Singapore Retail Investors

UBS (Lux) Bond SICAV - Floating Rate Income (USD) P-mdist
Last update
08.04.2021
ISIN: LU1679116506
Performance chart (in fund currency)
Fund |
USD |
Performance in % |
|
Index |
Performance in % |
||
Tracking difference |
Tracking difference |
|
These figures refer to the past. Past performance is not a reliable indicator of future results. Fund performance is net of fees. The performance shown does not take account of any commissions and costs charged when subscribing to and redeeming units.
-
Cumulative Return (as of last month end)
2021 YTD1) |
1 year |
3 years |
5 years |
10 years |
LTD |
|
---|---|---|---|---|---|---|
Fund (USD) (Gross of Sales Charge) |
0.77 |
1.19 |
5.95 |
n.a. |
n.a. |
6.62 |
Fund (USD) (Net of Sales Charge) |
--ERR-- |
--ERR-- |
--ERR-- |
n.a. |
n.a. |
--ERR-- |
1) YTD: year-to-date (since beginning of the year)
Annualized Return (as of last month end)
2021 YTD1) |
1 year |
Ø p.a. 3 years |
Ø p.a. 5 years |
|
---|---|---|---|---|
Fund (USD) (Gross of Sales Charge) |
0.77 |
1.19 |
1.94 |
n.a. |
Fund (USD) (Net of Sales Charge) |
--ERR-- |
--ERR-- |
--ERR-- |
n.a. |
1) YTD: year-to-date (since beginning of the year)
Net asset values in currency of account
Net asset values in currency of account
Volatility (as of last month end)
3 years |
5 years |
|
---|---|---|
Volatility1) |
||
– Fund |
10.96% |
n.a. |
Sharpe ratio |
0.07 |
n.a. |
Risk free rate |
1.56% |
n.a. |
1) Annualised standard deviation
The official NAV reflects the price in which investors can buy or sell units in the Fund. Please note that the adjusted NAV is not to be relied on for buying or selling of units in the Fund.