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World Funds

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Japan - Funds

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Condition

Frequency

Once
%

Frequency

Frequency

Delivery Method

Status

 NameSymbolLastChg. %Total AssetsTime
 UBS World Public Infra Bond Fund Currency Select J0P0000.6,377.000-0.22%46.34B01:00:00 
 UBS Australia Bond Open Dividend 1 Month0P0000.5,078.000-1.23%33.9B01:00:00 
 UBS World Public Infra Bond Fund Currency Select J0P0000.10,382.000-0.22%8.79B01:00:00 
 UBS Utility Financial Corporate Bond Fund UnHedged0P0000.9,044.000-0.48%7.45B01:00:00 
 UBS World Public Infra Bond Fund Currency Select A0P0000.4,902.000-0.22%6.89B01:00:00 
 UBS Brazilian Real Bond Fund Dividend 1 Month0P0000.5,352.000-1.31%7.05B01:00:00 
 UBS Utility Financial Corporate Bond Fund Hedged0P0000.7,030.000+0.43%6.68B01:00:00 
 UBS World CB Fund US Dollar Hedged0P0000.45,343.000-1.20%6.29B01:00:00 
 UBS World Public Infra Bond Fund Currency Select B0P0000.3,485.000+0.20%3.89B01:00:00 
 UBS World Public Infra Bond Fund Currency Select U0P0001.9,700.000+0.24%3.35B01:00:00 
 UBS Brazilian Real Bond Fund Dividend 2 Year0P0000.15,592.000-1.30%3.38B01:00:00 
 UBS World CB Fund Japanese Yen Hedged0P0000.17,640.000-0.16%2.35B01:00:00 
 UBS Global CB Open Dividend 1 Month UnHedged0P0000.10,560.000-0.75%2.02B01:00:00 
 UBS Global Convertible Bond Open Dividend 1 Year U0P0000.17,427.000-0.76%1.75B01:00:00 
 UBS World Public Infra Bond Fund Currency Select U0P0001.16,164.000+0.24%1.61B01:00:00 
 UBS World Public Infra Bond Fund Currency Select A0P0000.19,576.000-0.22%989M01:00:00 
 UBS Utility Financial Corporate Bond Fund Dividend0P0000.9,999.000+0.41%818M01:00:00 
 UBS Global Convertible Bond Open Dividend 1 Month 0P0000.7,957.000-0.91%376M01:00:00 
 UBS World Public Infra Bond Fund Currency Select B0P0000.19,110.000+0.20%671M01:00:00 
 UBS World Public Infra Bond Fund Currency Select T0P0000.996.000+0.30%540M01:00:00 
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