Funds and prices
Overview
The actively managed fund invests globally in a diversified range of equities, mainly high-quality bonds and money market instruments, combined with exposure to Asian markets.
The fund generally strikes an even balance between equity and fixed income investments.
Foreign currencies are largely hedged against the reference currency. Nevertheless, an active currency strategy is applied if opportunities are seen.
The fund is based on ÃÛ¶¹ÊÓƵ's investment policy, the ÃÛ¶¹ÊÓƵ House View.
Owing to the varying mixed asset allocation, this fund could be treated in specific phases as a bond fund for tax purposes in the UK. Investors should therefore contact a tax advisor.
The fund invests without any benchmark restrictions. The performance of the fund is not benchmarked against an index.
This share class distributes a constant percentage share of the NAV, not a constant amount.
This share class is designed for investors who want to profit from performance opportunities on the financial markets and at the same time wish more stable distributions at a specific percentage level to cover recurring liquidity needs.
As the distributions are substantial, this share class is not designed for investors who want to build wealth. The latter may prefer the accumulating share class.
This share class must not be seen as an alternative to a savings account or fixed-interest paying investments.
The percentage distribution rate of this share class is unrelated to the interest or other income generated in the fund. The distribution is a percentage payment of the current amount of investment.
It is possible that the distributions result in an erosion of assets and a reduction of invested capital.
This share class may distribute capital as well as income. There are potential negative tax consequences for some investors in some jurisdictions. See risk section below.
Benefits
The fund offers the investor straightforward and convenient access to ÃÛ¶¹ÊÓƵ House View, which draws on the professional insights of ÃÛ¶¹ÊÓƵ investment specialists worldwide.
Investors benefit globally from diversified market opportunities in the area of bonds and equities, combined with exposure to Asian markets. In addition to high-quality bonds, investments can also be made in other bond segments.
The weightings of the various asset classes are maintained within a specific range to take account of the fund's risk profile.
Risks
Features
Product category |
ÃÛ¶¹ÊÓƵ Asset Allocation Funds
ÃÛ¶¹ÊÓƵ Strategy Funds |
Product domicile |
Luxembourg
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Portfolio management |
ÃÛ¶¹ÊÓƵ Asset Management Switzerland AG, Zurich
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Fund management |
ÃÛ¶¹ÊÓƵ Fund Management (Luxembourg) S.A., Luxembourg
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Custodian bank |
ÃÛ¶¹ÊÓƵ Europe SE, Luxembourg Branch
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Representative for products established under foreign law |
ÃÛ¶¹ÊÓƵ Fund Management (Switzerland) AG
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Day of inception |
September 12, 2014
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Currency of account |
USD
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Close of financial year |
September 30
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Issue / redemption |
daily
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Maturity |
Open end
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Management fee |
1.50% p.a.
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Total expense ratio (TER) |
1.98% p.a.
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Swing pricing |
yes
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Minimum investment |
n.a.
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Securities no. |
25288594
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ISIN |
LU1107510874
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Bloomberg Ticker |
UBALXBP LX
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Performance and Prices
Percentage growth
as of April 3, 2024USD(%) | |
YTD | 1.76 |
1M | |
3M | |
6M | |
1Y | |
2Y | 6.06 |
3Y | |
5Y | 7.96 |
ø p.a.5Y | 1.54 |
Current data
Net asset value | 03.04.2024 | USD 86.06 |
High - last 12 months | 21.03.2024 | USD 86.40 |
Low - last 12 months | 26.10.2023 | USD 78.81 |
Last distribution | 14.03.2024 | USD 0.28 |
Assets of the unit class in mn | 03.04.2024 | USD 43.03 |
Total product assets in mn | 03.04.2024 | USD 159.80 |
Theoretical yield to maturity (gross) | 29.02.2024 | 5.78% |
Modified duration | 29.02.2024 | 2.22 |
Structures
By the 10 largest equity positions (in %, as of February 29, 2024)
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TAIWAN SEMICON MAN TWD10 | 1.84 |
SAMSUNG ELECTRONIC KRW100 | 1.40 |
TENCENT HLDGS LIMI HKD0.00002 | 1.11 |
PINDUODUO INC-4 SHS-A-ADR | 1.06 |
MICROSOFT CORP COM USD0.0000125 | 0.90 |
RELIANCE INDS INR10(100%DEMAT) | 0.88 |
KWEICHOW MOUTAI 'A'CNY1 | 0.68 |
SK HYNIX INC KRW5000 | 0.68 |
AMAZON COM INC COM USD0.01 | 0.61 |
AIA GROUP LTD NPV | 0.57 |
By investment instrument and currency (in %, as of February 29, 2024)
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Money market
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Cash + Bonds
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Equities
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Total
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Total1)
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1 | AUD | 0.00 | 0.00 | -0.25 | -0.25 | 2.04 |
2 | CAD | 0.00 | 0.00 | 1.68 | 1.68 | 0.04 |
3 | CHF | 0.00 | 0.01 | 1.98 | 1.99 | -2.00 |
4 | CNY | 0.00 | 0.00 | 8.47 | 8.47 | 8.43 |
5 | DKK | 0.00 | 0.00 | 0.26 | 0.26 | 0.01 |
6 | EUR | 0.00 | 0.10 | 3.91 | 4.01 | -0.84 |
7 | GBP | 0.00 | 0.01 | 0.45 | 0.46 | 0.17 |
8 | HKD | 0.00 | 0.00 | 1.52 | 1.52 | 1.51 |
9 | INR | 0.00 | 0.00 | 6.87 | 6.87 | 6.93 |
10 | JPY | 0.00 | 0.00 | 2.43 | 2.43 | 2.11 |
11 | KRW | 0.00 | 0.00 | 4.21 | 4.21 | 4.25 |
12 | MYR | 0.00 | 0.00 | -0.48 | -0.48 | -0.48 |
13 | SEK | 0.00 | 0.00 | -0.18 | -0.18 | -0.10 |
14 | SGD | 0.00 | 0.00 | -0.34 | -0.34 | -0.22 |
15 | TWD | 0.00 | 0.00 | 5.66 | 5.66 | 5.63 |
16 | USD | 0.00 | 49.80 | 10.17 | 59.96 | 67.80 |
17 | Other | 0.00 | 0.06 | 3.66 | 3.72 | 4.71 |
18 | Total | 0.00 | 49.98 | 50.02 | 100.00 | 100.00 |
Fees
Distributions
Date of distribution
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Pay date
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Cps no.
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Currency
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Distribution
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11.04.2023 | 14.04.2023 | 103 | USD | 0.28 | 10.05.2023 | 15.05.2023 | 104 | USD | 0.28 | 12.06.2023 | 15.06.2023 | 105 | USD | 0.27 | 10.07.2023 | 13.07.2023 | 106 | USD | 0.28 | 10.08.2023 | 15.08.2023 | 107 | USD | 0.29 | 11.09.2023 | 14.09.2023 | 108 | USD | 0.28 | 10.10.2023 | 13.10.2023 | 109 | USD | 0.27 | 10.11.2023 | 15.11.2023 | 110 | USD | 0.26 | 11.12.2023 | 14.12.2023 | 111 | USD | 0.28 | 10.01.2024 | 16.01.2024 | 112 | USD | 0.28 | 12.02.2024 | 15.02.2024 | 113 | USD | 0.28 | 11.03.2024 | 14.03.2024 | 114 | USD | 0.28 |
Authorisations
Literature
Document type
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Document Language
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Prospectus |
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Key Information Document |
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Past performance |
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Previous performance scenario |
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Statutes / Management regulations |
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Document type
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Document Language
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Annual report |
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Semi-annual report |
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Document type
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Document Language
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ÃÛ¶¹ÊÓƵ Funds - Your funds at a glance |
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Tax list |
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