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Ubs (lux) Equity Sicav - European High Dividend Sustainable (eur) (chf Hedged) P-dist (0P0000X50T)

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125.410 -0.570    -0.45%
19/11 - Closed. Currency in CHF
Type:  Fund
Market:  Switzerland
ISIN:  LU0826316233 
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 152.9M
UBS Lux Equity SICAV - European High Dividend EUR 125.410 -0.570 -0.45%

Ubs (lux) Equity Sicav - European High Dividend Sustainable (eur) (chf Hedged) P-dist Overview

 
On this page you'll find an in-depth profile of Ubs (lux) Equity Sicav - European High Dividend Sustainable (eur) (chf Hedged) P-dist. Learn about the key management, total assets, investment strategy and contact information of 0P0000X50T among other information.
Category

Sector Equity Other

Total Assets

152.9M

Expenses

1.65%

Inception Date

Oct 01, 2012

Investment Strategy

This actively managed sub-fund invests following the principle of risk diversification, with at least two thirds of its assets invested in equities or other equity interests in small, medium and large-cap companies domiciled or chiefly active in Europe. The Fund strategy is to select companies with high, consistent dividends.

Contact Information

Address 5, rue Jean Monnet
Luxembourg,* L-2180
Luxembourg
Phone +352 4 36 16 11
Fax +352 4 36 16 1555

Top Executives

Name Title Since Until
Jie Song - 2024 Now
Grzegorz Ledwon - 2021 Now
Ian Paczek - 2017 Now
Biography Ian Paczek is a portfolio manager in the Quantitative Investments team, which is part of Systematic and Index Investments. His primary responsibility is the management of quantitative Global and European Equity strategies. Ian also plays an active role in the research and development of stock selection models for various equity markets. Prior to joining UBS Asset Management in 2004, Ian was at JP Morgan Fleming Asset Management as senior quantitative analyst in the International Structured Equity team. He was responsible for backtesting and analysis of investment strategies, and transaction costs and risk modelling. He was previously a member of the financial engineering and business analysis team at Lombard Risk Systems. Ian is a member of the CFA Institute and the Advisory Panel of the Institute for Quantitative Investment Research (INQUIRE).
Hajro Kadribeg - 2022 2023
Uwe Röhrig - 2022 2022
Urs Räbsamen - 2015 2021
Biography Urs Raebsamen is an equity specialist in the Systematic and Index Investments team at UBS Asset Management. He has primary responsibility for communicating the team's investment process, philosophy and views to clients, prospects and consultants. From June 2011 until December 2013, Urs was part of the Institutional Client Servicing and Business Development team in Hong Kong. Prior to that, he was responsible for Product Development in Hong Kong. From September 2007 until July 2010, Urs was on an international assignment in Korea with UBS Hana Asset Management, UBS's Korean joint venture, where he was responsible for quantitative investments as well as a range of business and operational areas in the Equities division. He was a member of the UBS Hana Asset Management Executive Committee. Urs joined UBS in 2001 as a portfolio manager with responsibility for the UBS Strategy Funds in CHF and the UBS Equity Fund – Gold. In March 2005, he joined the Swiss Equities / Systematic Alpha team, responsible for the Small Cap Switzerland Fund as well as quantitative research. Urs is a member of the CFA Institute.
Patrick Zimmermann Egloff - 2017 2021
Christopher Hughes Portfolio Manager 2010 2014
Biography Chris joined Eastspring Investments in February 2016 and has more than 18 years of industry experience. Chris is a member of the Quantitative Equity Strategies (QES) team and is a portfolio manager for QES investment products. He also participates in designing and implementing systematic equity funds and undertakes research and development of systematic alpha and smart beta investment strategies. Prior to joining Eastspring Investments, he worked with UBS Global Asset Management (London & Zurich) for 7 years as a Quantitative Analyst, where he managed multi-region portfolios of equity products, and provided data support for the team. Prior to that, he was at Credit Suisse Asset Management in London for 2 years, also working in a quantitative investment strategies team. Chris holds a PhD in Biochemistry and a BSc.(Honours) from Imperial College of Science Technology and Medicine, London and a MSc.(Distinction) from Kings College, London He is also a CFA charterholder.
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