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Current Offerings 

Summary of the Global & Neutral Bond  

The G&N Bond is an intelligent choice in todays market. It makes money if the stock markets go up, and there is the chance to profit even if the markets go down.  

The investment is divided into two parts. One traditional and one market neutral. Both parts are managed by UBS following their time-tested strategy. 
  • Half is invested in a global basket of share-indices. Europe, Sweden and Japan. 1/3 each.

  • The other half is invested in a global market neutral portfolio managed by UBS. In this portfolio around 50 companies are bought and sold (shorted). The historical result shows a very good return of investment regardless of market direction.

  • This strategy has historically given a stock market type of return when the markets have gone up - and a positive return during fall of the markets.

  • The two parts are separated from each other. I.e. if either one of them appreciates, the repayment will be higher then the investment.

  • If the development of both parts are unchanged or negative the protected amount will be repaid.
Read more in the brochure:
 

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The official prospectus from the issuer:
Global & Neutral Defensive
Global & Neutral Growth

 

 

 
 
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