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Ubs (ch) Investment Fund - Euro Bonds Passive I-b (0P00008ZR9)

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1,126.030 -1.780    -0.16%
13/11 - Closed. Currency in EUR
Type:  Fund
Market:  Switzerland
Issuer:  UBS Fund Management (Switzerland) AG
ISIN:  CH0028924568 
Asset Class:  Bond
  • Morningstar Rating:
  • Total Assets: 580.52M
UBS CH Investment Fund - Euro Bonds Passive I-B 1,126.030 -1.780 -0.16%

Ubs (ch) Investment Fund - Euro Bonds Passive I-b Overview

 
On this page you'll find an in-depth profile of Ubs (ch) Investment Fund - Euro Bonds Passive I-b. Learn about the key management, total assets, investment strategy and contact information of 0P00008ZR9 among other information.
Category

EUR Government Bond

Total Assets

580.52M

Expenses

0.05%

Inception Date

Feb 26, 2007

Investment Strategy

The fund primarily invests in EUR-denominated bonds issued by prime borrowers.|The maturity of the investments in the fund is passively managed.|The fund aims to achieve a performance which, via passive management and gross of fees, corresponds to that of its benchmark (Citigroup EMU Government Bond Index (EGBI)).|The fund is appropriate for investors seeking to invest in a broadly diversified portfolio of EUR bonds.

Contact Information

Address 4051 Basel
Basel,Basel 4052
Switzerland
Phone +41 61 2884910
Fax +41-61-288 45 40

Top Executives

Name Title Since Until
Mélanie Souchois - 2022 Now
Andy Nham - 2020 Now
Roland Niederer - 2020 Now
Biography Roland Niederer is responsible for low tracking error global, Sterling bond funds and client mandates at UBS Asset Management. He also represents the active global bond capability to Swiss clients. Roland joined the Economics division of the former Swiss Bank Corporation (SBC) in 1989, to focus on financial market research. After three years, he transferred to SBC Hong Kong as a Senior Analyst, to monitor and analyse the transfer risk of Asian countries and financial market developments in Asia. In early 1994 he started managing investment funds and institutional client mandates. In late 2000 he was temporarily assigned to UBS Asset Management London to oversee the fixed income trading desk during the integration period. During his university studies, Roland completed a traineeship in SBC’s Financial Advisory division in Basel.
Marco Bontognali Director 2020 2022
Biography Marco Bontognali is a portfolio manager within the Index Fixed Income team and a Director at UBS Asset Management. In this role, he is responsible for managing a range of passive strategies. Mr. Bontognali joined UBS Asset Management in 2018. Prior to this, he worked in Vontobel Asset Management where he managed Swiss Franc and global fixed income portfolios including sustainable investment strategies.
Oya Ecevit - 2018 2020
Khongorzul Tudev - 2017 2020
Biography Khongorzul Tudev is an associate portfolio manager within the Passive Fixed Income team, based in Zurich. In this role, she is responsible for assisting portfolio managers in managing a range of passive strategies. Prior to joining UBS Asset Management in April 2015, Khongorzul joined UBS AG as a business analyst in 2014. Khongorzul has a bachelor's degree in International Economics, and a master's degree in Banking and Finance.
Eric Chevallier - 2017 2018
Biography Eric Chevallier is a portfolio manager within the Passive Fixed Income team at UBS Asset Management, based in Zurich. In this role, he is responsible for managing a range of passive strategies. Eric joined UBS Asset Management in 1999. Initially, he was responsible for managing balanced fixed-income mandates. Between 2001 and 2005, he managed passive fixed income as well as equity portfolios in Europe, Middle East and Africa. Since 2005, his focus has been on managing global fixed-income mandates. Eric joined UBS in 1995 in the Group Internal Audit. In 1996, he moved to UBS Swiss Life as an Actuary and Risk Manager, specializing in actuarial mathematics and risk management from 1997 onwards. His published work includes articles in ‘Financial Markets and Portfolio Management’ discussing asset and risk management topics. Eric is a regular member of the CFA Institute, Swiss Financial Analysts Association, Swiss Bond Commission and Swiss Association of Actuaries.
Anna-Huong Findling - 2017 2018
Oya Ecevit - 2016 2017
Frédérick Mellors - 2011 2017
Biography Fred Mellors ist Portfoliomanager im Zürcher Fixed Income Team und verwaltet EUR Aggregate Bond und EUR Investment Grade Portfolios. Vor dieser Funktion arbeitete Fred für das australische Fixed Income Team und verwaltete Kredit- und Inflation-linked-Obligationenportfolios, wobei er ebenfalls verwantwortlich für die Strategie und Implementierung dieser Portfolios zeichnete. Fred stiess 2006 zu UBS Asset Management. Davor war er für Principal Global Investors als Portfoliomanager und Händler im Fixed-Income-Bereich tätig. Frühere Stationen in seiner beruflichen Laufbahn waren die ANZ Investment Bank und Salomon Smith Barney als Fixed-Income-, resp. Aktienanalyst.
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