UBS (CH) Institutional Fund 3 - Commodities Constant Maturity Hedged NSL II I-X-acc/  CH0126480562  /

Fonds
NAV22.01.2025 Diff.+1.6300 Ertragstyp Ausrichtung Fondsgesellschaft
712.7100CHF +0.23% thesaurierend Alternative Investments weltweit UBS Fund M. (CH) 
 

Monatliche Performance

  Jan Feb Mär Apr Mai Jun Jul Aug Sep Okt Nov Dez Gesamt
2011 - - - - - -4.63 3.12 1.27 -14.33 5.87 -2.20 -3.28 -
2012 2.88 2.52 -3.47 -1.07 -8.23 2.71 5.13 1.85 1.59 -3.63 0.38 -2.29 -2.39%
2013 1.97 -4.09 0.28 -2.72 -1.66 -4.99 1.21 3.06 -2.06 -1.09 -0.79 0.54 -10.16%
2014 -1.14 6.15 0.63 2.39 -2.46 1.02 -4.04 -0.83 -6.31 -0.52 -3.90 -5.93 -14.58%
2015 -3.02 2.13 -4.90 4.44 -2.93 1.51 -10.05 -2.64 -1.73 0.01 -6.43 -2.52 -23.90%
2016 -1.46 -0.75 3.58 7.48 -0.35 3.99 -4.37 -1.89 2.99 -0.29 1.13 1.29 +11.36%
2017 0.97 0.41 -2.74 -1.33 -1.43 -0.05 2.14 0.30 -0.23 1.92 -0.44 2.45 +1.83%
2018 1.82 -1.43 -0.63 1.87 1.55 -4.06 -1.87 -2.00 1.34 -2.27 -2.92 -3.23 -11.42%
2019 4.92 1.06 -0.63 -0.98 -3.61 2.26 -1.03 -2.70 0.74 1.74 -2.29 4.79 +3.93%
2020 -6.56 -4.65 -9.69 -0.05 3.22 2.54 6.16 5.20 -2.09 0.36 3.80 5.03 +1.85%
2021 2.16 5.86 -1.63 7.64 3.37 1.98 1.85 -0.03 3.50 2.84 -4.99 3.74 +28.95%
2022 7.05 5.53 8.63 3.71 1.43 -10.39 3.39 0.42 -6.94 0.89 3.75 -1.74 +14.96%
2023 0.05 -4.54 -0.19 -1.16 -5.85 2.62 5.67 -1.24 -1.56 0.12 -1.59 -2.62 -10.26%
2024 -0.29 -1.53 3.56 2.33 1.22 -2.21 -3.51 -0.43 4.04 -1.79 -0.19 0.16 -
2025 4.46 - - - - - - - - - - - -

Kennzahlen

  lfd. Jahr 6 Monate 1 Jahr 3 Jahre 5 Jahre
Volatilität 9.73% 10.72% 10.18% 14.46% 14.43%
Sharpe Ratio 10.65 0.68 0.47 -0.10 0.36
Bester Monat +4.46% +4.46% +4.46% +8.63% +8.63%
Schlechtester Monat +0.16% -3.51% -3.51% -10.39% -10.39%
Maximaler Verlust -0.27% -5.76% -11.27% -26.23% -26.23%
Outperformance +3.11% - +5.17% +5.59% -2.08%
 
Alle Kurse in CHF

Tranchen

Titel   Ertragstyp Rückn. Preis 1 Jahr 3 Jahre
UBS (CH) Institutional Fund 3 - ... thesaurierend 712.7100 +7.48% +3.83%
UBS (CH) Institutional Fund 3 - ... thesaurierend 680.0400 +6.81% +1.91%
UBS (CH) Institutional Fund 3 - ... thesaurierend 707.9200 +7.43% +3.69%

Performance

lfd. Jahr  
+4.46%
6 Monate  
+4.89%
1 Jahr  
+7.48%
3 Jahre  
+3.83%
5 Jahre  
+46.23%
seit Beginn
  -25.61%
Jahr
2023
  -10.26%
2022  
+14.96%
2021  
+28.95%
2020  
+1.85%
2019  
+3.93%
2018
  -11.42%
2017  
+1.83%
2016  
+11.36%
 

Ausschüttungen

16.07.2024 2.74 CHF
18.07.2023 0.68 CHF
19.07.2022 0.70 CHF
20.07.2021 0.93 CHF
21.07.2020 1.21 CHF
25.06.2019 1.75 CHF
26.06.2018 2.57 CHF
26.06.2017 2.43 CHF
27.06.2016 1.17 CHF
22.06.2015 1.97 CHF
16.06.2014 4.98 CHF
17.06.2013 6.38 CHF