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UBAM - Tech Global Leaders Equity UD USD

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Performance

UBAM - Tech Global Leaders Equity UD USD
NIW - Nettoinventarwert
Datum
Quellen der Daten : UBP SA
Performance-Historie MTD YTD 1 Jahr 3 Jahren 5 Jahren ITD
Performance-Historie 6.65% 13.70% 37.51% 9.19% 16.64% 13.71%
12 Monate Rollende 05.23 - 05.24        
12 Monate Rollende 37.51%

Disclaimer
Vergangene Performance sind nicht zwingend ein Hinweis auf gegenwärtige und/oder künftige Ergebnisse. Die dargestellten Renditen beinhalten reinvestierte Bruttodividenden und laufende Kosten, jedoch keine Zeichnungs-/Rücknahmegebühren und Steuern, die vom Anleger zu tragen sind. Sich auf die Wertentwicklung von Teilfonds beziehende Daten, die für weniger als 12 Monate gelten, werden für Privatkunden nicht angegeben. Für Geschäftskunde Performanceangaben unter einem Jahr sind kumuliert, über einem Jahr sind annualisiert. Bei Sub-Funds, die auf eine andere Währung als die des Fonds lauten, kann sich die Rendite aufgrund von Wechselkursschwankungen verringern oder erhöhen. Der Wert der Anlagen kann variieren, die Anleger erhalten den investierten Betrag möglicherweise ganz oder teilweise nicht zurück. Quellen der Daten: UBP SA

Library

LEGAL DOCUMENT
Titel Aktualisiert Englisch Deutsch Französisch Italienisch
Annual report 31.12.2023 PDF
KID PRIIPS 19.02.2024 PDF
Prospectus 26.02.2024 PDF
Semi-annual report 30.06.2023 PDF
Shareholders letter 26.01.2024 PDF PDF PDF PDF
Statuts – Articles of Association 06.04.2023 PDF
MARKETING DOCUMENTATION
Titel Aktualisiert Englisch Deutsch Französisch Italienisch
Monthly Report 30.04.2024 PDF
Product card 31.12.2023 PDF PDF PDF PDF
Quarterly comment 31.03.2024 PDF

Registration

ATÖsterreich
BEBelgien
CHSchweiz
DEDeutschland
DKDänemark
ESSpanien
FIFinnland
FRFrankreich
GBVereinigtes Königreich
IEIrland
ILIsrael
ISIsland
ITItalien
KRSüdkorea
LULuxemburg
NLNiederlande
NONorwegen
PTPortugal
SESchweden
SGSingapur
TWTaiwan
ZASüdafrika
ATÖsterreich
BEBelgien
CHSchweiz
DEDeutschland
DKDänemark
ESSpanien
FIFinnland
FRFrankreich
GBVereinigtes Königreich
IEIrland
ILIsrael
ISIsland
ITItalien
KRSüdkorea
LULuxemburg
NLNiederlande
NONorwegen
PTPortugal
SESchweden
SGSingapur
TWTaiwan
ZASüdafrika

Italie: Die Anteilklassen I werden nur  der Börsenaufsichtsbehörde CONSOB mitgeteilt.

Singapur: Teilfonds, die bei der MAS (Monetary Authority of Singapore) registriert sind, können nur «Accredited Investors» angeboten werden.


Fiscal information

Titre Statut
Ende Geschäftsjahr 31 December
UKRFS Yes Reportable Income
Transparenzkriterien für Deutschland No
Transparenzkriterien für Österreich No
Reporting für italienische Kunden Yes
Schweizer RNI Yes

Sustainability-related disclosure

 

Summary

This Sub-Fund invests primarily in technology or technology-related stocks world-wide, which are expected to provide growth and leading (i.e. sustainably high quality) levels of cash flow return on investment (CFROI®. Source: Credit Suisse Holt).

It promotes environmental characteristics but does not have as its objective sustainable investment. However, it will have a minimum proportion of 1% of sustainable investments.

The environmental characteristic promoted is to maintain a lower weighted average carbon intensity than the MSCI AC World NR, paying attention to issuers’ activities, greenhouse gas (GHG) emissions and climate strategy. The index is a standard reference representing the Sub-Fund’s universe but is not aligned with the environmental and social characteristics promoted by this Sub-Fund.

The objectives of the sustainable investments that this Sub-Fund partially intends to make may include but are not limited to:

- Environmental objectives such as climate change mitigation through resource efficiency: for example through investments in companies with revenues from products or services that help reduce the consumption of energy, raw materials, and other resources

- Social objectives such as major disease treatment: for example through investments in companies with revenues from products for the treatment or diagnosis of major diseases of the world.

To ensure sustainable investments that this Sub-Fund intends to make do not cause significant harm, the Investment Manager assesses whether these companies do no harm through an internally-designed methodology which covers principal adverse impact, controversies, misalignment with SDGs and ESG/governance quality.

The Investment Manager takes into consideration and seeks to minimize the following potential principal adverse impacts of its investments: 1) GHG Intensity of Investee Companies, 2) Violations of UN Global Compact principles and Organisation for Economic Cooperation and Development (OECD) Guidelines for Multinational Enterprises and 3) Exposure to Controversial Weapons.

The ESG approach is embedded in the investment process as ESG considerations can be an important driver for risks associated with an investment and for maintaining or improving the Cash Flow Returns on Investment (CFROI®) of a company. The Investment Manager first performs a negative screening and a norms-based screening to filter the investment universe. ESG‑related information is then directly integrated into the proprietary Discounted Cash Flow (DCF) models of companies. The portfolio construction will consider the overall ESG score as well as the contribution to risk that arises from ESG exposures. Company specific and portfolio factors including ESG developments are considered when monitoring the portfolio and deciding to exit positions.

The ESG analysis, conducted internally or externally, covers 100% of the portfolio’s equity holdings.

This Sub-Fund intends to have a minimum of 90% of its assets aligned with the environmental or social characteristics promoted, including a minimum of 1% in environmentally and/or socially sustainable investments.

The binding criteria used to attain each of the environmental and/or social characteristics promoted by the Sub-Fund are integrated in control systems, to ensure pre- and post‑trade checks. Compliance is monitored by the Risk department on an ongoing basis.

The Investment Manager may use data reported directly by issuers or sourced from third-party data providers such as MSCI ESG Research or Sustainalytics. The service and data quality provided by third-party ESG data providers are reviewed regularly.

Depending on the metric considered, some data may be estimated by data providers. Although the Investment Manager applies a thorough selection process of third-party providers, their processes and proprietary ESG methodology may be flawed. As a result, there is a risk of incorrectly assessing an issuer, resulting in an inappropriate capture of ESG risks and potential incorrect inclusion or exclusion in the product. This is expected to have limited impact on the overall environmental and/or social characteristics promoted by the product.

The investment due diligence process ensures that the investment decisions comply with the objectives and the investment strategy of the Sub-Fund. The consideration of sustainability-related risks is integrated into the investment decision-making process to ensure better-informed investment decisions as well as awareness of the risk exposure. The first level of due diligence is conducted by the Investment Manager, while the second level is conducted by the Risk department.

Engagement with investee companies may occur. It can be conducted collaboratively as well as, on an ad-hoc basis, directly by the investment team.

The Investment Manager exercises its voting rights, in line with the voting policy which follows sustainability principles.

No reference benchmark has been designated for the purpose of attaining the environmental or social characteristics promoted by this Sub-Fund.

For more information, please see the fund’s Sustainability-related disclosures.

  • ISIN-Code
  • LU1808466384
  • Zahlen per
  • 17.05.2024
  • Letzter NIW
  • 211.91 USD
  • Fondsvermögen
  • 42.13M USD

Fonds-Daten

  • Fondsbezeichnung UBAM
  • Rechtsform SICAV
  • Gerichtsbarkeit Luxembourg

Zahlen zum Subfonds

  • Referenzwährung USD
  • Anlageklasse Equity
  • Geografischer Schwerpunkt Global
  • Gründungsdatum 09.07.2018
  • Einstufung SFDR 8

Zahlen zur Anteilklasse

  • Beschreibung UD USD
  • Auflegungsdatum 09.07.2018
  • Art der Dividende Distribution (yearly)
  • Mindestanlage None
  • Zeichnung Daily
  • Rücknahme Daily
  • Managementgebühr 1.00%
  • Performancegebühr No
  • Performancegebührensatz N/A
  • Letzte Dividende 0.00 USD 02.05.2024

Fondsreferenzen

  • Bloomberg UBTLUUD LX
  • Telekurs 41207912
  • Reuters N/A
  • WKN A2JQZ7
  • SEDOL N/A
  • Morningstar -
  • Financial Express -

Manager(s)

    Martin Moeller / Fares Benouari