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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

    Focused Fund

    Sub-fund name

    All

    Date of dispatch

    31.12.2024

    Type of notification

    Change of auditor

    pdf file

    pdf(PDF, 100 KB)

    Fund name

    Focused Sicav

    Sub-fund name

    All

    Date of dispatch

    31.12.2024

    Type of notification

    Change of auditor

    pdf file

    pdf(PDF, 100 KB)

    Fund name

    UBS (Lux) Bond Fund

    Sub-fund name

    All

    Date of dispatch

    31.12.2024

    Type of notification

    Change of auditor

    pdf file

    pdf(PDF, 100 KB)

    Fund name

    UBS (Lux) Bond Sicav

    Sub-fund name

    All

    Date of dispatch

    31.12.2024

    Type of notification

    Change of auditor

    pdf file

    pdf(PDF, 210 KB)

    Fund name

    UBS (Lux) Equity Sicav

    Sub-fund name

    All

    Date of dispatch

    31.12.2024

    Type of notification

    Change of auditor

    pdf file

    pdf(PDF, 211 KB)

    Fund name

    UBS (Lux) Institutional Fund

    Sub-fund name

    All

    Date of dispatch

    31.12.2024

    Type of notification

    Change of auditor

    pdf file

    pdf(PDF, 100 KB)

    Fund name

    UBS (Lux) Investment Sicav

    Sub-fund name

    All

    Date of dispatch

    31.12.2024

    Type of notification

    Change of auditor

    pdf file

    pdf(PDF, 210 KB)

    Fund name

    UBS (Lux) Sicav 1

    Sub-fund name

    All

    Date of dispatch

    31.12.2024

    Type of notification

    Change of auditor

    pdf file

    pdf(PDF, 210 KB)

    Fund name

    UBS (Lux) Strategy Fund

    Sub-fund name

    All

    Date of dispatch

    31.12.2024

    Type of notification

    Change of auditor

    pdf file

    pdf(PDF, 100 KB)

    Fund name

    UBS (Lux) Strategy Sicav

    Sub-fund name

    All

    Date of dispatch

    31.12.2024

    Type of notification

    Change of auditor

    pdf file

    pdf(PDF, 211 KB)

    Fund name

    Multiple

    Sub-fund name

    Multiple

    Date of dispatch

    31.12.2024

    Type of notification

    Mergers Completion Notice 2024

    pdf file

    pdf(PDF, 114 KB)

    Fund name

    UBS Global Private Equity Growth III SLP-SIF

    Sub-fund name

    UBS Global Private Equity Growth III SLP-SIF

    Date of dispatch

    31.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfof UBS Global Private Equity Growth III SLP-SIF(PDF, 99 KB)

    Fund name

    UBS Global Private Equity Growth III Feeder SCA, SICAV-SIF

    Sub-fund name

    UBS Global Private Equity Growth III Feeder SCA, SICAV-SIF

    Date of dispatch

    31.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfof UBS Global Private Equity Growth III Feeder SCA, SICAV-SIF(PDF, 99 KB)

    Fund name

    UBS (Lux) Real Estate Funds Selection

    Sub-fund name

    Global

    Date of dispatch

    31.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfof UBS (Lux) Real Estate Funds Selection(PDF, 67 KB)

    Fund name

    UBS (Lux) Private Markets

    Sub-fund name

    UBS (Lux) Private Markets - Infrastructure Opportunities Fund

    Date of dispatch

    31.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfof UBS (Lux) Private Markets - Infrastructure Opportunities Fund(PDF, 141 KB)

    Fund name

    UBS (Lux) Private Equity Growth V SCSp SICAV-SIF

    Sub-fund name

    All

    Date of dispatch

    31.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfof UBS (Lux) Private Equity Growth V SCSp SICAV-SIF(PDF, 138 KB)

    Fund name

    UBS (Lux) Infrastructure Co-Invest SCSp SICAV-SIF

    Sub-fund name

    UBS (Lux) Infrastructure Co-Invest SCSp SICAV-SIF

    Date of dispatch

    31.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfof UBS (Lux) Infrastructure Co-Invest SCSp SICAV-SIF(PDF, 98 KB)

    Fund name

    SF (Lux) SICAV 3

    Sub-fund name

    All

    Date of dispatch

    31.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfof SF (Lux) SICAV 3(PDF, 105 KB)

    Fund name

    Private Equity (Lux) Evergreen Secondary Fund

    Sub-fund name

    Private Equity (Lux) Evergreen Secondary Fund

    Date of dispatch

    31.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfof Private Equity (Lux) Evergreen Secondary Fund(PDF, 67 KB)

    Fund name

    Global Private Equity Growth IV SCSp SICAV-SIF

    Sub-fund name

    Global Private Equity Growth IV SCSp SICAV-SIF

    Date of dispatch

    31.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfof Global Private Equity Growth IV SCSp SICAV-SIF(PDF, 99 KB)

    Fund name

    APPIA Global Infrastructure Portfolio S.C.A., SICAV-FIS

    Sub-fund name

    APPIA Global Infrastructure Portfolio S.C.A., SICAV-FIS

    Date of dispatch

    31.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfof APPIA Global Infrastructure Portfolio S.C.A., SICAV-FIS(PDF, 99 KB)

    Fund name

    APPIA Global Infrastructure Portfolio A S.C.S., SICAF-FIS

    Sub-fund name

    APPIA Global Infrastructure Portfolio A S.C.S., SICAF-FIS

    Date of dispatch

    31.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfof APPIA Global Infrastructure Portfolio A S.C.S., SICAF-FIS(PDF, 98 KB)

    Fund name

    UBS (Lux) Equity Fund

    Sub-fund name

    All

    Date of dispatch

    30.12.2024

    Type of notification

    Prospectus Update

    pdf file

    pdfof UBS (Lux) Equity Fund(PDF, 396 KB)

    Fund name

    Zilux FCP-SIF

    Sub-fund name

    Senior Loans Global

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfZilux FCP-SIF Senior Loans Global CSSF 24/856 Circular Update(PDF, 104 KB)

    Fund name

    UBS (Lux) Strategy Xtra Sicav

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfUBS (Lux) Strategy Xtra Sicav CSSF 24/856 Circular Update All(PDF, 106 KB)

    Fund name

    Manager Opportunities Access

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfManager Opportunities Access Managed Opportunity Fund CSSF 24/856 Circular Update All(PDF, 161 KB)

    Fund name

    CS Advantage (Lux)

    Sub-fund name

    Global Bond A

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfCS Advantage (Lux) Global Bond A CSSF 24/856 Circular Update(PDF, 102 KB)

    Fund name

    Credit Suisse Virtuoso SICAV-SIF

    Sub-fund name

    Credit Suisse (Lux) Supply Chain Finance Feeder Fund

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfCredit Suisse Virtuoso SICAV-SIF Credit Suisse (Lux) Supply Chain Finance Feeder Fund CSSF 24/856 Circular Update(PDF, 101 KB)

    Fund name

    Credit Suisse Virtuoso SICAV-SIF

    Sub-fund name

    Credit Suisse (Lux) Supply Chain Finance Fund (in liquidation)

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfCredit Suisse Virtuoso SICAV-SIF Credit Suisse (Lux) Supply Chain Finance Fund (in liquidation) CSSF 24/856 Circular Update(PDF, 101 KB)

    Fund name


    Credit Suisse Virtuoso SICAV-SIF

    Sub-fund name

    UBS (Lux) Credit Income Feeder Fund
    UBS (Lux) Multi Strategy Alternative Fund
    UBS (Lux) Qatar Enhanced Short Duration Fund

    Date of dispatch


    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file


    pdfCredit Suisse Virtuoso SICAV-SIF CSSF 24/856 Circular Update(PDF, 99 KB)

    Fund name

    Archmore SCSp, SICAV-SIF

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfArchmore SCSp, SICAV-SIF Infrastructure Debt Platform II Sub-Fund All CSSF 24/856 Circular Update(PDF, 142 KB)

    Fund name

    Archmore Infrastructure Debt Platform, SCA-SICAV SIF

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfArchmore Infrastructure Debt Platform, SCA-SICAV SIF IDP I Sub-Fund All CSSF 24/856 Circular Update(PDF, 143 KB)

    Fund name

    Alpinum SICAV-SIF

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfAlpinum SICAV-SIF Alternative Investments Fund All CSSF 24/856 Circular Update(PDF, 110 KB)

    Fund name

    AeK Wien SIF

    Sub-fund name

    Diversified Portfolio

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfAeK Wien SIF Diversified Portfolio CSSF 24/856 Circular Update(PDF, 105 KB)

    Fund name

    LUXEMBOURG SELECTION FUND

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    Change of Management Company

    pdf file

    pdfof LUXEMBOURG SELECTION FUND(PDF, 79 KB)

    Fund name

    CS Investment Funds 1

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdf(PDF, 139 KB)

    Fund name

    CS Investment Funds 2

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdf(PDF, 150 KB)

    Fund name

    CS Investment Funds 3

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdf(PDF, 140 KB)

    Fund name

    CS Investment Funds 4

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdf(PDF, 149 KB)

    Fund name

    CS Investment Funds 13

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdf(PDF, 141 KB)

    Fund name

    CS Investment Funds 14

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdf(PDF, 141 KB)

    Fund name

    CS Index Fund (Lux)

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdf(PDF, 135 KB)

    Fund name

    BOS INTERNATIONAL FUND

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfLink to Bos International Fund(PDF, 143 KB)

    Fund name

    Focused Fund

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfLink to Focused Fund(PDF, 123 KB)

    Fund name

    Focused SICAV

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfLink to Focused SICAV(PDF, 145 KB)

    Fund name

    Global Opportunities Access

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfLink to Global Opportunities Access(PDF, 175 KB)

    Fund name

    JYSKE SICAV

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdf(PDF, 140 KB)

    Fund name

    Multi Manager Access II

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfLink to Multi Manager Access II(PDF, 228 KB)

    Fund name

    UBS (Lux) Bond Fund

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfLink to UBS Lux Bond Fund(PDF, 147 KB)

    Fund name

    UBS (Lux) Bond SICAV

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfLink to ubs lux bond sicav(PDF, 155 KB)

    Fund name

    UBS (Lux) Emerging Economies Fund

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfLink to Emerging Economies Fund(PDF, 147 KB)

    Fund name

    UBS (Lux) Equity Fund

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfLink to ubs lux equity fund(PDF, 147 KB)

    Fund name

    UBS (Lux) Equity SICAV

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfLink to ubs lux equity sicav(PDF, 155 KB)

    Fund name

    UBS (Lux) Fund Solutions

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfLink to ubs lux fund solutions(PDF, 155 KB)

    Fund name

    UBS (Lux) Institutional Fund

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfLink to ubs lux institutional fund(PDF, 147 KB)

    Fund name

    UBS (Lux) Institutional SICAV

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfLink to ubs institutional sicav(PDF, 145 KB)

    Fund name

    UBS (Lux) Investment SICAV

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfLink to ubs lux investment sicav(PDF, 155 KB)

    Fund name

    UBS (Lux) Key Selection SICAV

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfLink to ubs lux key selection sicav(PDF, 155 KB)

    Fund name

    UBS (Lux) Money Market Fund

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdf(PDF, 147 KB)

    Fund name

    UBS (Lux) SICAV 1

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfLink to SICAV 1(PDF, 155 KB)

    Fund name

    UBS (Lux) Strategy Fund

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfLink to UBS Lux Strategy Fund(PDF, 147 KB)

    Fund name

    UBS (Lux) Strategy SICAV

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfLink to UBS Lux Strategy SICAV(PDF, 155 KB)

    Fund name

    Multi Manager Access

    Sub-fund name

    All

    Date of dispatch

    20.12.2024

    Type of notification

    CSSF 24/856 Circular Update

    pdf file

    pdfLink to Multi Manager Access(PDF, 160 KB)

    Fund name

    Multi Manager Access II

    Sub-fund name

    All

    Date of dispatch

    05.12.2024

    Type of notification

    Prospectus Update

    pdf file

    pdflink to Multi Manager Access II notice PDF(PDF, 156 KB)

    Fund name

    BPER International SICAV

    Sub-fund name

    Emerging Markets – Multi Asset Dividend, Multi Asset Dividend

    Date of dispatch

    05.12.2024

    Type of notification

    Change in distribution policy

    pdf file

    pdf(PDF, 101 KB)

    Fund name

    Migros Bank (Lux) Fonds

    Sub-fund name

    All

    Date of dispatch

    29.11.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 73 KB)

    Fund name

    BCC Investment Partners SICAV

    Sub-fund name

    RFN Dinamico Cedola 2024

    Date of dispatch

    28.11.2024

    Type of notification

    Fund Extension

    pdf file

    pdf(PDF, 214 KB)

    Fund name

    BCC Investment Partners SICAV

    Sub-fund name

    BNP Paribas Cedola 2024

    Date of dispatch

    28.11.2024

    Type of notification

    Fund Extension

    pdf file

    pdf(PDF, 215 KB)

    Fund name

    BCC Investment Partners SICAV

    Sub-fund name

    Pictet Credit Selection Ideas Cedola 2024

    Date of dispatch

    28.11.2024

    Type of notification

    Fund Extension

    pdf file

    pdf(PDF, 214 KB)

    Fund name

    BCC Investment Partners SICAV

    Sub-fund name

    Blackrock Meta 2024

    Date of dispatch

    28.11.2024

    Type of notification

    Fund Extension

    pdf file

    pdf(PDF, 215 KB)

    Fund name

    BCC Investment Partners SICAV

    Sub-fund name

    Vontobel Cedola 2024

    Date of dispatch

    28.11.2024

    Type of notification

    Fund Extension

    pdf file

    pdf(PDF, 214 KB)

    Fund name

    Luxembourg Placement Fund

    Sub-fund name

    Top Invest

    Date of dispatch

    25.11.2024

    Type of notification

    Prospectus Update

    pdf file

    pdf(PDF, 78 KB)

    Fund name

    Luxembourg Placement Fund

    Sub-fund name

    W – Multi Manager Select

    Date of dispatch

    25.11.2024

    Type of notification

    Prospectus Update

    pdf file

    pdf(PDF, 55 KB)

    Fund name

    UBS (Lux) Real Estate Funds Selection

    Sub-fund name

    Global

    Date of dispatch

    17.10.2024

    Type of notification

    Partial deferral of redemption requests

    pdf file

    pdf(PDF, 115 KB)

    Fund name

    BPER INTERNATIONAL SICAV

    Sub-fund name

    All

    Date of dispatch

    15.11.2024

    Type of notification

    Prospectus Update

    pdf file

    pdfof BPER INTERNATIONAL SICAV(PDF, 847 KB)

    Fund name

    CS Investment Funds 3

    Sub-fund name

    Credit Suisse (Lux) Emerging Market Corporate Bond Fund

    Date of dispatch

    15.11.2024

    Type of notification

    Merger

    pdf file

    pdfof Credit Suisse (Lux) Emerging Market Corporate Bond Fund(PDF, 1010 KB)

    Fund name

    CS Investment Funds 14

    Sub-fund name

    Credit Suisse (Lux) Swiss Franc Bond Fund

    Date of dispatch

    13.11.2024

    Type of notification

    Merger

    pdf file

    pdf(PDF, 962 KB)

    Fund name

    Multi Manager Access II

    Sub-fund name

    Sustainable Investing Balanced, Sustainable Investing Growth, Sustainable Investing Yield

    Date of dispatch

    12.11.2024

    Type of notification

    Share Class Liquidation

    pdf file

    pdf(PDF, 216 KB)

    Fund name

    BCC Investment Partners SICAV

    Sub-fund name

    INVESCO Cedola Emergente 2024

    Date of dispatch

    12.11.2024

    Type of notification

    Repositioning

    pdf file

    pdflink to BCC Investment Partners SICAV INVESCO Cedola Emergente 2024 Repositioning Notice(PDF, 260 KB)

    Fund name

    SF (Lux) SICAV 2

    Sub-fund name

    All

    Date of dispatch

    11.11.2024

    Type of notification

    Convening

    pdf file

    pdflink to SF (Lux) SICAV 2 Convening Notice(PDF, 100 KB)

    Fund name

    BCC Investment Partners SICAV

    Sub-fund name

    GAM PAC Evolution

    Date of dispatch

    11.11.2024

    Type of notification

    Repositioning

    pdf file

    pdflink to BCC Investment Partners SICAV GAM PAC Evolution Repositioning Notice(PDF, 235 KB)

    Fund name

    BCC Investment Partners SICAV

    Sub-fund name

    Schroder Cedola Paesi Emergenti 2024

    Date of dispatch

    08.11.2024

    Type of notification

    Repositioning

    pdf file

    pdflink to BCC Investment Partners SICAV Schroder Cedola Paesi Emergenti 2024 Repositioning Notice(PDF, 244 KB)

    Fund name

    UBS (Lux) Equity SICAV

    Sub-fund name

    Future Leaders Small Caps (USD)

    Date of dispatch

    07.11.2024

    Type of notification

    Liquidation

    pdf file

    pdf(PDF, 176 KB)

    Fund name

    UBS (Lux) Equity SICAV

    Sub-fund name

    Global Opportunity Unconstrained (USD)

    Date of dispatch

    06.11.2024

    Type of notification

    Liquidation

    pdf file

    pdf(PDF, 153 KB)

    Fund name

    UBS (Lux) Strategy SICAV

    Sub-fund name

    Dynamic Income (USD)

    Date of dispatch

    04.11.2024

    Type of notification

    Merger (Receiving)

    pdf file

    pdflink to UBS (Lux) Strategy SICAV Dynamic Income (USD) Merger (Receiving) notice(PDF, 505 KB)

    Fund name

    UBS (Lux) Bond SICAV

    Sub-fund name

    Emerging Economies Corporates (USD)

    Date of dispatch

    04.11.2024

    Type of notification

    Merger (Receiving)

    pdf file

    pdflink to UBS (Lux) Bond SICAV Emerging Economies Corporates (USD) Merger (Receiving) notice(PDF, 1 MB)

    Fund name

    UBS (Lux) Key Selection SICAV

    Sub-fund name

    Global Multi Income (USD)

    Date of dispatch

    04.11.2024

    Type of notification

    Merger

    pdf file

    pdflink to UBS (Lux) Key Selection SICAV Global Multi Income (USD) Merger notice(PDF, 604 KB)

    Fund name

    CS Investment Funds 14

    Sub-fund name

    Credit Suisse (Lux) Swiss Franc Bond Fund

    Date of dispatch

    04.11.2024

    Type of notification

    Merger

    pdf file

    pdflink to CS Investment Funds 14 Credit Suisse (Lux) Swiss Franc Bond Fund merger notice PDF(PDF, 912 KB)

    Fund name

    CS Investment Funds 4

    Sub-fund name

    Credit Suisse (Lux) Global High Income Fund (USD)

    Date of dispatch

    04.11.2024

    Type of notification

    Merger

    pdf file

    pdflink to CS Investment Funds 4 Credit Suisse (Lux) Global High Income Fund (USD) Merger Notice PDF(PDF, 366 KB)

    Fund name

    CS Investment Funds 3

    Sub-fund name

    Credit Suisse (Lux) Emerging Market Corporate Bond Fund

    Date of dispatch

    04.11.2024

    Type of notification

    Merger

    pdf file

    pdflink to Credit Suisse (Lux) Emerging Market Corporate Bond Fund notice PDF(PDF, 1 MB)

    Fund name

    UBS (Lux) Bond Fund

    Sub-fund name

    CHF Flexible Notice

    Date of dispatch

    04.11.2024

    Type of notification

    Merger (Receiving)

    pdf file

    pdflink to UBS (Lux) Bond Fund CHF Flexible Notice PDF(PDF, 425 KB)

    Fund name

    UBS (Lux) Equity SICAV

    Sub-fund name

    Euro Countries Income Sustainable (EUR)

    European Income Opportunity Sustainable (EUR)

    US Income Sustainable (USD)

    US Total Yield Sustainable (USD)

    Date of dispatch

    04.11.2024

    Type of notification

    Share Class Renaming

    pdf file

    pdflink to UBS (Lux) Equity SICAV Share Class Renaming PDF(PDF, 177 KB)

    Fund name

    UBS (Irl) Investor Selection plc

    Sub-fund name

    Equity Opportunity Long Short Fund

    Date of dispatch

    29.10.2024

    Type of notification

    Redemption of outstanding shares

    pdf file

    pdf(PDF, 403 KB)

    Fund name

    UBS (Lux) Investment SICAV

    Sub-fund name

    All

    Date of dispatch

    29.10.2024

    Type of notification

    Ordinary General Meeting

    pdf file

    pdf(PDF, 173 KB)

    Fund name

    UBS (Lux) SICAV 1

    Sub-fund name

    All

    Date of dispatch

    29.10.2024

    Type of notification

    Ordinary General Meeting

    pdf file

    pdf(PDF, 170 KB)

    Fund name

    Focused SICAV

    Sub-fund name

    All

    Date of dispatch

    29.10.2024

    Type of notification

    Ordinary General Meeting

    pdf file

    pdf(PDF, 149 KB)

    Fund name

    UBS (Irl) Investor Selection plc

    Sub-fund name

    Equity Opportunity Long Short Fund

    Date of dispatch

    29.10.2024

    Type of notification

    Liquidation

    pdf file

    pdf(PDF, 514 KB)

    Fund name

    UBS (Lux) Equity SICAV

    Sub-fund name

    All

    Date of dispatch

    25.10.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdflink to UBS (Lux) Equity SICAV notice(PDF, 170 KB)

    Fund name

    UBS (Lux) Bond SICAV

    Sub-fund name

    All

    Date of dispatch

    25.10.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdflink to UBS (Lux) Bond SICAV notice(PDF, 169 KB)

    Fund name

    UBS (Lux) Key Selection SICAV

    Sub-fund name

    European Equity Sustainable Leaders (EUR)

    Date of dispatch

    17.10.2024

    Type of notification

    Liquidation

    pdf file

    pdf(PDF, 179 KB)

    Fund name

    UBS (Lux) Equity SICAV

    Sub-fund name

    China Health Care (USD)

    Date of dispatch

    16.10.2024

    Type of notification

    Liquidation

    pdf file

    pdf(PDF, 182 KB)

    Fund name

    Steli (Lux) SICAV

    Sub-fund name

    All

    Date of dispatch

    15.10.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 67 KB)

    Fund name

    BOS International Fund

    Sub-fund name

    All

    Date of dispatch

    09.10.2024

    Type of notification

    Ordinary General Meeting

    pdf file

    pdf(PDF, 69 KB)

    Fund name

    UBS (Lux) Institutional Fund

    Sub-fund name

    Key Selection European Equity

    Date of dispatch

    08.10.2024

    Type of notification

    Merger

    pdf file

    pdf(PDF, 492 KB)

    Fund name

    UBS (Lux) Equity Fund

    Sub-fund name

    Sustainable Health Transformation (USD)

    Date of dispatch

    07.10.2024

    Type of notification

    Merger (receiving)

    pdf file

    pdf(PDF, 593 KB)

    Fund name

    Multi Manager Access II

    Sub-fund name

    Future of Humans

    Date of dispatch

    07.10.2024

    Type of notification

    Merger

    pdf file

    pdf(PDF, 586 KB)

    Fund name

    UBS (Lux) Strategy SICAV

    Sub-fund name

    All

    Date of dispatch

    04.11.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 188 KB)

    Fund name

    Global Opportunities Access

    Sub-fund name

    All

    Date of dispatch

    03.10.2024

    Type of notification

    Prospectus Update

    pdf file

    pdfLink to prospectus update notice file

    Fund name

    UBS (Lux) Bond SICAV

    Sub-fund name

    2024 (USD)

    Date of dispatch

    25.09.2024

    Type of notification

    End of Maturity and liquidation

    pdf file

    pdfof UBS (Lux) Bond SICAV 2024 (USD)(PDF, 102 KB)

    Fund name

    UBS (Lux) Bond SICAV

    Sub-fund name

    Short term USD Corporates Sustainable (USD)

    Date of dispatch

    24.09.2024

    Type of notification

    Merger

    pdf file

    pdflink to Short term USD Corporates Sustainable (USD) PDF(PDF, 448 KB)

    Fund name

    UBS (Lux) Bond SICAV

    Sub-fund name

    Short term EUR Corporates Sustainable (EUR)

    Date of dispatch

    24.09.2024

    Type of notification

    Merger

    pdf file

    pdflink to Short term EUR Corporates Sustainable (EUR) PDF(PDF, 457 KB)

    Fund name

    UBS (Lux) Bond Fund

    Sub-fund name

    Asia Flexible (USD)

    Date of dispatch

    24.09.2024

    Type of notification

    Merger

    pdf file

    pdflink to Asia Flexible (USD) PDF(PDF, 417 KB)

    Fund name

    UBS (Lux) Bond SICAV

    Sub-fund name

    All

    Date of dispatch

    23.09.2024

    Type of notification

    Prospectus Update

    pdf file

    pdflink to UBS (Lux) Bond SICAV PDF(PDF, 546 KB)

    Fund name

    UBS (Lux) Real Estate Funds Selection

    Sub-fund name

    Global

    Date of dispatch

    23.09.2024

    Type of notification

    Partial deferral of redemption requests

    pdf file

    pdflink to UBS (Lux) Real Estate Funds Selection PDF(PDF, 108 KB)

    Fund name

    All: AM AIF

    Sub-fund name

    All

    Date of dispatch

    23.09.2024

    Type of notification

    Management Company name change

    pdf file

    pdfof 23 Sept 2024 UBS FML Investor Notice name change (UBS AIF)(PDF, 336 KB)

    Fund name

    All: AM UCITS

    Sub-fund name

    All

    Date of dispatch

    23.09.2024

    Type of notification

    Management Company name change

    pdf file

    pdfof 23 Sept 2024 UBS FML Investor Notice name change (UBS UCITS)(PDF, 357 KB)

    Fund name

    All: AM WLS AIF

    Sub-fund name

    All

    Date of dispatch

    23.09.2024

    Type of notification

    Management Company name change

    pdf file

    pdfof 23 Sept 2024 UBS FML Investor Notice name change (WLS AIF)(PDF, 312 KB)

    Fund name

    All: AM WLS UCITS

    Sub-fund name

    All

    Date of dispatch

    23.09.2024

    Type of notification

    Management Company name change

    pdf file

    pdfof 23 Sept 2024 BS FML Investor Notice name change (WLS UCITS)(PDF, 297 KB)

    Fund name

    UBS (Lux) Bond SICAV

    Sub-fund name

    China Fixed Income (RMB)

    Date of dispatch

    17.09.2024

    Type of notification

    Merger

    pdf file

    pdf(PDF, 1 MB)

    Fund name

    BCC Investment Partners SICAV

    Sub-fund name

    INVESCO CEDOLA EMERGENTE 2024

    Date of dispatch

    16.09.2024

    Type of notification

    Term extension

    pdf file

    pdfBCC Investment Partners SICAV - INVESCO CEDOLA EMERGENTE 2024(PDF, 200 KB)

    Fund name

    BCC Investment Partners SICAV

    Sub-fund name

    SCHRODER CEDOLA PAESI EMERGENTI 2024

    Date of dispatch

    16.09.2024

    Type of notification

    Term extension

    pdf file

    pdfBCC Investment Partners SICAV - SCHRODER CEDOLA PAESI EMERGENTI 2024(PDF, 215 KB)

    Fund name

    UBS (Lux) Real Estate Funds Selection

    Sub-fund name

    All

    Date of dispatch

    11.09.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdfof UBS (Lux) Real Estate Funds Selection(PDF, 72 KB)

    Fund name

    UBS (Lux) Money Market SICAV

    Sub-fund name

    All

    Date of dispatch

    09.09.2024

    Type of notification

    Extraordinary General Meeting

    pdf file

    pdfof UBS (Lux) Money Market SICAV(PDF, 120 KB)

    Fund name

    UBS (Lux) Strategy SICAV

    Sub-fund name

    Fixed Income Sustainable (USD)

    Date of dispatch

    06.09.2024

    Type of notification

    Merger

    pdf file

    pdflink to Fixed Income Sustainable (USD) PDF(PDF, 688 KB)

    Fund name

    UBS (Lux) Strategy SICAV

    Sub-fund name

    Fixed Income Sustainable (EUR)

    Date of dispatch

    06.09.2024

    Type of notification

    Merger

    pdf file

    pdflink to Fixed Income Sustainable (EUR) PDF(PDF, 363 KB)

    Fund name

    UBS (Lux) Key Selection SICAV

    Sub-fund name

    Global Allocation (CHF) / Global Allocation (USD)

    Date of dispatch

    06.09.2024

    Type of notification

    Merger

    pdf file

    pdflink to Global Allocation (CHF) PDF(PDF, 678 KB)

    Fund name

    UBS (Lux) Key Selection SICAV

    Sub-fund name

    Global Allocation (EUR) / Global Allocation (USD)

    Date of dispatch

    06.09.2024

    Type of notification

    Merger

    pdf file

    pdflink to Global Allocation (EUR) PDF(PDF, 703 KB)

    Fund name

    UBS (Lux) Institutional Fund

    Sub-fund name

    Global Convertible Bonds

    Date of dispatch

    06.09.2024

    Type of notification

    Merger

    pdf file

    pdflink to Global Convertible Bonds(PDF, 805 KB)

    Fund name

    UBS (Lux) Real Estate Funds Selection

    Sub-fund name

    Global

    Date of dispatch

    16.08.2024

    Type of notification

    Partial deferral of redemption requests

    pdf file

    pdf(PDF, 107 KB)

    Fund name

    UBS (Lux) Institutional Fund

    Sub-fund name

    All

    Date of dispatch

    16.08.2024

    Type of notification

    Prospectus Update

    pdf file

    pdfof UBS (Lux) Institutional Fund(PDF, 233 KB)

    Fund name

    UBS (Lux) Global Living Fund SICAV-RAIF

    Sub-fund name

    All

    Date of dispatch

    12.08.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdfof UBS (Lux) Global Living Fund SICAV-RAIF(PDF, 90 KB)

    Fund name

    SF (Lux) SICAV 3

    Sub-fund name

    All

    Date of dispatch

    12.08.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdfof SF (Lux) SICAV 3(PDF, 90 KB)

    Fund name

    UBS (Lux) Equity SICAV

    Sub-fund name

    US Income Sustainable (USD), US Opportunity (USD), US Total Yield Sustainable (USD), USA Growth (USD), USA Growth Sustainable (USD), India Opportunity (USD)

    Date of dispatch

    08.08.2024

    Type of notification

    Prospectus Update

    pdf file

    pdfof US Income Sustainable (USD), US Opportunity (USD), US Total Yield Sustainable (USD), USA Growth (USD), USA Growth Sustainable (USD), India Opportunity (USD)(PDF, 182 KB)

    Fund name

    UBS (Lux) Money Market SICAV

    Sub-fund name

    EUR

    Date of dispatch

    30.07.2024

    Type of notification

    Merger

    pdf file

    pdf(PDF, 420 KB)

    Fund name

    UBS (Lux) Money Market SICAV

    Sub-fund name

    USD

    Date of dispatch

    30.07.2024

    Type of notification

    Merger

    pdf file

    pdf(PDF, 389 KB)

    Fund name

    UBS (Lux) Money Market Fund

    Sub-fund name

    All

    Date of dispatch

    29.07.2024

    Type of notification

    Prospectus update

    pdf file

    pdfof UBS (Lux) Money Market Fund(PDF, 214 KB)

    Fund name

    Hesperange Fund SCSp, SICAV-RAIF

    Sub-fund name

    All

    Date of dispatch

    08.07.2024

    Type of notification

    2nd Annual General Meeting

    pdf file

    pdfHesperange Fund SCSp, SICAV-RAIF(PDF, 89 KB)

    Fund name

    UBS (Lux) Real Estate Funds Selection

    Sub-fund name

    Global

    Date of dispatch

    14.06.2024

    Type of notification

    Partial deferral of redemption requests

    pdf file

    pdf(PDF, 117 KB)

    Fund name

     UBS (Lux) Investment SICAV

    Sub-fund name

    All

    Date of dispatch

    09.07.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 174 KB)

    Fund name

    UBS (Lux) Equity SICAV

    Sub-fund name

    O’Connor China Long/Short Alpha Strategies UCITS (USD)

    Date of dispatch

    08.07.2024

    Type of notification

    Liquidation

    pdf file

    pdfof O’Connor China Long/Short Alpha Strategies UCITS (USD)(PDF, 181 KB)

    Fund name

    Investment Access II

    Sub-fund name

    All

    Date of dispatch

    05.07.2024

    Type of notification

    2nd Annual General Meeting

    pdf file

    pdf(PDF, 95 KB)

    Fund name

    PE (Lux) Evergreen Secondary Fund

    Sub-fund name

    All

    Date of dispatch

    04.07.2024

    Type of notification

    2nd Annual General Meeting

    pdf file

    pdf(PDF, 91 KB)

    Fund name

    Hesperange Fund SCSp, SICAV-RAIF

    Sub-fund name

    All

    Date of dispatch

    20.06.2024

    Type of notification

    Annual General Meering

    pdf file

    pdf(PDF, 88 KB)

    Fund name

    UBS (Lux) Strategy Fund

    Sub-fund name

    Balanced Sustainable (EUR)

    Date of dispatch

    19.06.2024

    Type of notification

    Merger (receiving)

    pdf file

    pdfPDF of Balanced Sustainable

    Fund name

    UBS (Lux) Strategy Fund

    Sub-fund name

    Yield Sustainable (EUR)

    Date of dispatch

    19.06.2024

    Type of notification

    Merger (receiving)

    pdf file

    pdfPDF of Yield Sustainable(PDF, 716 KB)

    Fund name

    UBS (Lux) Bond SICAV

    Sub-fund name

    EUR Corporates Sustainable (EUR)

    Date of dispatch

    17.06.2024

    Type of notification

    Merger (receiving)

    pdf file

    pdf

    Fund name

    UBS (Lux) Bond SICAV

    Sub-fund name

    Global Inflation-linked (USD)

    Date of dispatch

    17.06.2024

    Type of notification

    Merger (receiving)

    pdf file

    pdf

    Fund name

    UBS (Lux) Bond SICAV

    Sub-fund name

    USD Investment Grade Corporates Sustainable (USD)

    Date of dispatch

    17.06.2024

    Type of notification

    Merger (receiving)

    pdf file

    pdf

    Fund name

    SF (Lux) SICAV 2

    Sub-fund name

    Life Investment Maturity Guaranteed 2024

    Date of dispatch

    14.06.2024

    Type of notification

    Liquidation / end of maturity

    pdf file

    pdf

    Fund name

    BCC Investment Partners SICAV

    Sub-fund name

    Invesco Cedola Emergente 2024

    Date of dispatch

    07.06.2024

    Type of notification

    Term extension

    pdf file

    pdf

    Fund name

    BCC Investment Partners SICAV

    Sub-fund name

    Schroder Cedola Paesi Emergenti 2024

    Date of dispatch

    07.06.2024

    Type of notification

    Term extension

    pdf file

    pdf(PDF, 242 KB)

    Fund name

    PE (Lux) Evergreen Secondary Fund

    Sub-fund name

    All

    Date of dispatch

    05.06.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf

    Fund name

    BOS International Fund

    Sub-fund name

    All

    Date of dispatch

    05/06/2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 72 KB)

    Fund name

    Investment Access II SICAV RAIF

    Sub-fund name

    All

    Date of dispatch

    03.06.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 70 KB)

    Fund name

    Manager Opportunities Access

    Sub-fund name

    All

    Date of dispatch

    31.05.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 89 KB)

    Fund name

    Kersio Lux

    Sub-fund name

    Kersio Equity

    Date of dispatch

    31.05.2024

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 90 KB)

    Fund name

    BOS International Fund

    Sub-fund name

    Asia Equities

    Date of dispatch

    30.05.2024

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 141 KB)

    Fund name

    BOS International Fund

    Sub-fund name

    High Yield Bond, EM Investment Grade Bond, DM Investment Grade Bond, US Equities, European Equities, Defensive, Balanced, Growth

    Date of dispatch

    30.05.2024

    Type of notification

    Prospectus update

    pdf file

    pdf

    Fund name

    BCC Investment Partners SICAV

    Sub-fund name

    All

    Date of dispatch

    29.05.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 88 KB)

    Fund name

    Kersio Lux

    Sub-fund name

    All

    Date of dispatch

    27.05.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 66 KB)

    Fund name

    SF (Lux) SICAV 2

    Sub-fund name

    Guaranteed Life Design 2019

    Date of dispatch

    23.05.2024

    Type of notification

    Liquidation / end of maturity

    pdf file

    pdf

    Fund name

    SF (Lux) SICAV 2

    Sub-fund name

    Guaranteed Life Design 2014

    Date of dispatch

    23.05.2024

    Type of notification

    Liquidation / end of maturity

    pdf file

    pdf(PDF, 58 KB)

    Fund name

    Alpinum SICAV-SIF

    Sub-fund name

    All

    Date of dispatch

    27.05.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 92 KB)

    Fund name

    BCB & Partners Fund

    Sub-fund name

    All

    Date of dispatch

    23.05.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf

    Fund name

    UBS (Lux) Equity SICAV

    Sub-fund name

    European Income Opportunity Sustainable (EUR)

    Date of dispatch

    22.05.2024

    Type of notification

    Merger (receiving)

    pdf file

    pdf(PDF, 455 KB)

    Fund name

    UBS (Lux) Real Estate Funds Selection

    Sub-fund name

    Global

    Date of dispatch

    16.05.2024

    Type of notification

    Partial deferral of redemption requests

    pdf file

    pdf(PDF, 114 KB)

    Fund name

    UBS (Lux) Key Selection SICAV

    Sub-fund name

    ALL

    Date of dispatch

    16.05.2024

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 311 KB)

    Fund name

    UBS GPEG III SLP SIF

    Sub-fund name

    All

    Date of dispatch

    15.05.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf

    Fund name

    UBS GPEG III Feeder SCA, SICAV-SIF

    Sub-fund name

    All

    Date of dispatch

    15.05.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf

    Fund name

    Valori SICAV

    Sub-fund name

    ALL

    Date of dispatch

    06.05.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf

    Fund name

    UBS (Lux) Bond SICAV

    Sub-fund name

    Fixed Maturity Series 1 (USD)

    Date of dispatch

    19.04.2024

    Type of notification

    Liquidation / end of maturity

    pdf file

    pdf(PDF, 147 KB)

    Fund name

    UBS (Lux) Real Estate Funds Selection

    Sub-fund name

    Global

    Date of dispatch

    17.04.2024

    Type of notification

    Partial deferral of redemption requests

    pdf file

    pdf(PDF, 114 KB)

    Fund name

    BPER International SICAV

    Sub-fund name

    ALL

    Date of dispatch

    10.04.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf

    Fund name

    UBS (Lux) Strategy SICAV

    Sub-fund name

    Multi Asset Emerging Markets Dynamic

    Date of dispatch

    09.04.2024

    Type of notification

    Liquidation

    pdf file

    pdf

    Fund name

    UBS (Lux) Strategy Fund

    Sub-fund name

    Balanced Sustainable (EUR)

    Date of dispatch

    08.04.2024

    Type of notification

    Merger

    pdf file

    pdf

    Fund name

    UBS (Lux) Strategy Fund

    Sub-fund name

    Balanced Sustainable (CHF)

    Date of dispatch

    08.04.2024

    Type of notification

    Merger

    pdf file

    pdf

    Fund name

    UBS (Lux) Strategy Fund

    Sub-fund name

    Balanced Sustainable (USD)

    Date of dispatch

    08.04.2024

    Type of notification

    Merger

    pdf file

    pdf

    Fund name

    UBS (Lux) Strategy Fund

    Sub-fund name

    Growth Sustainable (EUR)

    Date of dispatch

    08.04.2024

    Type of notification

    Merger

    pdf file

    pdf

    Fund name

    UBS (Lux) Strategy Fund

    Sub-fund name

    Growth Sustainable (CHF)

    Date of dispatch

    08.04.2024

    Type of notification

    Merger

    pdf file

    pdf

    Fund name

    UBS (Lux) Strategy Fund

    Sub-fund name

    Growth Sustainable (USD)

    Date of dispatch

    08.04.2024

    Type of notification

    Merger

    pdf file

    pdf

    Fund name

    UBS (Lux) Strategy Fund

    Sub-fund name

    Yield Sustainable (EUR)

    Date of dispatch

    08.04.2024

    Type of notification

    Merger

    pdf file

    pdf

    Fund name

    UBS (Lux) Strategy Fund

    Sub-fund name

    Yield Sustainable (CHF)

    Date of dispatch

    08.04.2024

    Type of notification

    Merger

    pdf file

    pdf

    Fund name

    UBS (Lux) Strategy Fund

    Sub-fund name

    Yield Sustainable (USD)

    Date of dispatch

    08.04.2024

    Type of notification

    Merger

    pdf file

    pdf

    Fund name

    Multi Manager Access II

    Sub-fund name

    All

    Date of dispatch

    28.03.2024

    Type of notification

    Prospectus Update

    pdf file

    pdf(PDF, 227 KB)

    Fund name

    Manager Opportunities Access

    Sub-fund name

    Risk Parity Strategies Fund

    Date of dispatch

    28.03.2024

    Type of notification

    Prospectus Update

    pdf file

    pdf(PDF, 172 KB)

    Fund name

    Global Opportunities Access

    Sub-fund name

    Key Multi-Manager Hedge Fund

    Date of dispatch

    28.03.2024

    Type of notification

    Prospectus Update

    pdf file

    pdf(PDF, 172 KB)

    Fund name

    UBS (Lux) Equity SICAV

    Sub-fund name

    O’Connor China Long/Short Alpha Strategies UCITS (USD)

    Date of dispatch

    25.03.2024

    Type of notification

    Prospectus Update

    pdf file

    pdf

    Fund name

    UBS (Lux) Strategy Xtra SICAV

    Sub-fund name

    All

    Date of dispatch

    22.03.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 140 KB)

    Fund name

    UBS (Lux) Money Market SICAV

    Sub-fund name

    All

    Date of dispatch

    22.03.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 188 KB)

    Fund name

    JYSKE SICAV

    Sub-fund name

    All

    Date of dispatch

    21.03.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf

    Fund name

    UBS (Lux) Equity Fund

    Sub-fund name

    All

    Date of dispatch

    20.03.2024

    Type of notification

    Prospectus update

    pdf file

    pdf

    Fund name

    OnCapital SICAV

    Sub-fund name

    All

    Date of dispatch

    20.03.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 66 KB)

    Fund name

    UBS (Lux) Real Estate Funds Selection

    Sub-fund name

    Global

    Date of dispatch

    14.03.2024

    Type of notification

    Partial deferral of redemption requests

    pdf file

    pdf(PDF, 112 KB)

    Fund name

    UBS (Lux) Equity SICAV

    Sub-fund name

    European Income Opportunity Sustainable (EUR)

    Date of dispatch

    11.03.2024

    Type of notification

    Merger

    pdf file

    pdf

    Fund name

    UBS (Irl) Investor Selection plc

    Sub-fund name

    All

    Date of dispatch

    05.03.2024

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 556 KB)

    Fund name

    OnCapital SICAV

    Sub-fund name

    All

    Date of dispatch

    29.02.2024

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 208 KB)

    Fund name

    UBS (Lux) Key Selection SICAV

    Sub-fund name

    All

    Date of dispatch

    20.02.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 165 KB)

    Fund name

    UBS (Lux) SICAV 1

    Sub-fund name

    All

    Date of dispatch

    20.02.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 166 KB)

    Fund name

    UBS (Lux) Institutional SICAV

    Sub-fund name

    All

    Date of dispatch

    20.02.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 93 KB)

    Fund name

    VALORI SICAV

    Sub-fund name

    Hearth Ethical Fund

    Date of dispatch

    15.02.2024

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 135 KB)

    Fund name

    UBS (Lux) Real Estate Funds Selection

    Sub-fund name

    Global

    Date of dispatch

    14.02.2024

    Type of notification

    Partial deferral of redemption requests

    pdf file

    pdf

    Fund name

    Investment Access I SICAV SIF

    Sub-fund name

    All

    Date of dispatch

    06.02.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 72 KB)

    Fund name

    Focused SICAV

    Sub-fund name

    All

    Date of dispatch

    26.01.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 150 KB)

    Fund name

    UBS (Lux) Key Selection SICAV

    Sub-fund name

    Multi Strategy Alternatives (EUR)

    Date of dispatch

    22.01.2024

    Type of notification

    Liquidation

    pdf file

    pdf

    Fund name

    Jyske SICAV

    Sub-fund name

    Jyske SICAV Danish Bonds

    Date of dispatch

    19.01.2024

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 107 KB)

    Fund name

    Jyske SICAV

    Sub-fund name

    Jyske SICAV High Yield Corporate Bonds

    Date of dispatch

    19.01.2024

    Type of notification

    Prospectus update

    pdf file

    pdf

    Fund name

    UBS (Lux) Real Estate Funds Selection

    Sub-fund name

    Global

    Date of dispatch

    17.01.2024

    Type of notification

    Partial deferral of redemption requests

    pdf file

    pdf(PDF, 113 KB)

    Fund name

    Investment Access I

    Sub-fund name

    All

    Date of dispatch

    08.01.2024

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 91 KB)

    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

    BCC Investment Partners SICAV

    Sub-fund name

    J.P. Morgan Multi Asset Obiettivo Cedola 2023

    Date of dispatch

    29.12.2023

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 248 KB)

    Fund name

    BCC Investment Partners SICAV

    Sub-fund name

    GAM Cedola Global 2023

    Date of dispatch

    29.12.2023

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 239 KB)

    Fund name

    Multi Manager Access II

    Sub-fund name

    All

    Date of dispatch

    27.12.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 83 KB)

    Fund name

    Multi Manager Access

    Sub-fund name

    All

    Date of dispatch

    27.12.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 98 KB)

    Fund name

    Global Opportunities Access

    Sub-fund name

    All

    Date of dispatch

    27.12.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 95 KB)

    Fund name

    BCC Investment Partners SICAV

    Sub-fund name

    J.P. Morgan Multi Asset Obiettivo Cedola 2023

    Date of dispatch

    21.12.2023

    Type of notification

    Term extension

    pdf file

    pdf(PDF, 141 KB)

    Fund name

    BCC Investment Partners SICAV

    Sub-fund name

    GAM Cedola Globale 2023

    Date of dispatch

    21.12.2023

    Type of notification

    Term extension

    pdf file

    pdf(PDF, 140 KB)

    Fund name

    UBS (Lux) Equity SICAV

    Sub-fund name

    Long Term Themes (USD)

    Date of dispatch

    20.12.2023

    Type of notification

    Merger

    pdf file

    pdf(PDF, 464 KB)

    Fund name

    Jyske SICAV

    Sub-fund name

    Investment Grade Corporate Bonds

    Date of dispatch

    18.12.2023

    Type of notification

    Liquidation

    pdf file

    pdf(PDF, 81 KB)

    Fund name

    Multi Manager Access II

    Sub-fund name

    European Multi Credit Sustainable, US Multi Credit Sustainable, Emerging Markets Debt, High Yield

    Date of dispatch

    13.12.2023

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 188 KB)

    Fund name

    UBS (Lux) Emerging Economies Fund

    Sub-fund name

    Global Short Term (USD)

    Date of dispatch

    30.11.2023

    Type of notification

    Liquidation

    pdf file

    pdf(PDF, 170 KB)

    Fund name

    BPER International SICAV

    Sub-fund name

    Global Balanced Risk Control, Global High Yield, Fixed Income Credit Strategies, Global Bond, Global Convertible Bond EUR

    Date of dispatch

    29.11.2023

    Type of notification

    Prospectus Update

    pdf file

    pdf(PDF, 113 KB)

    Fund name

    BCB & Partners Fund

    Sub-fund name

    BCB Newton Invicta Fund

    Date of dispatch

    27.11.2023

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 153 KB)

    Fund name

     Migros Bank (Lux) Fonds

    Sub-fund name

    All

    Date of dispatch

    20.11.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 67 KB)

    Fund name

    UBS (Lux) Fund Solutions

    Sub-fund name

    All

    Date of dispatch

    15.11.2023

    Type of notification

    Extraordinary general meeting

    pdf file

    pdf(PDF, 316 KB)

    Fund name

    Multi Manager Access

    Sub-fund name

    Green, Social and Sustainable Bonds

    Date of dispatch

    15.11.2023

    Type of notification

    Prospectus Update

    pdf file

    pdf(PDF, 169 KB)

    Fund name

    SF (Lux) SICAV 2

    Sub-fund name

    All

    Date of dispatch

    14.11.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 90 KB)

    Fund name

    UBS (Lux) Money Market Fund

    Sub-fund name

    All

    Date of dispatch

    14.11.2023

    Type of notification

    Prospectus Update

    pdf file

    pdf(PDF, 198 KB)

    Fund name

    UBS (Lux) Money Market SICAV

    Sub-fund name

    All

    Date of dispatch

    14.11.2023

    Type of notification

    Prospectus Update

    pdf file

    pdf(PDF, 208 KB)

    Fund name

    UBS (Lux) Bond SICAV

    Sub-fund name

    2023 (USD)

    Date of dispatch

    31.10.2023

    Type of notification

    End of Maturity

    pdf file

    pdf

    Fund name

    UBS (Lux) Equity SICAV

    Sub-fund name

    All

    Date of dispatch

    27.10.2023

    Type of notification

    Prospectus Update

    pdf file

    pdf

    Fund name

    UBS (Lux) Strategy SICAV

    Sub-fund name

    All

    Date of dispatch

    30.10.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 244 KB)

    Fund name

    UBS (Lux) Institutional SICAV

    Sub-fund name

    All

    Date of dispatch

    02.10.2023

    Type of notification

    Prospectus Update

    pdf file

    pdf(PDF, 156 KB)

    Fund name

    UBS (Lux) Equity SICAV

    Sub-fund name

    All

    Date of dispatch

    24.10.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 172 KB)

    Fund name

    UBS (Lux) Bond SICAV

    Sub-fund name

    All

    Date of dispatch

    24.10.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 170 KB)

    Fund name

    Steli (Lux) SICAV

    Sub-fund name

    All

    Date of dispatch

    04.10.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 63 KB)

    Fund name

    Private Equity (Lux) Evergreen Secondary Fund

    Sub-fund name

    All

    Date of dispatch

    02.10.2023

    Type of notification

     5th Annual General meeting

    pdf file

    pdf(PDF, 84 KB)

    Fund name

    UBS (Lux) Bond SICAV

    Sub-fund name

    All

    Date of dispatch

    18.09.2023

    Type of notification

    Prospectus Update

    pdf file

    pdf(PDF, 314 KB)

    Fund name

    UBS (Lux) Key Selection SICAV

    Sub-fund name

    All

    Date of dispatch

    05.09.2023

    Type of notification

    Prospectus Update

    pdf file

    pdf(PDF, 460 KB)

    Fund name

    PE (Lux) Evergreen Secondary Fund

    Sub-fund name

    All

    Date of dispatch

    04.09.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 65 KB)

    Fund name

    UBS (Lux) Real Estate Funds Selection

    Sub-fund name

    All

    Date of dispatch

    04.09.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 63 KB)

    Fund name

    UBS (Lux) Bond Fund

    Sub-fund name

    Euro High Yield (EUR)

    Date of dispatch

    31.08.2023

    Type of notification

    Prospectus Update

    pdf file

    pdf(PDF, 244 KB)

    Fund name

    Focused SICAV

    Sub-fund name

    All

    Date of dispatch

    29.08.2023

    Type of notification

    Prospectus Update

    pdf file

    pdf(PDF, 196 KB)

    Fund name

    UBS (Lux) SICAV 2

    Sub-fund name

    CHF Bond Sustainable (CHF)

    Date of dispatch

    10.08.2023

    Type of notification

    Merger

    pdf file

    pdf(PDF, 581 KB)

    Fund name

    UBS (Lux) SICAV 2

    Sub-fund name

    EUR Corporates Active Climate Aware (EUR)

    Date of dispatch

    10.08.2023

    Type of notification

    Merger

    pdf file

    pdf(PDF, 626 KB)

    Fund name

    UBS (Lux) SICAV 2

    Sub-fund name

    Low Duration EUR Bond Sustainable (EUR)

    Date of dispatch

    10.08.2023

    Type of notification

    Merger

    pdf file

    pdf(PDF, 682 KB)

    Fund name

    UBS (Lux) SICAV 2

    Sub-fund name

     Low Duration USD Bond Sustainable (USD)

    Date of dispatch

    10.08.2023

    Type of notification

    Merger

    pdf file

    pdf(PDF, 516 KB)

    Fund name

    UBS (Lux) SICAV 2

    Sub-fund name

    USD Corporates Active Climate Aware (USD)

    Date of dispatch

    10.08.2023

    Type of notification

    Merger

    pdf file

    pdf(PDF, 673 KB)

    Fund name

    Private Equity (Lux) Evergreen Secondary Fund

    Sub-fund name

    All

    Date of dispatch

    07.08.2023

    Type of notification

    3rd Annual General Meeting

    pdf file

    pdf(PDF, 84 KB)

    Fund name

    Fund Name: SF (LUX) SICAV 3

    Sub-fund name

    All

    Date of dispatch

    28.07.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 66 KB)

    Fund name

    UBS (Lux) Institutional Fund

    Sub-fund name

    Key Selection European Equity

    Date of dispatch

    30.06.2023

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 235 KB)

    Fund name

    Valori SICAV

    Sub-fund name

    All

    Date of dispatch

    21.06.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 105 KB)

    Fund name

    PE (Lux) Evergreen Secondary Fund

    Sub-fund name

    All

    Date of dispatch

    15.06.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 82 KB)

    Fund name

    UBS (Lux) Investment SICAV

    Sub-fund name

    All

    Date of dispatch

    14.06.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 167 KB)

    Fund name

    UBS (Lux) Equity SICAV

    Sub-fund name

    Future Energy Leaders (USD), Climate Action (USD)

    Date of dispatch

    08.06.2023

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 169 KB)

    Fund name

    Alpinum SICAV-SIF

    Sub-fund name

    All

    Date of dispatch

    02.06.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 82 KB)

    Fund name

    Manager Opportunities Access

    Sub-fund name

    All

    Date of dispatch

    31.05.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 71 KB)

    Fund name

    BCB & Partners Fund

    Sub-fund name

    All

    Date of dispatch

    19.05.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 74 KB)

    Fund name

    BOS International Fund

    Sub-fund name

    All

    Date of dispatch

    15.05.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 63 KB)

    Fund name

    Kersio Lux

    Sub-fund name

    All

    Date of dispatch

    10.05.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 63 KB)

    Fund name

    UBS (Lux) Bond SICAV

    Sub-fund name

    Asian High Yield (USD)

    Date of dispatch

    05.05.2023

    Type of notification

    Forced Redemption

    pdf file

    pdf(PDF, 127 KB)

    Fund name

    UBS (Lux) Equity SICAV

    Sub-fund name

    Global Opportunity Unconstrained (USD)

    Date of dispatch

    05.05.2023

    Type of notification

    Forced Redemption

    pdf file

    pdf(PDF, 138 KB)

    Fund name

    UBS (Lux) Strategy Fund

    Sub-fund name

    Yield Sustainable (USD)

    Date of dispatch

    05.05.2023

    Type of notification

    Forced Redemption

    pdf file

    pdf(PDF, 122 KB)

    Fund name

    BPER International SICAV

    Sub-fund name

    All

    Date of dispatch

    14.04.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 68 KB)

    Fund name

     Jyske SICAV

    Sub-fund name

    HIGH YIELD CORPORATE BONDS

    Date of dispatch

    13.04.2023

    Type of notification

    Management Fee Change

    pdf file

    pdf(PDF, 101 KB)

    Fund name

    Jyske SICAV

    Sub-fund name

    All

    Date of dispatch

    28.03.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 84 KB)

    Fund name

    BCC Investment Partners SICAV

    Sub-fund name

    Pictet Emerging Corporate Opportunities Cedola 2022

    Date of dispatch

    23.05.2023

    Type of notification

    Merger

    pdf file

    pdf(PDF, 355 KB)

    Fund name

    BCC Investment Partners SICAV

    Sub-fund name

    Franklin Templeton Cedola Globale 2022

    Date of dispatch

    23.05.2023

    Type of notification

    Merger

    pdf file

    pdf(PDF, 326 KB)

    Fund name

    Jyske SICAV

    Sub-fund name

    INVESTMENT GRADE CORPORATE BONDS (SRI)

    Date of dispatch

    23.03.2023

    Type of notification

    Prospectus Update

    pdf file

    pdf(PDF, 101 KB)

    Fund name

    Jyske SICAV

    Sub-fund name

    DANISH BONDS

    Date of dispatch

    23.03.2023

    Type of notification

    Prospectus Update

    pdf file

    pdf(PDF, 97 KB)

    Fund name

    Jyske SICAV

    Sub-fund name

    HIGH YIELD CORPORATE BONDS (SRI)

    Date of dispatch

    23.03.2023

    Type of notification

    Prospectus Update

    pdf file

    pdf(PDF, 103 KB)

    Fund name

    UBS (Lux) Money Market SICAV

    Sub-fund name

    All

    Date of dispatch

    20.03.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 167 KB)

    Fund name

    UBS (Lux) SICAV 2

    Sub-fund name

    All

    Date of dispatch

    20.03.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 168 KB)

    Fund name

    UBS (Lux) Strategy Xtra SICAV

    Sub-fund name

    All

    Date of dispatch

    20.03.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 129 KB)

    Fund name

    UBS (Lux) Institutional Fund

    Sub-fund name

    Euro Corporate Bonds Sustainable

    Date of dispatch

    14.03.2023

    Type of notification

    Merger

    pdf file

    pdf(PDF, 455 KB)

    Fund name

    OnCapital SICAV

    Sub-fund name

    ALL

    Date of dispatch

    08.03.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 61 KB)

    Fund name

    BCC Investment Partners SICAV

    Sub-fund name

    RFN DINAMICO SOSTENIBILE PAC

    Date of dispatch

    08.03.2023

    Type of notification

    Name change

    pdf file

    pdf(PDF, 32 KB)

    Fund name

    BCC Investment Partners SICAV

    Sub-fund name

    RFN SMART SOSTENIBILE

    Date of dispatch

    08.03.2023

    Type of notification

    Name change

    pdf file

    pdf(PDF, 32 KB)

    Fund name

    UBS (Lux) Institutional SICAV

    Sub-fund name

    All

    Date of dispatch

    20.02.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 83 KB)

    Fund name

    UBS (Lux) SICAV 1

    Sub-fund name

    All

    Date of dispatch

    20.02.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 163 KB)

    Fund name

    UBS (Lux) Key Selection SICAV

    Sub-fund name

    All

    Date of dispatch

    20.02.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 164 KB)

    Fund name

    UBS (Irl) Fund PLC

    Sub-fund name

    All

    Date of dispatch

    13.02.2023

    Type of notification

    Change of Management Company

    pdf file

    pdf(PDF, 203 KB)

    Fund name

    UBS (Lux) Institutional Fund

    Sub-fund name

    Euro Corporate Bonds Sustainable I-A1-acc

    Date of dispatch

    10.02.2023

    Type of notification

    Forced Redemption

    pdf file

    pdf(PDF, 120 KB)

    Fund name

    BOS INTERNATIONAL FUND

    Sub-fund name

    All

    Date of dispatch

    07.02.2023

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 152 KB)

    Fund name

    UBS (Lux) Investment SICAV

    Sub-fund name

    All

    Date of dispatch

    20.01.2023

    Type of notification

    Prospectus Update

    pdf file

    pdf(PDF, 427 KB)

    Fund name

    Focused SICAV

    Sub-fund name

    All

    Date of dispatch

    12.01.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 149 KB)

    Fund name

    UBS (Lux) Equity Fund

    Sub-fund name

    All

    Date of dispatch

    11.01.2023

    Type of notification

    Prospectus update

    pdf file

    pdf(PDF, 258 KB)

    Fund name

    Global Opportunities Access

    Sub-fund name

    UK Equities GBP

    Date of dispatch

    10.01.2023

    Type of notification

    Liquidation

    pdf file

    pdf(PDF, 88 KB)

    Fund name

    Private Equity (Lux) Evergreen Secondary Fund

    Sub-fund name

    All

    Date of dispatch

    13.07.2023

    Type of notification

    Annual General Meeting

    pdf file

    pdf(PDF, 84 KB)

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    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 should be aware of the additional risks associated with funds with investments in financial derivatives and/or emerging markets. Investors please refer to the relevant offering document and annual report for further details including the risk factors before investing.

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