UBS GLOBAL EMERGING MARKETS EQUITY A - Manager
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Find rated global emerging markets funds
Average monthly relative returns
|
Bestinvest MRI
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07/08
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08/09
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09/10
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10/11
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11/12
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3 years
|
5 years
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Career
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3 years
|
5 years
|
Career
|
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-0.18%
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-0.42%
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0.15%
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-0.30%
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-0.09%
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-0.08%
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-0.17%
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-0.14%
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55.6%
|
38.2%
|
46.8%
|
|
Performance figures are based on the average of monthly percentage returns relative to the benchmark index.
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Urs Antonioli
Antonioli is a member of the UBS Global Asset Management Emerging Markets Strategy Committee. He began his financial career by joining the UBS Zurich graduate training programme in 1994. In 1995 he moved to UBS Asset Management to launch and manage the first UBS emerging market fund investing in Eastern European countries. From 1996 to 2000, his responsibilities comprised management of all Eastern European portfolios managed at UBS. He has spent more than eight years in research activities, specializing in energy, telecommunications, basic materials and the technology sector. He attended the University of Fribourg (Switzerland) MBA
Track record
Urs Antonioli has 8.5 years experience of managing mutual funds in this sector. Over this period the average monthly return relative to the benchmark index has been -0.14%.
During the worst period of relative performance (from May 2004 - March 2012) there was a decline of 21% relative to the index. The worst absolute loss has been 48%.
Other funds managed
| Periods of worst performance |
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Absolute
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-48%
(October 2007 - November 2008)
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|
Relative
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-21%
(May 2004 - March 2012)
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Sector record since
November 2003 (8 yrs)
About the MRI
Our unique indicator: the Bestinvest Manager Record Index (MRI) measures the likelihood that the fund manager is adding value through their decisions. It is based on their performance record over the course of their career, adjusted for the amount of risk taken. MRI is an important contributor to our fund rating system but it is also vital to take account of qualitative factors. It is also very important to select funds to form a cohesive portfolio with an appropriate overall risk level. Read more about our approach