Fund

    Sub-fund name

     

    Date of dispatch

    29.10.2019

    Type of notification

    Appointment of Management Company

    pdf file

    pdf(PDF, 16 KB)

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

    Migros Bank (Lux) Fonds

    Sub-fund name

     

    Date of dispatch

    29.10.2019

    Type of notification

    Appointment of Management Company

    pdf file

    pdf(PDF, 15 KB)

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

    UBS (Lux) SICAV 1

    Sub-fund name

    EMU Equities Quantitative (EUR)

    Date of dispatch

    17.10.2019

    Type of notification

    Liquidation

    pdf file

    pdf(PDF, 145 KB)

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

    UBS (Lux) Bond Fund

    Sub-fund name

    USD, Global Flexible

    Date of dispatch

    17.10.2019

    Type of notification

    Merger

    pdf file

    pdf(PDF, 383 KB)

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

    SF (Lux) SICAV 2

    Sub-fund name

     

    Date of dispatch

    15.10.2019

    Type of notification

    Annual shareholders meeting

    pdf file

    pdf(PDF, 97 KB)

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

    UBS (Lux) Bond SICAV

    Sub-fund name

    Emerging Europe (EUR), Emerging Economies Local Currency Bond (USD)

    Date of dispatch

    11.10.2019

    Type of notification

    Merger

    pdf file

    pdf(PDF, 410 KB)

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

    Multi Manager Access II

    Sub-fund name

    Sustainable Investing Balanced, Sustainable Investing Yield, Sustainable Investing Growth

    Date of dispatch

    07.10.2019

    Type of notification

    Merger

    pdf file

    pdf(PDF, 821 KB)

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

    UBS (Lux) Equity SICAV

    Sub-fund name

    Brazil (USD)

    Date of dispatch

    04.10.2019

    Type of notification

    Merger

    pdf file

    pdf(PDF, 356 KB)

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

    UBS (Lux) Strategy SICAV

    Sub-fund name

     

    Date of dispatch

    30.09.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 171 KB)

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

    UBS (Lux) Bond SICAV

    Sub-fund name

    Emerging Economies Corporates (USD), Floating Rate Income (USD)

    Date of dispatch

    09.09.2019

    Type of notification

    Forced redemption

    pdf file

    pdf(PDF, 95 KB)

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

    UBS (Lux) Equity SICAV

    Sub-fund name

    European Opportunity Unconstrained (EUR)

    Date of dispatch

    09.09.2019

    Type of notification

    Forced redemption

    pdf file

    pdf(PDF, 95 KB)

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

    Jyske SICAV

    Sub-fund name

    EQUITIES LOW VOLATILITY

    Date of dispatch

    02.09.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 51 KB)

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

    Jyske SICAV

    Sub-fund name

    DANISH BONDS

    Date of dispatch

    02.09.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 56 KB)

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

    Jyske SICAV

    Sub-fund name

    INVESTMENT GRADE CORPORATE BONDS (SRI)

    Date of dispatch

    02.09.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 56 KB)

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

    Jyske SICAV

    Sub-fund name

    STABLE STRATEGY

    Date of dispatch

    02.09.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 58 KB)

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

    Jyske SICAV

    Sub-fund name

    HIGH YIELD CORPORATE BONDS

    Date of dispatch

    02.09.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 56 KB)

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

    UBS (Lux) Institutional SICAV

    Sub-fund name

     

    Date of dispatch

    30.08.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 167 KB)

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

    BOS International Fund

    Sub-fund name

     

    Date of dispatch

    21.08.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 142 KB)

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

    Focused Fund

    Sub-fund name

     

    Date of dispatch

    12.08.2019

    Type of notification

    Others

    pdf file

    pdf(PDF, 705 KB)

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

    Focused SICAV

    Sub-fund name

     

    Date of dispatch

    12.08.2019

    Type of notification

    Others

    pdf file

    pdf(PDF, 705 KB)

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

    UBS (Lux) Bond SICAV

    Sub-fund name

     

    Date of dispatch

    12.08.2019

    Type of notification

    Others

    pdf file

    pdf(PDF, 705 KB)

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

    UBS (Lux) Equity SICAV

    Sub-fund name

     

    Date of dispatch

    12.08.2019

    Type of notification

    Others

    pdf file

    pdf(PDF, 705 KB)

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

    UBS (Lux) Key Selection SICAV

    Sub-fund name

     

    Date of dispatch

    12.08.2019

    Type of notification

    Others

    pdf file

    pdf(PDF, 705 KB)

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

    UBS (Lux) SICAV 1

    Sub-fund name

     

    Date of dispatch

    12.08.2019

    Type of notification

    Others

    pdf file

    pdf(PDF, 705 KB)

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

    UBS (Lux) Strategy Xtra SICAV

    Sub-fund name

     

    Date of dispatch

    12.08.2019

    Type of notification

    Others

    pdf file

    pdf(PDF, 705 KB)

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

    UBS (Lux) Bond Fund

    Sub-fund name

     

    Date of dispatch

    12.08.2019

    Type of notification

    Others

    pdf file

    pdf(PDF, 705 KB)

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

    UBS (Lux) Emerging Economies Fund

    Sub-fund name

     

    Date of dispatch

    12.08.2019

    Type of notification

    Others

    pdf file

     

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

    UBS (Lux) Equity Fund

    Sub-fund name

     

    Date of dispatch

    12.08.2019

    Type of notification

    Others

    pdf file

    pdf(PDF, 705 KB)

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

    UBS (Lux) Medium Term Bond Fund

    Sub-fund name

     

    Date of dispatch

    12.08.2019

    Type of notification

    Others

    pdf file

    pdf(PDF, 705 KB)

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

    UBS (Lux) Money Market Fund

    Sub-fund name

     

    Date of dispatch

    12.08.2019

    Type of notification

    Others

    pdf file

    pdf(PDF, 705 KB)

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

    UBS (Lux) Key Selection SICAV

    Sub-fund name

     

    Date of dispatch

    29.07.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 663 KB)

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

    UBS (Lux) Investment SICAV

    Sub-fund name

     

    Date of dispatch

    15.07.2019

    Type of notification

    Annual shareholders meeting

    pdf file

    pdf

    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)

    SF (Lux) SICAV 3

    Sub-fund name

     

    Date of dispatch

    21.06.2019

    Type of notification

    Appointment of Management Company

    pdf file

    pdf(PDF, 109 KB)

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

    SF (Lux) SICAV 2

    Sub-fund name

     

    Date of dispatch

    21.06.2019

    Type of notification

    Appointment of Management Company

    pdf file

    pdf(PDF, 157 KB)

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

    BPER International SICAV

    Sub-fund name

     

    Date of dispatch

    17.06.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 86 KB)

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

    UBS (Lux) Bond Fund

    Sub-fund name

     

    Date of dispatch

    17.06.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 144 KB)

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

    UBS (Lux) Bond SICAV

    Sub-fund name

     

    Date of dispatch

    17.06.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 211 KB)

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

    UBS (Lux) Medium Term Bond Fund

    Sub-fund name

     

    Date of dispatch

    17.06.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 147 KB)

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

    UBS (Lux) Money Market Fund

    Sub-fund name

     

    Date of dispatch

    17.06.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 143 KB)

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

    UBS (Lux) Money Market Invest

    Sub-fund name

     

    Date of dispatch

    17.06.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 141 KB)

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

    UBS (Lux) Money Market SICAV

    Sub-fund name

     

    Date of dispatch

    17.06.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 157 KB)

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

    Focused SICAV (2 different notices)

    Sub-fund name

     

    Date of dispatch

    17.06.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 148 KB) pdf(PDF, 165 KB)

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

    UBS (Lux) Equity Fund

    Sub-fund name

     

    Date of dispatch

    17.06.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 142 KB)

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

    UBS (Lux) SICAV 2

    Sub-fund name

     

    Date of dispatch

    17.06.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 163 KB)

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

    UBS (Lux) Institutional Fund

    Sub-fund name

     

    Date of dispatch

    17.06.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 144 KB)

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

    UBS (Lux) Strategy Fund

    Sub-fund name

     

    Date of dispatch

    17.06.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 150 KB)

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

    UBS (Lux) Strategy SICAV

    Sub-fund name

     

    Date of dispatch

    17.06.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 170 KB)

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

    UBS (Lux) Strategy Xtra SICAV

    Sub-fund name

     

    Date of dispatch

    17.06.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 145 KB)

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

    UBS (Lux) Key Selection SICAV

    Sub-fund name

     

    Date of dispatch

    17.06.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 415 KB)

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

    Multi Manager Access

    Sub-fund name

     

    Date of dispatch

    17.06.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 137 KB)

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

    Global Opportunities Access

    Sub-fund name

     

    Date of dispatch

    17.06.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 140 KB)

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

    AEK Wien SIF

    Sub-fund name

     

    Date of dispatch

    17.06.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 91 KB)

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

    BPER International SICAV

    Sub-fund name

     

    Date of dispatch

    11.06.2019

    Type of notification

    Appointment of Management Company

    pdf file

    pdf(PDF, 205 KB)

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

    Multi Manager Access

    Sub-fund name

     

    Date of dispatch

    06.06.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 213 KB)

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

    UBS (Irl) Fund plc

    Sub-fund name

     

    Date of dispatch

    29.05.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 278 KB)

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

    UBS (Lux) Bond Fund

    Sub-fund name

    GBP

    Date of dispatch

    24.05.2019

    Type of notification

    Merger

    pdf file

    pdf(PDF, 373 KB)

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

    UBS (Lux) Equity SICAV

    Sub-fund name

     

    Date of dispatch

    17.05.2019

    Type of notification

    Prospectus update

    pdf file

    pdf

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

    UBS (Lux) Equity SICAV

    Sub-fund name

    Emerging Markets High Dividend (USD)

    Date of dispatch

    13.05.2019

    Type of notification

    Merger

    pdf file

    pdf(PDF, 486 KB)

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

    Sidera Funds SICAV

    Sub-fund name

     

    Date of dispatch

    10.05.2019

    Type of notification

    Appointment of Management Companies

    pdf file

    pdf(PDF, 518 KB)

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

    UBS (Lux) Medium Term Bond Fund

    Sub-fund name

    AUD

    Date of dispatch

    10.05.2019

    Type of notification

    Merger

    pdf file

    pdf(PDF, 542 KB)

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

    OnCapital SICAV

    Sub-fund name

     

    Date of dispatch

    29.04.2019

    Type of notification

    Appointment of Management Company

    pdf file

    pdf(PDF, 130 KB)

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

    UBS (Lux) Money Market SICAV

    Sub-fund name

     

    Date of dispatch

    25.04.2019

    Type of notification

    Extraordinary shareholders meeting

    pdf file

    pdf(PDF, 624 KB)

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

    UBS (Lux) Medium Term Bond Fund

    Sub-fund name

    GBP

    Date of dispatch

    24.04.2019

    Type of notification

    Merger

    pdf file

    pdf(PDF, 290 KB)

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

    UBS (Lux) Equity SICAV

    Sub-fund name

    Emerging Markets High Dividend (USD)

    Date of dispatch

    15.04.2019

    Type of notification

    Merger

    pdf file

    pdf(PDF, 383 KB)

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

    UBS (Lux) SICAV 2

    Sub-fund name

     

    Date of dispatch

    15.04.2019

    Type of notification

    Annual shareholders meeting

    pdf file

    pdf(PDF, 299 KB)

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

    UBS (Lux) Bond Fund

    Sub-fund name

     

    Date of dispatch

    04.04.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 299 KB)

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

    UBS (Lux) Money Market SICAV

    Sub-fund name

     

    Date of dispatch

    03.04.2019

    Type of notification

    Annual shareholders meeting

    pdf file

    pdf(PDF, 52 KB)

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

    UBS (Lux) Strategy Xtra SICAV

    Sub-fund name

     

    Date of dispatch

    03.04.2019

    Type of notification

    Annual shareholders meeting

    pdf file

    pdf(PDF, 368 KB)

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

    UBS (Lux) Money Market Fund

    Sub-fund name

     

    Date of dispatch

    29.03.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 138 KB)

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

    UBS (Lux) Money Market Invest

    Sub-fund name

     

    Date of dispatch

    29.03.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 151 KB)

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

    UBS (Lux) Money Market SICAV

    Sub-fund name

     

    Date of dispatch

    29.03.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 150 KB)

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

    UBS Global Solutions

    Sub-fund name

     

    Date of dispatch

    21.03.2019

    Type of notification

    Extraordinary shareholders meeting

    pdf file

    pdf(PDF, 239 KB)

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

    UBS (Lux) Money Market SICAV

    Sub-fund name

     

    Date of dispatch

    21.03.2019

    Type of notification

    Extraordinary shareholders meeting

    pdf file

    pdf(PDF, 495 KB)

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

    UBS (Irl) Investor Selection plc

    Sub-fund name

    Currency Allocation Return Strategy

    Date of dispatch

    19.03.2019

    Type of notification

    Change of the investment manager

    pdf file

    pdf(PDF, 342 KB)

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

    UBS (Irl) Investor Selection plc

    Sub-fund name

    UBS Global Emerging Markets Opportunity Fund

    Date of dispatch

    19.03.2019

    Type of notification

    Change of the investment manager

    pdf file

    pdf(PDF, 375 KB)

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

    Steli (Lux) SICAV

    Sub-fund name

     

    Date of dispatch

    18.03.2019

    Type of notification

    Appointment of Management Company

    pdf file

    pdf(PDF, 130 KB)

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

    Focused Fund

    Sub-fund name

    High Grade Bond (EUR)

    Date of dispatch

    11.03.2019

    Type of notification

    Merger

    pdf file

    pdf(PDF, 253 KB)

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

    Focused Fund

    Sub-fund name

    High Grade Long Term Bond (EUR)

    Date of dispatch

    11.03.2019

    Type of notification

    Merger

    pdf file

    pdf(PDF, 256 KB)

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

    UBS (Lux) Equity Fund

    Sub-fund name

    Australia (AUD)

    Date of dispatch

    08.03.2019

    Type of notification

    liquidation

    pdf file

    pdf(PDF, 145 KB)

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

    UBS (Lux) Equity Fund

    Sub-fund name

     

    Date of dispatch

    07.03.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 216 KB)

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

    UBS (Lux) Bond SICAV

    Sub-fund name

    Convert Global (EUR)

    Date of dispatch

    01.03.2019

    Type of notification

    Other

    pdf file

    pdf(PDF, 203 KB)

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

    UBS (Lux) SICAV 1

    Sub-fund name

     

    Date of dispatch

    28.02.2019

    Type of notification

    Annual shareholders meeting

    pdf file

    pdf(PDF, 368 KB)

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

    UBS (Lux) Key Selection SICAV

    Sub-fund name

     

    Date of dispatch

    28.02.2019

    Type of notification

    Annual shareholders meeting

    pdf file

    pdf(PDF, 369 KB)

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

    UBS (Lux) Institutional SICAV

    Sub-fund name

     

    Date of dispatch

    28.02.2019

    Type of notification

    Annual shareholders meeting

    pdf file

    pdf(PDF, 368 KB)

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

    Focused SICAV

    Sub-fund name

     

    Date of dispatch

    05.02.2019

    Type of notification

    Annual shareholders meeting

    pdf file

    pdf(PDF, 306 KB)

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

    UBS (Lux) Bond SICAV

    Sub-fund name

    Short Duration High Yield (USD)

    Date of dispatch

    17.01.2019

    Type of notification

    Forced redemption

    pdf file

    pdf(PDF, 169 KB)

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

    UBS (Lux) Equity SICAV

    Sub-fund name

    European Opportunity Unconstrained (EUR) / Global High Dividend (USD)

    Date of dispatch

    17.01.2019

    Type of notification

    Forced redemption

    pdf file

    pdf(PDF, 169 KB)

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

    UBS (Lux) Key Selection SICAV

    Sub-fund name

    Emerging Markets Income (USD)

    Date of dispatch

    17.01.2019

    Type of notification

    Forced redemption

    pdf file

    pdf(PDF, 169 KB)

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

    UBS (Lux) SICAV 1

    Sub-fund name

    All-Rounder (USD)

    Date of dispatch

    17.01.2019

    Type of notification

    Forced redemption

    pdf file

    pdf(PDF, 169 KB)

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

    UBS Lux) Strategy SICAV

    Sub-fund name

    Income (USD)

    Date of dispatch

    17.01.2019

    Type of notification

    Forced redemption

    pdf file

    pdf(PDF, 169 KB)

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

    UBS (Lux) Strategy Fund

    Sub-fund name

    Balanced (EUR)

    Date of dispatch

    17.01.2019

    Type of notification

    Forced redemption

    pdf file

    pdf(PDF, 169 KB)

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

    UBS (Lux) SICAV 1

    Sub-fund name

     

    Date of dispatch

    15.01.2019

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 218 KB)

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

    UBS (Lux) SICAV 1

    Sub-fund name

    Medium Term USD Corporate Bonds (USD)

    Date of dispatch

    10.01.2019

    Type of notification

    Forced redemption

    pdf file

    pdf(PDF, 172 KB)

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

    UBS (Lux) Equity SICAV

    Sub-fund name

    Global Opportunity Unconstrained (USD)

    Date of dispatch

    10.01.2019

    Type of notification

    Forced redemption

    pdf file

    pdf(PDF, 172 KB)

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

    UBS (Lux) Key Selection SICAV

    Sub-fund name

    Multi Asset Income (USD)

    Date of dispatch

    07.01.2019

    Type of notification

    Merger

    pdf file

    pdf(PDF, 443 KB)

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

    UBS (Lux) Equity Fund

    Sub-fund name

    Global Sustainable Innovators (EUR)

    Date of dispatch

    07.01.2019

    Type of notification

    Merger

    pdf file

    pdf(PDF, 345 KB)

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    Legal Information

    Investment involves risks, and past performance figures shown are not indicative of future performance. The value of the funds and income from them can go up as well as down and consequently you may not get back the amount originally invested. Investors please refer to the offering document for further details including the risk factors.

    The investment returns of some of our range of funds are denominated in currency other than USD/HKD. US/HK Dollar-based investors are therefore exposed to fluctuations in the US/HK dollar/ foreign currency exchange rate.

    Units of UBS funds mentioned in this publication may not be offered, sold or delivered in the USA.

    This website and its contents have not been reviewed by, delivered to or registered with any regulatory or other relevant authority in APAC. This website is for informational purposes and should not be construed as an offer or invitation to the public, direct or indirect, to buy or sell securities. This website is intended for limited distribution and only to the extent permitted under applicable laws in your jurisdiction. No representations are made with respect to the eligibility of any viewers of this website to acquire interests in securities under the laws of your jurisdiction. Using, copying, redistributing or republishing any part of this website without prior written permission from UBS Asset Management is prohibited. Any statements made regarding investment performance objectives, risk and/or return targets shall not constitute a representation or warranty that such objectives or expectations will be achieved or risks are fully disclosed. The information and opinions contained in this website is based upon information obtained from sources believed to be reliable and in good faith but no responsibility is accepted for any misrepresentation, errors or omissions. All such information and opinions are subject to change without notice. A number of comments in this website are based on current expectations and are considered “forward-looking statements”. Actual future results may prove to be different from expectations and any unforeseen risk or event may arise in the future. The opinions expressed are a reflection of UBS Asset Management’s judgment at the time this website is compiled and any obligation to update or alter forward-looking statements as a result of new information, future events, or otherwise is disclaimed. You are advised to exercise caution in relation to this website. The information in this website does not constitute advice and does not take into consideration your investment objectives, legal, financial or tax situation or particular needs in any other respect. Investors should be aware that past performance of investment is not necessarily indicative of future performance. Potential for profit is accompanied by possibility of loss. If you are in any doubt about any of the contents of this website, you should obtain independent professional advice.

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