UBS AM

UBS AM Portfolio holdings

AUM $494B
1-Year Return 24.11%
 

UBS Asset Management (UBS AM), a division of UBS Group AG with origins tied to the bank’s founding in 1862, is headquartered in Zurich, Switzerland, and manages hundreds of billions in assets for institutional, intermediary, and wealth management clients globally. Specializing in a broad range of investment strategies—including equities, fixed income, multi-asset, alternatives, and sustainable investing—UBS AM leverages the firm’s extensive research capabilities and global network to deliver tailored solutions. Known for its focus on risk management and innovation, it offers products like ETFs, index funds, and private market investments, catering to diverse needs from pension funds to high-net-worth individuals. As part of UBS’s broader ecosystem, UBS AM combines Swiss precision with a commitment to ESG principles, solidifying its position as a leader in the asset management industry.

This Quarter Return
+0.75%
1 Year Return
+24.11%
3 Year Return
+102.59%
5 Year Return
+175.1%
10 Year Return
+452.22%
AUM
$104B
AUM Growth
+$704M
Cap. Flow
-$1.5B
Cap. Flow %
-1.43%
Top 10 Hldgs %
14.25%
Holding
2,778
New
148
Increased
1,779
Reduced
566
Closed
77

Sector Composition

1 Healthcare 17.28%
2 Financials 14.69%
3 Technology 14.3%
4 Consumer Discretionary 9.55%
5 Industrials 8.41%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
BIG
676
DELISTED
Big Lots, Inc.
BIG
$20.2M 0.02%
449,739
+131,898
+41% +$5.93M
REG icon
677
Regency Centers
REG
$13.1B
$20.2M 0.02%
342,520
+3,266
+1% +$193K
MAN icon
678
ManpowerGroup
MAN
$1.83B
$20.2M 0.02%
225,811
-842
-0.4% -$75.3K
LNT icon
679
Alliant Energy
LNT
$16.6B
$20.1M 0.02%
697,172
+2,536
+0.4% +$73.2K
ETFC
680
DELISTED
E*Trade Financial Corporation
ETFC
$20M 0.02%
667,202
+296,819
+80% +$8.89M
FLEX icon
681
Flex
FLEX
$21.6B
$20M 0.02%
2,343,743
-186,201
-7% -$1.59M
MGM icon
682
MGM Resorts International
MGM
$9.62B
$19.7M 0.02%
1,078,310
+26,854
+3% +$490K
DXCM icon
683
DexCom
DXCM
$29.8B
$19.7M 0.02%
982,764
+35,480
+4% +$709K
ADT
684
DELISTED
ADT CORP
ADT
$19.6M 0.02%
584,528
-624
-0.1% -$20.9K
LECO icon
685
Lincoln Electric
LECO
$13.4B
$19.6M 0.02%
321,985
+70,085
+28% +$4.27M
PDCO
686
DELISTED
Patterson Companies, Inc.
PDCO
$19.5M 0.02%
401,156
-43,847
-10% -$2.13M
IPGP icon
687
IPG Photonics
IPGP
$3.49B
$19.4M 0.02%
227,763
-47,008
-17% -$4M
TCOM icon
688
Trip.com Group
TCOM
$48.9B
$19.3M 0.02%
530,800
-131,200
-20% -$4.76M
TMH
689
DELISTED
Team Health Holdings Inc
TMH
$19.3M 0.02%
294,845
+2,119
+0.7% +$138K
KERX
690
DELISTED
Keryx Biopharmaceuticals Inc
KERX
$19.3M 0.02%
1,930,099
+82,603
+4% +$824K
PFPT
691
DELISTED
Proofpoint, Inc.
PFPT
$19.3M 0.02%
302,493
-194
-0.1% -$12.4K
PWR icon
692
Quanta Services
PWR
$58.1B
$19.2M 0.02%
665,223
-1,503
-0.2% -$43.3K
NWSA icon
693
News Corp Class A
NWSA
$16.6B
$19.1M 0.02%
1,312,077
-271,967
-17% -$3.97M
AGCO icon
694
AGCO
AGCO
$8.15B
$19.1M 0.02%
335,751
+15,951
+5% +$906K
WLL
695
DELISTED
Whiting Petroleum Corporation
WLL
$19.1M 0.02%
1,890
-182
-9% -$1.83M
SPLK
696
DELISTED
Splunk Inc
SPLK
$19M 0.02%
273,437
+204,662
+298% +$14.2M
IT icon
697
Gartner
IT
$18.3B
$18.8M 0.02%
219,693
+162,320
+283% +$13.9M
HTWR
698
DELISTED
HEARTWARE INTERNATIONAL INC COM STK (DE)
HTWR
$18.7M 0.02%
256,611
+48,045
+23% +$3.49M
CBPO
699
DELISTED
China Biologic Products Holdings, Inc.
CBPO
$18.6M 0.02%
+161,629
New +$18.6M
SM icon
700
SM Energy
SM
$3.13B
$18.5M 0.02%
400,466
-4,766
-1% -$220K