UBS Asset Management is a large-scale and diversified asset manager, with a presence in 22 markets. We offer investment capabilities and investment styles across all major traditional and alternative asset classes as well as platform solutions and advisory support, to institutions, wholesale intermediaries and wealth management clients.

We take a connected approach to find the answers to our clients’ investment challenges. Our global capabilities include equity, fixed income, currency, hedge funds, real estate, infrastructure and private equity investment capabilities that can also be combined into customized solutions and multi asset strategies.

Complementing our investment offering, we provide professional white labelling services including fund set-up, accounting, asset valuation, NAV calculation and reporting elements for traditional and alternative funds.

Invested assets totaled USD 980 billion as of 30 September 2020. We are a leading fund house in Europe, the largest mutual fund manager in Switzerland, Europe’s third largest money manager[1] and one of the top foreign asset managers in China[2]. We also have a fast-growing and sizeable passive offering, being among the top 10 firms globally and second largest Europe-based passive player[3] as well as fourth largest ETF provider in Europe[4], innovating in areas such as smart beta and alternative indices.

We are a truly global firm with principal offices in Chicago, Frankfurt, Hartford, Hong Kong, London, New York, Shanghai, Singapore, Sydney, Tokyo and Zurich.

[1] Institutional Investor Euro 100, based on data to 31 March 2020 (based on discretionary assets only, UBS WM and AM combined, excluding fund of funds assets)
[2] Ranked #1 by Broadridge, October 2020 and #2 by Z-Ben, April 2020
[3] UBS Asset Management analysis, March 2020
[4] ETFGI European ETF and ETP industry insights, April 2020