UBS (Lux) Bond SICAV - 2024 (USD) P-acc header image

UBS (Lux) Bond SICAV - 2024 (USD) P-acc

Fund

ISIN LU2032050150 / Valor 49037926

NAV (2024-10-14)
USD 97.48+0.04%

UBS (Lux) Bond SICAV - 2024 (USD) P-acc
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This actively managed bond fund targets an attractive yield over the term of the fund, which ends on 15 October 2024. The investment fund invests mainly in USD-denominated bonds of private, semi-private and public issuers in emerging markets. Apart from money market instruments, the maturities of the securities do not extend beyond the maturity of the fund. This Fund might not be suitable for investors who want to withdraw their money before 2024. The fund invests worldwide, mainly in USD-denominated bonds of private, semi-private and public issuers in emerging markets, without reference to a benchmark. In principle, investors may ask the Management Company to redeem their units on any business day in Luxembourg. Income of this share class is reinvested. The portfolio manager gears the investments in the individual subfunds around the attractiveness of specific bond markets at the time of launch. The portfolio manager compiles the portfolio upon launch and pursues a buy and hold strategy. The portfolio manager can diverge from this either to make reinvestments or, at times of high market volatility, to avoid defaults. The sub-fund may enter into securities lending transactions.

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Tags:
emerging markets usd bonds

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