UBS Asset Management in the United States

The website contains general information about UBS Asset Management (Americas), Inc., UBS Hedge Fund Solutions LLC, and UBS O'Connor LLC, collectively known as "UBS Asset Management". The information contained on this website does not constitute investment advice or a recommendation to purchase or sell any securities or other financial instrument or any particular strategy or fund. Market commentary, product information and related performance data available on this website has been compiled from sources believed to be reliable and is provided in good faith for informational purposes only. UBS Asset Management does not guarantee the accuracy, suitability or completeness of information contained on this website, and all such information, including but not limited to performance data and related metrics, is subject to change without notice. Certain content on this website is intended for institutional investors and their financial representatives only, and should not be relied upon by retail investors or members of the general public.

Market commentary and similar statements contained herein are based on current expectations and may be considered “forward-looking statements.” Actual future results, however, may prove to be different from expectations. The opinions expressed are a reflection of UBS Asset Management’s best judgment at the time of posting, and any obligation to update or alter any forward-looking statement as a result of new information, future events, or otherwise is disclaimed.

Investments involve risks, are not guaranteed and may not return the original principal amount invested. Past performance is no guarantee of future results. Investors should read all available product information carefully before making an investment decision, including information about applicable risks, fees and expenses. This website does not address the investment objectives, risk tolerance or financial needs of any particular investor. In addition, any statements regarding investment performance expectations, risk and/or return targets do not constitute a representation or warranty that such expectations or targets will be achieved.

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Insights Bringing you timely market insights and research from our team of investment experts

Strategies in Focus

Featured insight

Panorama Mid-Year 2018

2018 has brought a fresh set of challenges for investors to navigate across both traditional and alternative asset classes. Our senior investment experts explore some of the challenges and opportunities they see in the months ahead.

Webinar series

October 18, 2018

The infrastructure equity cycle: Where are we now?

Stepping into the future

Stepping into the future

With its comprehensive coverage, Stepping into the future offers an essential perspective to both understand China and prepare you for the many opportunities it will create.

Special opportunities

Special opportunities

The appeal of co-investments is clear: they provide access to hedge fund managers' highest conviction ideas in the market today. As sourcing these ideas remains a challenge for investors to do on their own, more and more they are turning to experienced allocators who can efficiently source, vet, and package a broad range of ideas on their behalf.

Chinese bonds: all you need to know

Chinese bonds: all you need to know

Despite slower domestic growth, we believe China will overwhelmingly drive the world economy in the coming years, driven by a new economic model underpinned by high-tech manufacturing and consumption. As we move into 2018 we seek to answer some of investors' most common questions around China's bond market and its liberalization.

Opportunities emerge as China slows

Opportunities emerge as China slows

China’s policies are addressing high debt levels and improving long-term growth prospects. As a result, despite the slowing economy, China’s fixed income markets offer highly attractive opportunities, while recent reforms mean investors can fully allocate to China’s bond markets.

Sustainability Imperative

The sustainability imperative: Strategies to address critical challenges in a changing world

In this case study, we offer a look inside our innovative impact measurement framework – one which puts solid numbers on an investment portfolio's environmental and social impact.

Emerging markets debt - The song remains the same

Emerging markets debt – The song remains the same

As it was the case in the first half of the year, emerging markets delivered strong returns during the third quarter of 2017, reflecting the effects of low inflation and global economic recovery.

Up in the air on carbon

Up in the air on carbon: How investors can leverage carbon data

Much of the investment industry has begun incorporating carbon emissions data into investment decisions, but the way forward is complex and requires analysis that goes beyond standard carbon emissions data.

Fighting with both hands

Fighting with both hands - What a stronger Xi Jinping means for China's outlook

China's NPC meeting has major implications for investors. Xi Jinping's stronger power base following the National Party Congress (NPC) means he will fight with both hands on an agenda that will prolong China's mini-cyclical slowdown but create attractive opportunities.

Measuring the social and environmental impact of public companies

Measuring the social and environmental impact of public companies

Investors want to know how they can contribute to a sustainable world. UBS Asset Management's research on impact measurement is at the forefront of modern day sustainable investing.

Investment Insights

Investment Insights

Each quarter Investment Insights brings you an exploration of the themes and trends which lie at the heart of your investment challenges

asset allocation quarterly

Asset Allocation Quarterly

In our premiere issue we identify the five macroeconomic themes that we believe are likely to be the major drivers of investor returns in the coming months, and our preferred trades for accessing each theme across equity, rates and foreign exchange markets globally.

Monthly macro

Macro Monthly

Evan Brown, Head of Asset Allocation Investment Solutions, examines key macro trends that are moving global markets.