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Search results (found: 91)
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ISIN no.
NAV*
+/- %
LU0035338325
18-01-2017
AUD
486.38
0.05%
LU0010001369
18-01-2017
CHF
2,620.15
-0.09%
LU0108066076
18-01-2017
EUR
166.66
-0.41%
LU0033050237
18-01-2017
EUR
394.77
-0.20%
LU0086177085
18-01-2017
EUR
194.89
0.02%
LU0035346187
18-01-2017
GBP
237.87
-0.12%
LU1467572357
18-01-2017
CAD
97.20
-0.20%
LU0071006638
18-01-2017
CHF
787.65
-0.21%
LU0035346773
18-01-2017
USD
304.01
-0.23%
LU0573606232
18-01-2017
EUR
93.66
0.15%
LU0573605267
18-01-2017
USD
96.02
0.16%
LU0307095868
18-01-2017
USD
151.68
-0.11%
LU0629154393
18-01-2017
USD
130.66
0.15%
LU0203937692
18-01-2017
EUR
13.99
0.14%
LU0315165794
18-01-2017
EUR
139.25
0.15%
LU0706127809
18-01-2017
EUR
106.19
0.06%
LU0659916679
18-01-2017
USD
83.22
0.05%
LU0162626096
18-01-2017
EUR
15.05
0.27%
LU0396354291
18-01-2017
EUR
115.62
-0.04%
LU0214905043
18-01-2017
EUR
196.65
0.07%
LU0891672056
18-01-2017
EUR
100.04
0.15%
LU0455553486
18-01-2017
CHF
111.38
-0.15%
LU0455556406
18-01-2017
EUR
115.93
-0.16%
LU0455550201
18-01-2017
USD
118.45
-0.15%
LU0577855942
18-01-2017
EUR
114.31
0.01%
LU0577855355
18-01-2017
USD
116.20
0.02%
LU0151774626
18-01-2017
EUR
124.40
0.02%
LU0151774972
18-01-2017
USD
135.63
-0.07%
LU0172069584
18-01-2017
USD
17.31
-0.40%
LU0070848972
18-01-2017
USD
268.83
-0.01%
LU0106959298
18-01-2017
USD
99.93
0.33%
LU0044681806
18-01-2017
AUD
942.17
-0.27%
LU0069152568
18-01-2017
USD
496.50
0.73%
LU0043389872
18-01-2017
CAD
912.42
-0.46%
LU0067412154
18-01-2017
USD
889.43
0.75%
LU0085870433
18-01-2017
EUR
88.43
-0.19%
LU0006391097
18-01-2017
EUR
724.28
0.16%
LU0804734787
18-01-2017
EUR
147.11
0.95%
LU0081259029
18-01-2017
USD
252.53
0.96%
LU0076532638
18-01-2017
USD
768.01
0.14%
LU0130799603
18-01-2017
EUR
75.82
0.64%
LU0072913022
18-01-2017
USD
278.92
0.58%
LU0085953304
18-01-2017
USD
227.49
-0.21%
LU0098994485
18-01-2017
JPY
7,943.00
0.27%
LU0049842692
18-01-2017
EUR
919.32
-0.02%
LU0781589212
18-01-2017
EUR
129.64
0.61%
LU0049842262
18-01-2017
USD
1,440.63
0.61%
LU0067411776
18-01-2017
USD
1,076.20
-0.23%
LU0038842364
18-01-2017
USD
684.62
0.12%
LU0098995292
18-01-2017
USD
159.27
0.33%
LU0286682959
18-01-2017
USD
61.31
-0.45%
LU1081987536
17-01-2017
EUR
76.95
0.59%
LU0625543631
17-01-2017
USD
81.44
0.61%
LU0398999499
17-01-2017
EUR
109.93
-0.36%
LU0346595837
17-01-2017
USD
76.22
0.47%
LU1121265208
18-01-2017
EUR
100.97
0.24%
LU0723564463
18-01-2017
EUR
172.16
0.26%
LU0611173930
18-01-2017
EUR
151.48
0.06%
LU0611173427
18-01-2017
USD
155.05
0.07%
LU0246274897
18-01-2017
USD
100.94
0.14%
LU0198839143
18-01-2017
EUR
318.55
0.26%
LU0236040357
18-01-2017
EUR
213.06
0.60%
LU0070848113
18-01-2017
USD
284.28
0.61%
LU0868495002
18-01-2017
EUR
151.20
0.37%
LU0868494617
18-01-2017
USD
153.38
0.37%
LU0246276595
18-01-2017
USD
191.84
0.18%
LU0511785726
18-01-2017
EUR
202.41
0.52%
LU0198837287
18-01-2017
USD
26.75
0.53%
LU0235996351
18-01-2017
USD
152.56
0.46%
LU0218832805
18-01-2017
USD
117.30
0.35%
LU0153925689
18-01-2017
EUR
17.94
-0.06%
LU0197216558
17-01-2017
EUR
12.90
-0.23%
LU0197216392
17-01-2017
USD
13.73
0.00%
LU0263318890
17-01-2017
EUR
11.40
-0.52%
LU0161942635
18-01-2017
EUR
20.73
0.53%
LU0161942395
18-01-2017
USD
20.15
0.55%
LU0049785289
17-01-2017
CHF
1,915.35
-0.32%
LU0049785446
17-01-2017
EUR
2,518.72
-0.32%
LU0049785792
17-01-2017
USD
2,896.16
-0.38%
LU0071007289
17-01-2017
CHF
674.05
-0.65%
LU0073129206
17-01-2017
EUR
424.39
-0.76%
LU0073129545
17-01-2017
USD
978.67
-0.77%
LU0039343222
18-01-2017
CHF
1,764.34
-0.11%
LU0039703029
18-01-2017
EUR
2,559.57
-0.12%
LU0039703532
18-01-2017
USD
2,468.21
-0.05%
LU0033034892
17-01-2017
CHF
2,227.10
-0.47%
LU0033036590
17-01-2017
EUR
3,145.56
-0.47%
LU0033040865
17-01-2017
USD
3,372.02
-0.52%
LU0033035865
17-01-2017
CHF
2,084.84
-0.18%
LU0033040782
17-01-2017
EUR
3,237.44
-0.16%
LU0033043885
17-01-2017
USD
3,113.17
0.09%
* Net Asset Value
For marketing and information purposes by UBS. Prospectuses, simplified prospectuses or key investor information, the articles of association or the management regulations as well as annual and semi-annual reports of UBS funds are available free of charge from UBS Fund Services (Luxembourg) S.A., P.O. Box 91, L-2010 Luxembourg or from UBS Europe SE, Luxembourg Branch, P.O. Box 2, L-2010 Luxembourg. For more information on the distribution of UBS funds, in particular the applicable tax regime, please consult the Supplementary Information Memorandum for Portugal, available free of charge from the placing agent. Before investing in a product please read the latest prospectus carefully and thoroughly. Units of UBS funds mentioned herein may not be eligible for sale in all jurisdictions or to certain categories of investors and may not be offered, sold or delivered in the United States. The information mentioned herein is not intended to be construed as a solicitation or an offer to buy or sell any securities or related financial instruments. Past performance is not a reliable indicator of future results. The performance shown does not take account of any commissions and costs charged when subscribing to and redeeming units. Commissions and costs have a negative impact on performance. If the currency of a financial product or financial service is different from your reference currency, the return can increase or decrease as a result of currency fluctuations. This information pays no regard to the specific or future investment objectives, financial or tax situation or particular needs of any specific recipient. The details and opinions contained in this document are provided by UBS without any guarantee or warranty and are for the recipient's personal use and information purposes only. This document may not be reproduced, redistributed or republished for any purpose without the written permission of UBS AG. Source for all data and charts (if not indicated otherwise): UBS Asset Management
Source for all data and charts (if not indicated otherwise): UBS Asset Management
No responsibility is taken for the correctness of the information provided above.

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