UBS Floating Rate Income Fund

Investment objective

The Fund invests globally across sectors, mainly in floating rate, high yield corporate and securitized bonds denominated in various currencies.

The portfolio management team combines different bond instruments in line with their investment views with the aim to reduce interest rate risk, enhance income potential, diversify credit risk and manage liquidity.

At fund level, any non-USD currency exposure is hedged back to USD.

The exchange rate risk between USD and GBP is largely hedged.

Investment team

Matthew Iannucci

Portfolio manager
Biography (PDF, 61 KB)

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UBS Asset Management in Nordics

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