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Logo UBSUBS · sheet of 10 September 2026
ETF sheet · official issuer and register data

UBS USD Treasury Yield Plus UCITS ETF USD dis

LU3079567130 · LU3079567130 · USD · domicile Luxembourg
Bonds · Government USD · Broad (all maturities) · North AmericaactiveSFDR art. 6
Comparison benchmark: Bloomberg USD-Aggregate Treasury Index
TER
0.15%+ trans. 0.00%
Fund size
4 m EUR
Tracking difference
not computable
🇮🇹 tax rate
14.35%white list 86.30%
Replication
Physical (mixed: optimised/sampled)active management
Income
Distributingsemi-annual
Duration
5.71 yrsmedium (3–7 years)
Launch 11 Sept 2025 · costs from the KID as of 2 Sept 2026 · 0 securities held · 8 venues (ESMA register)

The fund’s objective — in the issuer’s words

From the Key Information Document (KID) · 5 Aug 2026
The UBS USD Treasury Yield Plus sub-fund aims to achieve an attractive return, taking into account both capital appreciation and income returns by investing predominantly in USD denominated fixed-rate, investment-grade sovereign, sovereign related and supranational debt. This sub-fund is actively managed and uses the Bloomberg USD Treasury Bond Index as a reference for portfolio construction, performance comparison and risk management but is not constrained by it. The majority of the sub-fund's securities will be components of the benchmark. This…

Performance since series start (in euro) — base 100

11 Sept 20258 Sept 2026 · dividends reinvested where declared by the issuer · converted at ECB rates
202610498100
High 104 (25 Jun 2026) · low 98 (28 Jan 2026) · last 100. Past performance is not indicative of future results.

Returns in euro

1 year+0.4%
3 yearsseries too young
5 yearsseries too young
10 yearsseries too young
Since series start+0.4%

Risk · 1 / 3 / 5 years

Volatility (ann.)4.04%4.04%
Max drawdown−4.50%−4.50%
Sharpe-1.41-1.41
Sortino-1.72-1.72
Sharpe/Sortino: risk-free = ECB MRO avg; nominal volatility
Rebalix · LU3079567130 · LU30795671301
RebalixLU3079567130 · LU3079567130 · sheet of 10 September 2026

Tracking difference — year by year

Fund minus index, complete calendar years · declared by the issuer
YearFundIndexTD
2025+0.46%+0.49%−0.03%

Fixed income — as declared by the issuer

Factsheet · 31 Jul 2026

Distributions · per share, in USD

Frequency: semi-annual · last 12 months: 0.3182 USD (3.29% of NAV) · 7 months of history: not a full year · last ex-date 13 Aug 2026
YearPaymentsTotal (USD)
202620.3182

Listing venues

ESMA register (FIRDS) and official exchange lists
CHSX · Börse Düsseldorf, Börse Frankfurt, Börse Hamburg, Börse Hannover, Börse München / gettex, Börse Stuttgart, Tradegate Exchange, Xetra (Deutsche Börse)
+ 3 unmapped venues (MTF, RFQ, professional)

Official documents

Clickable links in the PDF
KID · www.ubs.com/2/e/priip/PRIIPSEU_LU3079567130_en_IE.pdf
Factsheet · www.ubs.com/2/e/files/RET/FS_RET_LU3079567130_IT_IT.pdf
Prospectus · www.ubs.com/2/e/files/lux_etf_pe.pdf
The live sheet, always up to date
rebalix.com/en/etf/LU3079567130
Series, distributions, holdings and documents refresh daily.
Sheet produced on 10 September 2026 · data as of the dates shown section by section. Sources: official issuer documents (KID, factsheet, NAV and total-return series, declared portfolio), ESMA register (FIRDS), European Central Bank (FX), Italian tax authority / issuer (white-list share). Public methodology: rebalix.com/en/methodology. “—” = not published by the source, never estimated.

Informational document generated by rebalix.com: facts only, no recommendations. Not investment advice or investment research under Directive 2014/65/EU (MiFID II), nor an offer or solicitation. Past performance is not indicative of, nor a guarantee of, future results; the value of an investment can go down as well as up. Before any decision read the issuer’s KID and Prospectus; tax treatment depends on individual circumstances. Trademarks and logos belong to their respective owners and only identify the instrument and its issuer: no affiliation, sponsorship or endorsement.

Rebalix · LU3079567130 · LU30795671302