Overview
The actively managed fund invests mainly in RMB-denominated fixed-income instruments that are primarily issued by, but not limited to, the central government or local governments, government-related entities, banks and other financial institutions or corporate entities.
Investments are conducted in the onshore China Interbank Bond Market (CIBM), and may include both direct securities (physical bonds) and derivatives related to fixed income securities where allowed.
The portfolio manager is not tied to the benchmark in terms of investment selection or weight.
The exchange rate risk between CNY and EUR is not hedged.
Benefits
This diversified bond portfolio can be used to participate in the opportunities in the China fixed income market , as well as exposure to Chinese Yuan.
The fund is managed across duration, yield curve, sector and security selection in accordance with market conditions. This allows the portfolio to be dynamically adjusted throughout market cycles.
Risks
Features
| Product category |
UBS Bond Funds UBS Classic Bond Funds |
| Product domicile |
Luxembourg
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| Portfolio management |
UBS SA国际传谋 (Hong Kong) Ltd., Hong Kong
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| Fund management |
UBS SA国际传谋 (Europe) S.A., Luxembourg
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| Custodian bank |
UBS Europe SE, Luxembourg Branch
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| Representative for products established under foreign law |
UBS Fund Management (Switzerland) AG
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| Day of inception |
March 14, 2018
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| Currency of account |
EUR
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| Close of financial year |
May 31
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| SFDR Classification |
Art.6
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| Issue / redemption |
daily
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| Distribution |
Reinvestment
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| Maturity |
Open end
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| Ongoing costs p.a. |
0.66% p.a.
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| Management fee |
0.48% p.a.
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| Total expense ratio (TER) |
0.73% p.a.
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| Swing pricing |
yes
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| Minimum investment |
n.a.
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| Reference Index / Benchmark |
Bloomberg China Aggregate Index in EUR
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| Securities no. |
38831194
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| ISIN |
LU1717043910
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| Bloomberg Ticker |
UBCFEQA LX
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Performance and Prices
Percentage growth
as of April 23, 2026| EUR(%) | CHF(%) | USD(%) | |
| YTD | 3.57 | 2.16 | 3.28 |
| 1M | |||
| 3M | |||
| 6M | |||
| 1Y | |||
| 2Y | -6.98 | -7.77 | 5.50 |
| 3Y | |||
| 5Y | 16.79 | -2.99 | 13.50 |
| ø p.a.5Y | 3.15 | -0.61 | 2.57 |
Current data
| Net asset value | 24.04.2026 | EUR 134.30 |
| High - last 12 months | 16.03.2026 | EUR 135.01 |
| Low - last 12 months | 17.09.2025 | EUR 126.17 |
| Assets of the unit class in mn | 24.04.2026 | EUR 12.45 |
| Total product assets in mn | 24.04.2026 | EUR 401.33 |
| Theoretical yield to maturity (net) | 31.03.2026 | 1.26% |
| Option Adjusted Duration | 31.03.2026 | 5.20 |
Structures
Fees
Distributions
Sales Authorisations
Literature
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| Prospectus |
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| Key Information Document |
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| Past performance |
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| Statutes / Management regulations |
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| Annual report |
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| Semi-annual report |
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| Tax list |
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