Last Updated: 11 Jul 2026 1:38:37 PM(Singapore Time)
FIXED INCOMESHORT DURATIONGLOBAL
UNITED SGD FUND CL A DIS SGD
UOB ASSET MANAGEMENT
SGD 0.9320
Latest NAV Price.
The investment focus of the Fund is to invest substantially all its assets in money market and short term interest bearing debt instruments and bank deposits with the objective of achieving a yield enhancement over Singapore dollar deposits.
AUM (million)
SGD 3,581.18
FSM Risk Rating
2 - Low Risk
Launch Date
12 Mar 2014
Launch Price
SGD 1.00
Historical Dividend
Yes
Dividend Yield (%)
4.06%
Dividend Frequency
Monthly
CPF Risk Classification
na
Min. Initial Amount
SGD 100.00
Min. RSP Investment
SGD 100.00
RSP Special List
Yes
Annual Expense Ratio
0.66%
LEARN MORE
Latest NAV Price
Past 3 Months
SGD 0.9320
SGD -0.0061
More
Created with Highcharts 9.3.2Chart context menu13. Apr20. Apr27. Apr4. May11. May18. May25. May1. Jun8. Jun15. Jun22. Jun29. Jun6. Jul0.930.9320.9340.9360.9380.94FSM Global
Annualised Returns
Created with Highcharts 9.3.2Chart context menu1 WK-0.02%1 MTH0.14%3 MTH0.41%6 MTH0.50%YTD0.54%1 YR1.88%2 YR3.10%3 YR3.53%5 YR1.98%10 YR2.01%
1 WK -0.020%
1 MTH 0.140%
3 MTH 0.410%
6 MTH 0.500%
YTD 0.540%
1 YR 1.880%
2 YR 3.100%
3 YR 3.530%
5 YR 1.980%
10 YR 2.010%
Calendar Year Returns
Created with Highcharts 9.3.2Chart context menu20253.58%20244.09%20234.28%2022-2.23%20210.19%
2025 3.584%
2024 4.095%
2023 4.276%
2022 -2.227%
2021 0.193%
Fund Historical Price
1Y High
0.96
28 Aug 2025
1Y Low
0.93
07 Jul 2026
3Y High
0.96
29 Sep 2024
3Y Low
0.93
07 Jul 2026
All Time High
1.04
29 Jun 2017
All Time Low
0.93
07 Jul 2026
Documents
pdfIcon
Prospectus
13 Jan 2026
pdfIcon
Semi-Annual Report
10 Sep 2025
pdfIcon
Annual Report
04 Apr 2026
pdfIcon
Product Highlights Sheet
13 Jan 2026
pdfIcon
Fund Factsheet
24 Jun 2026
Payment Method
Included under CashYes
Included under SRSYes
Included under CPFIS-OANo
Included under CPFIS-SANo
Buy Processing Flow
Order Placement
11 Jul 2026
Order Transact
13 Jul 2026
Complete to Holdings
17 Jul 2026
Sell Processing Flow
Order Placement
11 Jul 2026
Order Transact
13 Jul 2026
Paid Out
20 Jul 2026
Risk Metric
3 YR Annualised Volatility 0.79%
3 YR Sharpe Ratio 1.28
1 YR Max Drawdown -0.61%
3 YR Max Drawdown -0.61%
Upcoming Fund HolidaysMORE
There are no upcoming fund holidays for this fund.
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