Overview
The actively managed sub-fund mainly invests in fixed-income securities with a non-investment grade rating, issued by companies that are domiciled or generate most of their sales and/or profit in the Greater China region (People’s Republic of China, Hong Kong and Macau).
The debt instruments in which the sub-fund invests are denominated in USD, RMB (traded in and outside mainland China) and also in other currencies.
The sub-fund is actively managed, without reference to a benchmark.
Benefits
The sub-fund offers greater return potential with higher yields compared to global developed market high yield bonds, combined with less interest rate risk due to shorter duration.
The sub-fund is managed across sector and security selection in accordance with market conditions.
Investors can particularly benefit from UBS's experts “on the ground” in China with insights to markets where transparency and access to information may be limited.
Risks
Features
| Asset class |
UBS Bond Funds UBS High Yield Funds |
| Product domicile |
Luxembourg
|
| Portfolio management |
UBS SA国际传谋 (Hong Kong) Ltd., Hong Kong
|
| Fund management |
UBS SA国际传谋 (Europe) S.A., Luxembourg
|
| Custodian bank |
UBS Europe SE, Luxembourg Branch
|
| Representative for products established under foreign law |
UBS SA国际传谋 (Singapore) Ltd.
|
| Day of inception |
6 September, 2021
|
| Currency of account |
USD
|
| Close of financial year |
31 May
|
| SFDR Classification |
Art.6
|
| Issue / redemption |
daily
|
| Distribution |
Reinvestment
|
| Maturity |
Open end
|
| Ongoing costs p.a. |
1.47% p.a.
|
| Management fee |
1.12% p.a.
|
| Total expense ratio (TER) |
1.43% p.a.
|
| Swing pricing |
yes
|
| Minimum investment |
n.a.
|
| Reference Index / Benchmark | |
| Cut-Off Time |
13:00h(CET)
|
| ISIN |
LU2344565556
|
| Bloomberg Ticker |
UBCHYPA LX
|
Performance and Prices
Percentage growth
as of 23 April, 2026| USD(%) | EUR(%) | |
| YTD | ||
| 1M | ||
| 3M | ||
| 6M | ||
| 1Y | 3.01 | -0.16 |
| 2Y | ||
| 3Y | 4.46 | -2.11 |
| 5Y | - | - |
| ø p.a.5Y |
Current data
| Net asset value | 23.04.2026 | USD 52.65 |
| High - last 12 months | 26.02.2026 | USD 53.74 |
| Low - last 12 months | 09.07.2025 | USD 50.65 |
| Assets of the unit class in mn | 23.04.2026 | USD 1.58 |
| Assets under management | 23.04.2026 | USD 78.95 |
| Theoretical yield to maturity (net) | 31.03.2026 | 8.62% |
| Option Adjusted Duration | 31.03.2026 | 1.81 |
| Average remaining maturity | 31.03.2026 | 2.37 years |
Structures
Fees
Distributions
Sales Authorisations
Literature
|
Document type
|
Document Language
|
| Prospectus |
|
|
Document type
|
Document Language
|
| Product Highlight Sheet |
|
|
Document type
|
Document Language
|
| Annual report |
|
| Semi-annual report |
|