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UBS CMCI Composite SF UCITS ETF hGBP acc (UC90.L)

GBp17,401.00 -121.50 (-0.69%)
LSE GBp IE Commodities
NAV GBp 17,437.06 -0.21% vs NAV as of 2026-07-13
AUM GBp 1.66B
TER 0.34%
Yield (TTM)
Distribution Accumulating
52-week range 13,837.50 – 18,770.00
Holdings
Issuer UBS

About this ETF

The fund's primary goal is to mirror the total return performance of the UBS CMCI Composite Index. It's important to note that the fund's market price on the exchange could deviate from its underlying net asset value (NAV). Index tracking is achieved through synthetic replication, relying on investments in swap agreements rather than direct asset holdings. To mitigate risks associated with swap counterparties, the fund aims to maintain a 105% over-collateralization level for this exposure. This investment vehicle operates under a passive management strategy.

ISIN IE00B50XJX92
Issuer UBS
Domicile IE
Inception 2015-03-05
Asset class Commodities

Price

Top 10 holdings

This fund does not disclose a securities portfolio (e.g. physically-backed or synthetic products).