Previous close | 210.72 |
Open | 210.50 |
Bid | 0.00 x 800 |
Ask | 348.05 x 800 |
Day's range | 224.51 - 224.51 |
52-week range | 192.00 - 225.10 |
Volume | |
Avg. volume | 0 |
Net assets | 26.34M |
NAV | 217.90 |
PE ratio (TTM) | N/A |
Yield | 0.00% |
YTD daily total return | 6.24% |
Beta (5Y monthly) | 1.54 |
Expense ratio (net) | 0.80% |
Inception date | 2016-02-19 |
NEW YORK, June 14, 2023--UBS AG announced today the Call Settlement Amounts for the below three UBS-issued exchange traded notes set forth in the following table (collectively, the "ETNs").
NEW YORK, May 31, 2023--UBS AG announced today that it will redeem all of the outstanding securities in each of the two series of UBS-issued exchange traded notes set forth in the following table (collectively, the "ETNs"). UBS AG expects to deliver redemption notices with respect to each of the ETNs to holders of the applicable ETNs with Call Settlement Dates as set forth in the table below.