Wednesday, February 10, 2010, 4:41am EST - Canadian Markets open in 4 hours and 49 minutes.
To create a watchlist or portfolio of shares, Sign-in or Register

UBS US Allocation A (PWTAX)

On Feb 9: 23.98 USD  Up 0.21 (0.88%)  
MORE ON PWTAX
Quotes
Charts
News & Info
Fund
HereProfile
Analyst

Profile  As of 31-Jan-10 Get Profile for:
UBS US Allocation A
c/o UBS Global Asset Management (US) Inc 51 West 52nd St New York NY 10019
Phone: 800-647-1568
Free prospectuses for
more than 1,000 funds!
View List of Free Prospectuses
FUND OVERVIEW
Category: Moderate Allocation
Fund Family: UBS Global Asset Management
Net Assets: 226.89M
Year-to-Date Return: -2.23%
Yield: 2.44%
Morningstar Rating: 1 stars
Fund Inception Date: 10-May-93
MORNINGSTAR STYLE BOX
Moderate Allocation
[View Category Definition]
View Top Moderate Allocation Funds
About the Morningstar Style Box
MANAGEMENT INFORMATION
Curt Custard
Lead Manager since 30-Apr-09
Custard is a managing director and has been head of Global Investment Solutions at UBS Global Asset Management since March 2008. Custard is also a member of the UBS Global Asset Management Executive Committee. Prior to joining UBS Global Asset Management, Custard was global head of multi-asset solutions at Schroders since 2004. Prior to this, Custard was chief investment officer of the multi-asset and balanced business of Allianz Global Investors in London since 2000. Custard is a CFA charterholder.
INVESTMENT INFORMATION
Min Initial Investment: $1,000
Min Initial Investment, IRA: NaN
Min Initial Investment, AIP: $1,000
Min Subsequent Investment: $100
Min Subsequent Investment, IRA: N/A
Min Subsequent Investment, AIP: $50
PWTAX can be purchased from 9 brokerages.
FUND SUMMARY
The investment seeks total return. The fund normally invests at least 80% of its net assets (plus borrowings for investment purposes, if any) in US fixed income and equity securities. It's 80% policy is a ?non-fundamental? policy. The fund has a policy to provide its shareholders with at least 60 days? prior written notice of any change to the 80% policy.
FUND OPERATIONS
Last Dividend (18-Dec-09): 0.59
Last Cap Gain (12-Dec-01): 0.14
Annual Holdings Turnover 111.00%
Average for Category: 87.10%
FEES & EXPENSES
Expense PWTAX Category
Avg
Total Expense Ratio: 1.05% 1.02%
Max 12b1 Fee: 0.25% N/A
Max Front End Sales Load: 5.50% 5.30%
Max Deferred Sales Load: % 2.71%
3 Yr Expense Projection*: $866 $643
5 Yr Expense Projection*: $1,098 $981
10 Yr Expense Projection*: $1,762 $1,907
* Per $10,000 invested


Add to My Portfolio Add to Portfolio    Email to a Friend Email to a Friend
Get Profile for Another Symbol:
Symbol Lookup
Latest News Canadian Indices