The UBS Funds - UBS Global Allocation Fund INVESTMENT PRACTICES This page being filed for series. 0 70 ACTIVITY PERMITTED BY INVESTMENT POLICIES (Y OR N) ENGAGED IN THIS PERIOD (Y OR N) (a) Writing or investing in repurchase agreements Yes (b) Writing or investment in options on equities Yes (c) Writing or investing in options on debt securities Yes (d) Writing or investing in options on stock indices Yes (e) Writing or investing in interest rate futures Yes (f) Writing or investing in stock index futures Yes (g) Writing or investing in options on futures Yes (h) Writing or investing in options on stock index futures Yes (i) Writing or investing in other commodity futures No (j) Investments in restricted securities Yes (k) Investments in shares of other investment companies Yes (l) Investments in securities of foreign issuers Yes (m) Currency exchange transactions Yes (n) Loaning portfolio securities Yes (o) Borrowing of money Yes (p) Purchases/sales by certain exempted affiliated persons Yes (q) Margin purchases No (r) Short selling No The UBS Funds - UBS Global Sustainable Equity Fund (Formerly, UBS International Equity Fund) INVESTMENT PRACTICES This page being filed for series. 0 70 ACTIVITY PERMITTED BY INVESTMENT POLICIES (Y OR N) ENGAGED IN THIS PERIOD (Y OR N) (a) Writing or investing in repurchase agreements Yes (b) Writing or investment in options on equities Yes (c) Writing or investing in options on debt securities Yes (d) Writing or investing in options on stock indices Yes (e) Writing or investing in interest rate futures Yes (f) Writing or investing in stock index futures Yes (g) Writing or investing in options on futures Yes (h) Writing or investing in options on stock index futures Yes (i) Writing or investing in other commodity futures No (j) Investments in restricted securities Yes (k) Investments in shares of other investment companies Yes (l) Investments in securities of foreign issuers Yes (m) Currency exchange transactions Yes (n) Loaning portfolio securities Yes (o) Borrowing of money Yes (p) Purchases/sales by certain exempted affiliated persons Yes (q) Margin purchases No (r) Short selling No The UBS Funds - UBS U.S. Large Cap Equity Fund INVESTMENT PRACTICES This page being filed for series. 0 70 ACTIVITY PERMITTED BY INVESTMENT POLICIES (Y OR N) ENGAGED IN THIS PERIOD (Y OR N) (a) Writing or investing in repurchase agreements Yes (b) Writing or investment in options on equities Yes (c) Writing or investing in options on debt securities Yes (d) Writing or investing in options on stock indices Yes (e) Writing or investing in interest rate futures Yes (f) Writing or investing in stock index futures Yes (g) Writing or investing in options on futures Yes (h) Writing or investing in options on stock index futures Yes (i) Writing or investing in other commodity futures No (j) Investments in restricted securities Yes (k) Investments in shares of other investment companies Yes (l) Investments in securities of foreign issuers Yes (m) Currency exchange transactions No (n) Loaning portfolio securities Yes (o) Borrowing of money Yes (p) Purchases/sales by certain exempted affiliated persons Yes (q) Margin purchases No (r) Short selling No The UBS Funds - UBS Core Plus Bond Fund (formerly, UBS U.S. Bond Fund) INVESTMENT PRACTICES This page being filed for series. 0 70 ACTIVITY PERMITTED BY INVESTMENT POLICIES (Y OR N) ENGAGED IN THIS PERIOD (Y OR N) (a) Writing or investing in repurchase agreements Yes (b) Writing or investment in options on equities Yes (c) Writing or investing in options on debt securities Yes (d) Writing or investing in options on stock indices Yes (e) Writing or investing in interest rate futures Yes (f) Writing or investing in stock index futures Yes (g) Writing or investing in options on futures Yes (h) Writing or investing in options on stock index futures Yes (i) Writing or investing in other commodity futures No (j) Investments in restricted securities Yes (k) Investments in shares of other investment companies Yes (l) Investments in securities of foreign issuers Yes (m) Currency exchange transactions Yes (n) Loaning portfolio securities Yes (o) Borrowing of money Yes (p) Purchases/sales by certain exempted affiliated persons Yes (q) Margin purchases No (r) Short selling No The UBS Funds - UBS U.S. Small Cap Growth Fund INVESTMENT PRACTICES This page being filed for series. 0 70 ACTIVITY PERMITTED BY INVESTMENT POLICIES (Y OR N) ENGAGED IN THIS PERIOD (Y OR N) (a) Writing or investing in repurchase agreements Yes (b) Writing or investment in options on equities Yes (c) Writing or investing in options on debt securities Yes (d) Writing or investing in options on stock indices Yes (e) Writing or investing in interest rate futures Yes (f) Writing or investing in stock index futures Yes (g) Writing or investing in options on futures Yes (h) Writing or investing in options on stock index futures Yes (i) Writing or investing in other commodity futures No (j) Investments in restricted securities Yes (k) Investments in shares of other investment companies Yes (l) Investments in securities of foreign issuers Yes (m) Currency exchange transactions Yes (n) Loaning portfolio securities Yes (o) Borrowing of money Yes (p) Purchases/sales by certain exempted affiliated persons Yes (q) Margin purchases No (r) Short selling Yes The UBS Funds - UBS U.S. Equity Opportunity Fund (formerly, UBS U.S. Large Cap Value Equity Fund) INVESTMENT PRACTICES This page being filed for series. 0 70 ACTIVITY PERMITTED BY INVESTMENT POLICIES (Y OR N) ENGAGED IN THIS PERIOD (Y OR N) (a) Writing or investing in repurchase agreements Yes (b) Writing or investment in options on equities Yes (c) Writing or investing in options on debt securities Yes (d) Writing or investing in options on stock indices Yes (e) Writing or investing in interest rate futures Yes (f) Writing or investing in stock index futures Yes (g) Writing or investing in options on futures Yes (h) Writing or investing in options on stock index futures Yes (i) Writing or investing in other commodity futures No (j) Investments in restricted securities Yes (k) Investments in shares of other investment companies Yes (l) Investments in securities of foreign issuers Yes (m) Currency exchange transactions Yes (n) Loaning portfolio securities Yes (o) Borrowing of money Yes (p) Purchases/sales by certain exempted affiliated persons Yes (q) Margin purchases No (r) Short selling No The UBS Funds - UBS Dynamic Alpha Fund INVESTMENT PRACTICES This page being filed for series. 0 70 ACTIVITY PERMITTED BY INVESTMENT POLICIES (Y OR N) ENGAGED IN THIS PERIOD (Y OR N) (a) Writing or investing in repurchase agreements Yes (b) Writing or investment in options on equities Yes (c) Writing or investing in options on debt securities Yes (d) Writing or investing in options on stock indices Yes (e) Writing or investing in interest rate futures Yes (f) Writing or investing in stock index futures Yes (g) Writing or investing in options on futures Yes (h) Writing or investing in options on stock index futures Yes (i) Writing or investing in other commodity futures Yes (j) Investments in restricted securities Yes (k) Investments in shares of other investment companies Yes (l) Investments in securities of foreign issuers Yes (m) Currency exchange transactions Yes (n) Loaning portfolio securities Yes (o) Borrowing of money Yes (p) Purchases/sales by certain exempted affiliated persons Yes (q) Margin purchases No (r) Short selling Yes The UBS Funds - UBS U.S. Defensive Equity Fund (Formerly, UBS U.S. Equity Alpha Fund) INVESTMENT PRACTICES This page being filed for series. 0 70 ACTIVITY PERMITTED BY INVESTMENT POLICIES (Y OR N) ENGAGED IN THIS PERIOD (Y OR N) (a) Writing or investing in repurchase agreements Yes (b) Writing or investment in options on equities Yes (c) Writing or investing in options on debt securities Yes (d) Writing or investing in options on stock indices Yes (e) Writing or investing in interest rate futures Yes (f) Writing or investing in stock index futures Yes (g) Writing or investing in options on futures Yes (h) Writing or investing in options on stock index futures Yes (i) Writing or investing in other commodity futures Yes (j) Investments in restricted securities Yes (k) Investments in shares of other investment companies Yes (l) Investments in securities of foreign issuers Yes (m) Currency exchange transactions Yes (n) Loaning portfolio securities Yes (o) Borrowing of money Yes (p) Purchases/sales by certain exempted affiliated persons Yes (q) Margin purchases No (r) Short selling Yes The UBS Funds - UBS Asset Growth Fund (Formerly, UBS Global Frontier Fund) INVESTMENT PRACTICES This page being filed for series. 0 70 ACTIVITY PERMITTED BY INVESTMENT POLICIES (Y OR N) ENGAGED IN THIS PERIOD (Y OR N) (a) Writing or investing in repurchase agreements Yes (b) Writing or investment in options on equities Yes (c) Writing or investing in options on debt securities Yes (d) Writing or investing in options on stock indices Yes (e) Writing or investing in interest rate futures Yes (f) Writing or investing in stock index futures Yes (g) Writing or investing in options on futures Yes (h) Writing or investing in options on stock index futures Yes (i) Writing or investing in other commodity futures Yes (j) Investments in restricted securities Yes (k) Investments in shares of other investment companies Yes (l) Investments in securities of foreign issuers Yes (m) Currency exchange transactions Yes (n) Loaning portfolio securities Yes (o) Borrowing of money Yes (p) Purchases/sales by certain exempted affiliated persons Yes (q) Margin purchases No (r) Short selling No The UBS Funds - UBS Emerging Markets Equity Fund INVESTMENT PRACTICES This page being filed for series. 0 70 ACTIVITY PERMITTED BY INVESTMENT POLICIES (Y OR N) ENGAGED IN THIS PERIOD (Y OR N) (a) Writing or investing in repurchase agreements Yes (b) Writing or investment in options on equities Yes (c) Writing or investing in options on debt securities Yes (d) Writing or investing in options on stock indices Yes (e) Writing or investing in interest rate futures Yes (f) Writing or investing in stock index futures Yes (g) Writing or investing in options on futures Yes (h) Writing or investing in options on stock index futures Yes (i) Writing or investing in other commodity futures No (j) Investments in restricted securities Yes (k) Investments in shares of other investment companies Yes (l) Investments in securities of foreign issuers Yes (m) Currency exchange transactions Yes (n) Loaning portfolio securities Yes (o) Borrowing of money Yes (p) Purchases/sales by certain exempted affiliated persons Yes (q) Margin purchases No (r) Short selling Yes The UBS Funds - UBS Emerging Markets Debt Fund INVESTMENT PRACTICES This page being filed for series. 0 70 ACTIVITY PERMITTED BY INVESTMENT POLICIES (Y OR N) ENGAGED IN THIS PERIOD (Y OR N) (a) Writing or investing in repurchase agreements Yes (b) Writing or investment in options on equities No (c) Writing or investing in options on debt securities Yes (d) Writing or investing in options on stock indices No (e) Writing or investing in interest rate futures Yes (f) Writing or investing in stock index futures No (g) Writing or investing in options on futures Yes (h) Writing or investing in options on stock index futures No (i) Writing or investing in other commodity futures No (j) Investments in restricted securities Yes (k) Investments in shares of other investment companies Yes (l) Investments in securities of foreign issuers Yes (m) Currency exchange transactions Yes (n) Loaning portfolio securities Yes (o) Borrowing of money Yes (p) Purchases/sales by certain exempted affiliated persons Yes (q) Margin purchases No (r) Short selling Yes The UBS Funds - UBS Equity Long-Short Multi-Strategy Fund (formerly, UBS Market Neutral Multi-Strategy Fund) INVESTMENT PRACTICES This page being filed for series. 0 70 ACTIVITY PERMITTED BY INVESTMENT POLICIES (Y OR N) ENGAGED IN THIS PERIOD (Y OR N) (a) Writing or investing in repurchase agreements Yes (b) Writing or investment in options on equities Yes (c) Writing or investing in options on debt securities Yes (d) Writing or investing in options on stock indices Yes (e) Writing or investing in interest rate futures Yes (f) Writing or investing in stock index futures Yes (g) Writing or investing in options on futures Yes (h) Writing or investing in options on stock index futures Yes (i) Writing or investing in other commodity futures No (j) Investments in restricted securities Yes (k) Investments in shares of other investment companies Yes (l) Investments in securities of foreign issuers Yes (m) Currency exchange transactions Yes (n) Loaning portfolio securities Yes (o) Borrowing of money Yes (p) Purchases/sales by certain exempted affiliated persons Yes (q) Margin purchases No (r) Short selling yes The UBS Funds - UBS Fixed Income Opportunities Fund INVESTMENT PRACTICES This page being filed for series. 0 70 ACTIVITY PERMITTED BY INVESTMENT POLICIES (Y OR N) ENGAGED IN THIS PERIOD (Y OR N) (a) Writing or investing in repurchase agreements Yes (b) Writing or investment in options on equities Yes (c) Writing or investing in options on debt securities Yes (d) Writing or investing in options on stock indices Yes (e) Writing or investing in interest rate futures Yes (f) Writing or investing in stock index futures Yes (g) Writing or investing in options on futures Yes (h) Writing or investing in options on stock index futures Yes (i) Writing or investing in other commodity futures Yes (j) Investments in restricted securities Yes (k) Investments in shares of other investment companies Yes (l) Investments in securities of foreign issuers Yes (m) Currency exchange transactions Yes (n) Loaning portfolio securities Yes (o) Borrowing of money Yes (p) Purchases/sales by certain exempted affiliated persons Yes (q) Margin purchases No (r) Short selling No The UBS Funds - UBS Multi-Asset Income Fund INVESTMENT PRACTICES This page being filed for series. 0 70 ACTIVITY PERMITTED BY INVESTMENT POLICIES (Y OR N) ENGAGED IN THIS PERIOD (Y OR N) (a) Writing or investing in repurchase agreements Yes (b) Writing or investment in options on equities Yes (c) Writing or investing in options on debt securities Yes (d) Writing or investing in options on stock indices Yes (e) Writing or investing in interest rate futures Yes (f) Writing or investing in stock index futures Yes (g) Writing or investing in options on futures Yes (h) Writing or investing in options on stock index futures Yes (i) Writing or investing in other commodity futures Yes (j) Investments in restricted securities Yes (k) Investments in shares of other investment companies Yes (l) Investments in securities of foreign issuers Yes (m) Currency exchange transactions Yes (n) Loaning portfolio securities Yes (o) Borrowing of money Yes (p) Purchases/sales by certain exempted affiliated persons Yes (q) Margin purchases No (r) Short selling No The UBS Funds - UBS Municipal Bond Fund INVESTMENT PRACTICES This page being filed for series. 0 70 ACTIVITY PERMITTED BY INVESTMENT POLICIES (Y OR N) ENGAGED IN THIS PERIOD (Y OR N) (a) Writing or investing in repurchase agreements Yes (b) Writing or investment in options on equities Yes (c) Writing or investing in options on debt securities Yes (d) Writing or investing in options on stock indices Yes (e) Writing or investing in interest rate futures Yes (f) Writing or investing in stock index futures Yes (g) Writing or investing in options on futures Yes (h) Writing or investing in options on stock index futures Yes (i) Writing or investing in other commodity futures No (j) Investments in restricted securities Yes (k) Investments in shares of other investment companies Yes (l) Investments in securities of foreign issuers No (m) Currency exchange transactions No (n) Loaning portfolio securities Yes (o) Borrowing of money Yes (p) Purchases/sales by certain exempted affiliated persons Yes (q) Margin purchases No (r) Short selling No
FORM 10f-3 Rule 144A Securities FUND: UBS Dynamic Alpha Fund Name of Adviser or Sub-Adviser: UBS Global Asset Management (Americas) Inc. 1. Issuer: Medtronic Inc. 3.15% due 03/15/2022 2. Date of Purchase: 12/01/2014 3. Date offering commenced: 12/01/2014 4. Underwriter(s) from whom purchased: Merrill Lynch Financial Center. 5. "Affiliated Underwriter" managing or participating in syndicate: UBS Investment Bank 6. Aggregate principal amount or number of shares purchased: $14,504,621.85 firmwide 7. Aggregate principal amount or total number of shares of offering: $2,494,775,000 8. Purchase price (net of fees and expenses): $99.791 9. Initial public offering price: $99.791 10. Commission, spread or profit: _0.40__% $____________ 11. Have the following conditions been satisfied? YES NO a. The securities are sold in an offering exempt from registration under Section 4(2) of the Securities Act of 1933, Rule 144A or Regulation D. b. The securities are sold to persons reasonably believed to be "qualified institutional buyers" ("QIBs"). c. The securities are reasonably believed to be eligible for resale to other QIBs. d. The securities were purchased prior to the end of the first day on which any sales are made (or, if a rights offering, the securities were purchased on or before the fourth day preceding the day on which the offering terminated). X_______ X_______ X_______ X_______ _______ _______ _______ _______ e. The securities were purchased at a price not more than the price paid by each other purchaser in the offering or any concurrent offering. f. The underwriting was a firm commitment underwriting. YES X_______ X_______ NO _______ g. The commission, spread or profit was reasonable and fair in relation to that being received by others for underwriting similar securities during the same period. X_______ _______ h. The issuer of the securities and any predecessor has been in continuous operation for not less than three years. X_______ _______ i. The amount of such securities purchased by the Fund and all other accounts over which the Adviser (or Sub-Adviser, if applicable) exercises investment discretion did not exceed 25% of the principal amount of the offering. X_______ _______ j. No Affiliated Underwriter benefited directly or indirectly from the purchase. X_______ _______ Note: Refer to the Rule 10f-3 Procedures for the definitions of the capitalized terms above. In particular, "Affiliated Underwriter" is defined as affiliates of the Adviser or Sub-Adviser participating in a selling syndicate, as applicable. Approved: /s/ Tim Winstone Date: 12/11/2014___ Print Name: Tim Winstone FORM 10f-3 Rule 144A Securities FUND: UBS Equity Long-Short Multi-Strategy Fund Name of Adviser or Sub-Adviser: UBS Global Asset Management (Americas) Inc. 1. Issuer: Molecular Partners AG 2. Date of Purchase: 11/05/2014 3. Date offering commenced: 11/05/2014 4. Underwriter(s) from whom purchased: JP Morgan 5. "Affiliated Underwriter" managing or participating in syndicate: UBS Investment Bank 6. Aggregate principal amount or number of shares purchased: $375,000 shares firmwide 7. Aggregate principal amount or total number of shares of offering: 4,400,000 shares 8. Purchase price (net of fees and expenses): $22.40 9. Initial public offering price: $22.40 10. Commission, spread or profit: _1% fee $____________ 11. Have the following conditions been satisfied? YES NO a. The securities are sold in an offering exempt from registration under Section 4(2) of the Securities Act of 1933, Rule 144A or Regulation D. b. The securities are sold to persons reasonably believed to be "qualified institutional buyers" ("QIBs"). c. The securities are reasonably believed to be eligible for resale to other QIBs. d. The securities were purchased prior to the end of the first day on which any sales are made (or, if a rights offering, the securities were purchased on or before the fourth day preceding the day on which the offering terminated). X_______ X_______ X_______ X_______ _______ _______ _______ _______ e. The securities were purchased at a price not more than the price paid by each other purchaser in the offering or any concurrent offering. f. The underwriting was a firm commitment underwriting. YES X_______ X_______ NO _______ g. The commission, spread or profit was reasonable and fair in relation to that being received by others for underwriting similar securities during the same period. X_______ _______ h. The issuer of the securities and any predecessor has been in continuous operation for not less than three years. X_______ _______ i. The amount of such securities purchased by the Fund and all other accounts over which the Adviser (or Sub-Adviser, if applicable) exercises investment discretion did not exceed 25% of the principal amount of the offering. X_______ _______ j. No Affiliated Underwriter benefited directly or indirectly from the purchase. X_______ _______ Note: Refer to the Rule 10f-3 Procedures for the definitions of the capitalized terms above. In particular, "Affiliated Underwriter" is defined as affiliates of the Adviser or Sub-Adviser participating in a selling syndicate, as applicable. Approved: /s/ Nick Irish Date: 11/24/2014___ Print Name: Nick Irish FORM 10f-3 Registered Domestic Securities and Government Securities FUND: UBS Dynamic Alpha Fund Name of Adviser or Sub-Adviser: UBS Global Asset Management (Americas) Inc. 1. Issuer: Aetna Inc. 3.5% due 11/15/2014 2. Date of Purchase: 11/03/2014 3. Date offering commenced: 11/03/204 4. Underwriter(s) from whom purchased: Citigroup Global Markets 5. "Affiliated Underwriter" managing or participating in syndicate: UBS Investment Bank_______________ 6. Aggregate principal amount or number of shares purchased: $4,979,050 firmwide 7. Aggregate principal amount or total number of shares of offering: $746,857,500 8. Purchase price (net of fees and expenses): $_$99.581______ 9. Initial public offering price: $99.581______ 10. Commission, spread or profit: 0.4%______ 11. Have the following conditions been satisfied? YES NO a. The securities are part of an issue registered under the Securities Act of 1933 that is being offered to the public, or is part of an issue of government securities (as defined in section 2(a)(16) of the 1940 Act). b. The securities were purchased prior to the end of the first day on which any sales are made (or, if a rights offering, the securities were purchased on or before the fourth day preceding the day on which the offering terminated). c. The securities purchased at a price not more then the price paid by each other purchaser in the offering. d. The underwriting was a firm commitment underwriting. X_______ X_______ X_______ X_______ _______ _______ _______ _______ e. The commission, spread or profit was reasonable and fair in relation to that being received by others for underwriting similar securities during the same period. f. The issuer of the securities and any predecessor has been in continuous operation for not less than three years. X_______ X_______ _______ _______ g. The amount of such securities purchased by the Fund and all other accounts over which the Adviser (or Sub-Adviser, if applicable) exercises investment discretion did not exceed 25% of the principal amount of the offering. X_______ _______ h. No Affiliated Underwriter benefited directly or indirectly from the purchase. X_______ _______ Note: Refer to the Rule 10f-3 Procedures for the definitions of the capitalized terms above. In particular, "Affiliated Underwriter" is defined as affiliates of the Adviser or Sub-Adviser participating in a selling syndicate, as applicable. Approved: /s/ Vivek Acharya _______________________ Date: 11/18/2014 Print Name: Vivek Acharya______________________________________________ FORM 10f-3 Registered Domestic Securities and Government Securities FUND: UBS Dynamic Alpha Fund Name of Adviser or Sub-Adviser: UBS Global Asset Management (Americas) Inc. 1. Issuer: Freeport-McMoRan Inc. 4% due 11/15/2021 2. Date of Purchase: 11/12/2014 3. Date offering commenced: 11/12/204 4. Underwriter(s) from whom purchased: Merrill Lynch Financial Centre 5. "Affiliated Underwriter" managing or participating in syndicate: UBS Investment Bank_______________ 6. Aggregate principal amount or number of shares purchased: $6,973,330 firmwide 7. Aggregate principal amount or total number of shares of offering: $597,714,000 8. Purchase price (net of fees and expenses): $99.619______ 9. Initial public offering price: $99.619______ 10. Commission, spread or profit: 0.6%______ 11. Have the following conditions been satisfied? YES NO a. The securities are part of an issue registered under the Securities Act of 1933 that is being offered to the public, or is part of an issue of government securities (as defined in section 2(a)(16) of the 1940 Act). b. The securities were purchased prior to the end of the first day on which any sales are made (or, if a rights offering, the securities were purchased on or before the fourth day preceding the day on which the offering terminated). c. The securities purchased at a price not more then the price paid by each other purchaser in the offering. d. The underwriting was a firm commitment underwriting. X_______ X_______ X_______ X_______ _______ _______ _______ _______ e. The commission, spread or profit was reasonable and fair in relation to that being received by others for underwriting similar securities during the same period. f. The issuer of the securities and any predecessor has been in continuous operation for not less than three years. X_______ X_______ _______ _______ g. The amount of such securities purchased by the Fund and all other accounts over which the Adviser (or Sub-Adviser, if applicable) exercises investment discretion did not exceed 25% of the principal amount of the offering. X_______ _______ h. No Affiliated Underwriter benefited directly or indirectly from the purchase. X_______ _______ Note: Refer to the Rule 10f-3 Procedures for the definitions of the capitalized terms above. In particular, "Affiliated Underwriter" is defined as affiliates of the Adviser or Sub-Adviser participating in a selling syndicate, as applicable. Approved: /s/ Vivek Acharya _______________________ Date: 11/18/2014 Print Name: Vivek Acharya______________________________________________ FORM 10f-3 Registered Domestic Securities and Government Securities FUND: UBS U.S. Small Cap Growth Fund Name of Adviser or Sub-Adviser: UBS Global Asset Management (Americas) Inc. 1. Issuer: Hubspot Inc 2. Date of Purchase: 10/09/2014 3. Date offering commenced: 10/09/2014 4. Underwriter(s) from whom purchased: Morgan Stanley & Pacific Crest 5. "Affiliated Underwriter" managing or participating in syndicate: UBS Investment Bank_______________ 6. Aggregate principal amount or number of shares purchased: 77,000 shares (firmwide) 7. Aggregate principal amount or total number of shares of offering: 5,000,000 shares 8. Purchase price (net of fees and expenses): $25.000______ 9. Initial public offering price: $25.000______ 10. Commission, spread or profit: 1.05______ 11. Have the following conditions been satisfied? YES NO a. The securities are part of an issue registered under the Securities Act of 1933 that is being offered to the public, or is part of an issue of government securities (as defined in section 2(a)(16) of the 1940 Act). b. The securities were purchased prior to the end of the first day on which any sales are made (or, if a rights offering, the securities were purchased on or before the fourth day preceding the day on which the offering terminated). c. The securities purchased at a price not more then the price paid by each other purchaser in the offering. d. The underwriting was a firm commitment underwriting. X_______ X_______ X_______ X_______ _______ _______ _______ _______ e. The commission, spread or profit was reasonable and fair in relation to that being received by others for underwriting similar securities during the same period. f. The issuer of the securities and any predecessor has been in continuous operation for not less than three years. X_______ X_______ _______ _______ g. The amount of such securities purchased by the Fund and all other accounts over which the Adviser (or Sub-Adviser, if applicable) exercises investment discretion did not exceed 25% of the principal amount of the offering. X_______ _______ h. No Affiliated Underwriter benefited directly or indirectly from the purchase. X_______ _______ Note: Refer to the Rule 10f-3 Procedures for the definitions of the capitalized terms above. In particular, "Affiliated Underwriter" is defined as affiliates of the Adviser or Sub-Adviser participating in a selling syndicate, as applicable. Approved: /s/ David Wabnik _______________________ Date: 10/13/2014 Print Name: David Wabnik______________________________________________ FORM 10f-3 Registered Domestic Securities and Government Securities FUND: UBS U.S. Small Cap Growth Fund Name of Adviser or Sub-Adviser: UBS Global Asset Management (Americas) Inc. 1. Issuer: New Relic, Inc. 2. Date of Purchase: 12/11/2014 3. Date offering commenced: 12/11/2014 4. Underwriter(s) from whom purchased: Morgan Stanley 5. "Affiliated Underwriter" managing or participating in syndicate: UBS Investment Bank_______________ 6. Aggregate principal amount or number of shares purchased: 32,500 shares (firmwide) 7. Aggregate principal amount or total number of shares of offering: 5,750,000 shares 8. Purchase price (net of fees and expenses): $23.00____ 9. Initial public offering price: $23.000______ 10. Commission, spread or profit: $.966______ 11. Have the following conditions been satisfied? YES NO a. The securities are part of an issue registered under the Securities Act of 1933 that is being offered to the public, or is part of an issue of government securities (as defined in section 2(a)(16) of the 1940 Act). b. The securities were purchased prior to the end of the first day on which any sales are made (or, if a rights offering, the securities were purchased on or before the fourth day preceding the day on which the offering terminated). c. The securities purchased at a price not more then the price paid by each other purchaser in the offering. d. The underwriting was a firm commitment underwriting. X_______ X_______ X_______ X_______ _______ _______ _______ _______ e. The commission, spread or profit was reasonable and fair in relation to that being received by others for underwriting similar securities during the same period. f. The issuer of the securities and any predecessor has been in continuous operation for not less than three years. X_______ X_______ _______ _______ g. The amount of such securities purchased by the Fund and all other accounts over which the Adviser (or Sub-Adviser, if applicable) exercises investment discretion did not exceed 25% of the principal amount of the offering. X_______ _______ h. No Affiliated Underwriter benefited directly or indirectly from the purchase. X_______ _______ Note: Refer to the Rule 10f-3 Procedures for the definitions of the capitalized terms above. In particular, "Affiliated Underwriter" is defined as affiliates of the Adviser or Sub-Adviser participating in a selling syndicate, as applicable. Approved: /s/ David Wabnik_______________________ Date: 12/19/2014 Print Name: David Wabnik______________________________________________ FORM 10f-3 Registered Domestic Securities and Government Securities FUND: UBS Dynamic Alpha Fund Name of Adviser or Sub-Adviser: UBS Global Asset Management (Americas) Inc. 1. Issuer: Philip Morris Int'l Inc. 4.25% due 11/10/2044 2. Date of Purchase: 11/03/2014 3. Date offering commenced: 11/03/2014 4. Underwriter(s) from whom purchased: HSBC Bank 5. "Affiliated Underwriter" managing or participating in syndicate: UBS Investment Bank_______________ 6. Aggregate principal amount or number of shares purchased: $7,781,680 firmwide 7. Aggregate principal amount or total number of shares of offering: $729,532,500 8. Purchase price (net of fees and expenses): $97.271____ 9. Initial public offering price: $97.271______ 10. Commission, spread or profit: .75%______ 11. Have the following conditions been satisfied? YES NO a. The securities are part of an issue registered under the Securities Act of 1933 that is being offered to the public, or is part of an issue of government securities (as defined in section 2(a)(16) of the 1940 Act). b. The securities were purchased prior to the end of the first day on which any sales are made (or, if a rights offering, the securities were purchased on or before the fourth day preceding the day on which the offering terminated). c. The securities purchased at a price not more then the price paid by each other purchaser in the offering. d. The underwriting was a firm commitment underwriting. X_______ X_______ X_______ X_______ _______ _______ _______ _______ e. The commission, spread or profit was reasonable and fair in relation to that being received by others for underwriting similar securities during the same period. f. The issuer of the securities and any predecessor has been in continuous operation for not less than three years. X_______ X_______ _______ _______ g. The amount of such securities purchased by the Fund and all other accounts over which the Adviser (or Sub-Adviser, if applicable) exercises investment discretion did not exceed 25% of the principal amount of the offering. X_______ _______ h. No Affiliated Underwriter benefited directly or indirectly from the purchase. X_______ _______ Note: Refer to the Rule 10f-3 Procedures for the definitions of the capitalized terms above. In particular, "Affiliated Underwriter" is defined as affiliates of the Adviser or Sub-Adviser participating in a selling syndicate, as applicable. Approved: /s/ Vivek Acharya______________________ Date: 10/06/2014 Print Name: Vivek Acharya______________________________________________ FORM 10f-3 Registered Domestic Securities and Government Securities FUND: UBS U.S. Small Cap Growth Fund Name of Adviser or Sub-Adviser: UBS Global Asset Management (Americas) Inc. 1. Issuer: Yodlee Inc. 2. Date of Purchase: 10/03/2014 3. Date offering commenced: 10/03/204 4. Underwriter(s) from whom purchased: Goldman Sachs & Pacific Crest 5. "Affiliated Underwriter" managing or participating in syndicate: UBS Investment Bank_______________ 6. Aggregate principal amount or number of shares purchased: $254,000 (firmwide) 7. Aggregate principal amount or total number of shares of offering: $6,250,000 8. Purchase price (net of fees and expenses): $12.000____ 9. Initial public offering price: $12.000______ 10. Commission, spread or profit: $0.504______ 11. Have the following conditions been satisfied? YES NO a. The securities are part of an issue registered under the Securities Act of 1933 that is being offered to the public, or is part of an issue of government securities (as defined in section 2(a)(16) of the 1940 Act). b. The securities were purchased prior to the end of the first day on which any sales are made (or, if a rights offering, the securities were purchased on or before the fourth day preceding the day on which the offering terminated). c. The securities purchased at a price not more then the price paid by each other purchaser in the offering. d. The underwriting was a firm commitment underwriting. X_______ X_______ X_______ X_______ _______ _______ _______ _______ e. The commission, spread or profit was reasonable and fair in relation to that being received by others for underwriting similar securities during the same period. f. The issuer of the securities and any predecessor has been in continuous operation for not less than three years. X_______ X_______ _______ _______ g. The amount of such securities purchased by the Fund and all other accounts over which the Adviser (or Sub-Adviser, if applicable) exercises investment discretion did not exceed 25% of the principal amount of the offering. X_______ _______ h. No Affiliated Underwriter benefited directly or indirectly from the purchase. X_______ _______ Note: Refer to the Rule 10f-3 Procedures for the definitions of the capitalized terms above. In particular, "Affiliated Underwriter" is defined as affiliates of the Adviser or Sub-Adviser participating in a selling syndicate, as applicable. Approved: /s/ David Wabnik______________________ Date: 11/21/2014 Print Name: David Wabnik______________________________________________
FORM 10f-3 Registered Domestic Securities and Government Securities FUND: UBS Dynamic Alpha Fund Name of Adviser or Sub-Adviser: UBS Global Asset Management (Americas) Inc. 1. Issuer: HSBC Holdings PLC 6.375% Perpetual Call 09/17/2024 2. Date of Purchase: 09/10/2014 3. Date offering commenced: 09/10/2014 4. Underwriter(s) from whom purchased: HSBC 5. "Affiliated Underwriter" managing or participating in syndicate: UBS Investment Bank_______________ 6. Aggregate principal amount or number of shares purchased: $2,000,000 firmwide 7. Aggregate principal amount or total number of shares of offering: $2,250,000,000 8. Purchase price (net of fees and expenses): $100.00____ 9. Initial public offering price: $100.00______ 10. Commission, spread or profit: 1.00%______ 11. Have the following conditions been satisfied? YES NO a. The securities are part of an issue registered under the Securities Act of 1933 that is being offered to the public, or is part of an issue of government securities (as defined in section 2(a)(16) of the 1940 Act). b. The securities were purchased prior to the end of the first day on which any sales are made (or, if a rights offering, the securities were purchased on or before the fourth day preceding the day on which the offering terminated). c. The securities purchased at a price not more then the price paid by each other purchaser in the offering. d. The underwriting was a firm commitment underwriting. X_______ X_______ X_______ X_______ _______ _______ _______ _______ e. The commission, spread or profit was reasonable and fair in relation to that being received by others for underwriting similar securities during the same period. f. The issuer of the securities and any predecessor has been in continuous operation for not less than three years. X_______ X_______ _______ _______ g. The amount of such securities purchased by the Fund and all other accounts over which the Adviser (or Sub-Adviser, if applicable) exercises investment discretion did not exceed 25% of the principal amount of the offering. X_______ _______ h. No Affiliated Underwriter benefited directly or indirectly from the purchase. X_______ _______ Note: Refer to the Rule 10f-3 Procedures for the definitions of the capitalized terms above. In particular, "Affiliated Underwriter" is defined as affiliates of the Adviser or Sub-Adviser participating in a selling syndicate, as applicable. Approved: /s/ Tim Winstone______________________ Date: 9/15/2014 Print Name: Tim Winstone______________________________________________ FORM 10f-3 Registered Domestic Securities and Government Securities FUND: UBS Dynamic Alpha Fund Name of Adviser or Sub-Adviser: UBS Global Asset Management (Americas) Inc. 1. Issuer: Marathon Petroleum Corp 3.625% due 09/15/2024 2. Date of Purchase: 09/02/2014 3. Date offering commenced: 09/02/2014 4. Underwriter(s) from whom purchased: Mitsubishi UFJ 5. "Affiliated Underwriter" managing or participating in syndicate: UBS Investment Bank_______________ 6. Aggregate principal amount or number of shares purchased: $3,487,435 firmwide 7. Aggregate principal amount or total number of shares of offering: $747,307,500 8. Purchase price (net of fees and expenses): $99.641____ 9. Initial public offering price: $99.641______ 10. Commission, spread or profit: 0.65%______ 11. Have the following conditions been satisfied? YES NO a. The securities are part of an issue registered under the Securities Act of 1933 that is being offered to the public, or is part of an issue of government securities (as defined in section 2(a)(16) of the 1940 Act). b. The securities were purchased prior to the end of the first day on which any sales are made (or, if a rights offering, the securities were purchased on or before the fourth day preceding the day on which the offering terminated). c. The securities purchased at a price not more then the price paid by each other purchaser in the offering. d. The underwriting was a firm commitment underwriting. X_______ X_______ X_______ X_______ _______ _______ _______ _______ e. The commission, spread or profit was reasonable and fair in relation to that being received by others for underwriting similar securities during the same period. f. The issuer of the securities and any predecessor has been in continuous operation for not less than three years. X_______ X_______ _______ _______ g. The amount of such securities purchased by the Fund and all other accounts over which the Adviser (or Sub-Adviser, if applicable) exercises investment discretion did not exceed 25% of the principal amount of the offering. X_______ _______ h. No Affiliated Underwriter benefited directly or indirectly from the purchase. X_______ _______ Note: Refer to the Rule 10f-3 Procedures for the definitions of the capitalized terms above. In particular, "Affiliated Underwriter" is defined as affiliates of the Adviser or Sub-Adviser participating in a selling syndicate, as applicable. Approved: /s/ Tim Winstone______________________ Date: 9/11/2014 Print Name: Tim Winstone______________________________________________ FORM 10f-3 Rule 144A Securities FUND: UBS Dynamic Alpha Fund Name of Adviser or Sub-Adviser: UBS Global Asset Management (Americas) Inc. 1. Issuer: Teachers Insurance & Annuity Association of America 4.9% due 09/15/2044 2. Date of Purchase: 09/15/2014 3. Date offering commenced: 09/15/2014 4. Underwriter(s) from whom purchased: JP Morgan London 5. "Affiliated Underwriter" managing or participating in syndicate: UBS Investment Bank 6. Aggregate principal amount or number of shares purchased: $9,990,700 firmwide 7. Aggregate principal amount or total number of shares of offering: $1,648,465,500 8. Purchase price (net of fees and expenses): $99.907 9. Initial public offering price: $95.907 10. Commission, spread or profit: _0.875________% $____________ 11. Have the following conditions been satisfied? YES NO a. The securities are sold in an offering exempt from registration under Section 4(2) of the Securities Act of 1933, Rule 144A or Regulation D. b. The securities are sold to persons reasonably believed to be "qualified institutional buyers" ("QIBs"). c. The securities are reasonably believed to be eligible for resale to other QIBs. d. The securities were purchased prior to the end of the first day on which any sales are made (or, if a rights offering, the securities were purchased on or before the fourth day preceding the day on which the offering terminated). X_______ X_______ X_______ X_______ _______ _______ _______ _______ e. The securities were purchased at a price not more than the price paid by each other purchaser in the offering or any concurrent offering. f. The underwriting was a firm commitment underwriting. YES X_______ X_______ NO _______ g. The commission, spread or profit was reasonable and fair in relation to that being received by others for underwriting similar securities during the same period. X_______ _______ h. The issuer of the securities and any predecessor has been in continuous operation for not less than three years. X_______ _______ i. The amount of such securities purchased by the Fund and all other accounts over which the Adviser (or Sub-Adviser, if applicable) exercises investment discretion did not exceed 25% of the principal amount of the offering. X_______ _______ j. No Affiliated Underwriter benefited directly or indirectly from the purchase. X_______ _______ Note: Refer to the Rule 10f-3 Procedures for the definitions of the capitalized terms above. In particular, "Affiliated Underwriter" is defined as affiliates of the Adviser or Sub-Adviser participating in a selling syndicate, as applicable. Approved: /s/ Tim Winstone Date:_9/18/2014______ Print Name: Tim Winstone
For period ending December 31, 2014 Exhibit 77D File number 811-06637 Exhibit 77Q1 At the June 5-6, 2014 Board Meeting, the Board of Trustees of The UBS Funds approved changing, respectively, the UBS U.S. Large Cap Equity Fund's and UBS U.S. Small Cap Growth Fund's definition of "large capitalization companies" and "small capitalization companies" so that the market capitalization range is tied to each Fund's benchmark index. For period ending December 31, 2014 Exhibit 77D File number 811-06637 Exhibit 77Q1 At the September 25-26, 2014 Board Meeting, the Board of Trustees of The UBS Funds approved permitting the UBS Dynamic Alpha Fund's Portfolio Management team to take views on volatility levels to the benefit of the Fund as well as to hedge volatility in the Fund's portfolio. For period ending December 31, 2014 Exhibit 77Q1 File number 811-06637 Exhibit 77Q1(e) INVESTMENT ADVISORY AGREEMENT AGREEMENT made this 28th day of October, 2014, by and between The UBS Funds, a Delaware statutory trust (the "Trust") and UBS Global Asset Management (Americas) Inc., a Delaware corporation (the "Advisor"). 1. Duties of the Advisor. The Trust hereby appoints the Advisor to act as investment advisor to the UBS Municipal Bond Fund (the "Series") for the period and on such terms set forth in this Agreement. The Trust employs the Advisor to manage the investment and reinvestment of the assets of the Series, to continuously review, supervise and administer the investment program of the Series, to determine in its discretion the assets to be held uninvested, to provide the Trust with records concerning the Advisor's activities which the Trust is required to maintain, and to render regular reports to the Trust's officers and Board of Trustees concerning the Advisor's discharge of the foregoing responsibilities. The Advisor shall discharge the foregoing responsibilities subject to the control of the officers and the Board of Trustees of the Trust, and in compliance with the objectives, policies and limitations set forth in the Trust's Prospectus and Statement of Additional Information. The Advisor accepts such employment and agrees to render the services and to provide, at its own expense, the office space, furnishings, equipment and the personnel required by it to perform the services on the terms and for the compensation provided herein. With respect to foreign securities, at its own expense, the Advisor may obtain statistical and other factual information and advice regarding economic factors and trends from its foreign subsidiaries, and may obtain investment services from the investment advisory personnel of its affiliates located throughout the world to the extent permitted under interpretations of the federal securities laws. 2. Portfolio Transactions. The Advisor shall provide the Series with a trading department, and with respect to foreign securities, the Advisor is authorized to utilize the trading departments of its foreign affiliates. The Advisor shall select, and with respect to its foreign affiliates or the use of any sub-advisors, shall monitor the selection of, the brokers or dealers that will execute the purchases and sales of securities for the Series and is directed to use its best efforts to ensure that the best available price and most favorable execution of securities transactions for the Series are obtained. Subject to policies established by the Board of Trustees of the Trust and communicated to the Advisor, it is understood that the Advisor will not be deemed to have acted unlawfully, or to have breached a fiduciary duty to the Trust or in respect of the Series, or be in breach of any obligation owing to the Trust or in respect of the Series under this Agreement, or otherwise, solely by reason of its having caused the Series to pay a member of a securities exchange, a broker or a dealer a commission for effecting a securities transaction for the Series in excess of the amount of commission another member of an exchange, broker or dealer would have charged if the Advisor determines in good faith that the commission paid was reasonable in relation to the brokerage or research services provided by such member, broker or dealer, viewed in terms of that particular transaction or the Advisor's overall responsibilities with respect to the Series and to other funds and advisory accounts for which the Advisor or any Sub-Advisor, as defined in Section 8 hereof, exercises investment discretion. The Advisor will promptly communicate to the officers and trustees of the Trust such information relating to the Series transactions as they may reasonably request. 3. Compensation of the Advisor. For the services to be rendered by the Advisor as provided in Sections 1 and 2 of this Agreement, the Series shall pay to the Advisor within five business days after the end of each calendar month, a monthly fee of one twelfth of the effective advisory fee rate multiplied by the Series' average daily net assets for the month. The effective advisory fee rate is calculated according to the following fee schedule: 0.40% of assets under management. In the event of termination of this Agreement, the fee provided in this Section 3 shall be paid on a pro rata basis, based on the number of days when this Agreement was in effect. 4. Reimbursement of Fee Waivers and Expense Reimbursements. If on any day during which this Agreement is in effect, the estimated annualized Operating Expenses (as defined below) of the Series for that day are less than the Operating Expense Limit (as defined below), the Advisor shall be entitled to reimbursement by the Series of the investment management fees waived or reduced, and of any expense reimbursements or similar payments remitted by the Advisor to the Series pursuant to the Advisor's agreement to limit the Series' Operating Expenses (the "Reimbursement Amount") during any of the previous three (3) years, to the extent that the Series' annualized Operating Expenses, plus the amount so reimbursed, equals, for such day, the Operating Expense Limit, provided that such amount paid to the Advisor will in no event exceed the total Reimbursement Amount and will not include any amounts previously reimbursed by the Series to the Advisor. For purposes of this Section 4: (i) "Operating Expenses" shall include the ordinary operating expenses incurred by the Series in any fiscal year, including, without limitation, management fees paid to the Advisor, but excluding interest, taxes, brokerage commissions, other investment-related costs, securities loan fees and dividend expense for securities sold short, expenses incurred through investment in other investment companies and extraordinary expenses not incurred in the ordinary course of the Series' business; and (ii) "Operating Expense Limit" shall mean the rate of the "Total Expense Limit" as a percentage of average daily net assets of the Series as stated in the then current registration statement of the Series, plus any distribution or service fees under Rule 12b-1 under the Investment Company Act of 1940 and/or shareholder service fees as described in the then current registration statement of the Series, as determined from time to time by the Board of Trustees of the Trust. 5. Reports. The Series and the Advisor agree to furnish to each other such information regarding their operations with regard to their affairs as each may reasonably request. 6. Status of Advisor. The services of the Advisor to the Series are not to be deemed exclusive, and the Advisor shall be free to render similar services to others so long as its services to the Series are not impaired thereby. 7. Liability of Advisor. In the absence of willful misfeasance, bad faith, gross negligence or reckless disregard by the Advisor of its obligations and duties hereunder, the Advisor shall not be subject to any liability whatsoever to the Series, or to any shareholder of the Series, for any error of judgment, mistake of law or any other act or omission in the course of, or connected with, rendering services hereunder including, without limitation, for any losses that may be sustained in connection with the purchase, holding, redemption or sale of any security on behalf of the Series. 8. Delegation of Responsibilities to Sub-Advisors. The Advisor may, at its expense, select and contract with one or more affiliated or unaffiliated investment advisors registered under the Investment Advisers Act of 1940 ("Sub-Advisors") to perform some or all of the services for the Series for which it is responsible under this Agreement. The Advisor will compensate any Sub-Advisor for its services to the Series. The Advisor may terminate the services of any Sub-Advisor at any time in its sole discretion, and shall at such time assume the responsibility of such Sub-Advisor unless and until a successor Sub-Advisor is selected and the requisite approval of the Series' shareholders is obtained. The Advisor will continue to have responsibility for all advisory services furnished by any Sub-Advisor. 9. Duration and Termination. This Agreement shall become effective on October 28, 2014 provided that first it is approved by the Board of Trustees of the Trust, including a majority of those trustees who are not parties to this Agreement or interested persons of any party hereto, in the manner provided in Section 15(c) of the Investment Company Act of 1940, as amended (the "1940 Act") and by the holders of a majority of the outstanding voting securities of the Series; and shall continue in effect for an initial period of two years. Thereafter, this Agreement may continue in effect only if such continuance is approved at least annually by: (i) the Trust's Board of Trustees; or (ii) by the vote of a majority of the outstanding voting securities of the Series; and in either event by a vote of a majority of those trustees of the Trust who are not parties to this Agreement or interested persons of any such party in the manner provided in Section 15(c) of the 1940 Act. This Agreement may be terminated by the Trust at any time, without the payment of any penalty, by the Board of Trustees of the Trust or by vote of the holders of a majority of the outstanding voting securities of the Series on 60 days' written notice to the Advisor. This Agreement may be terminated by the Advisor at any time, without the payment of any penalty, upon 60 days' written notice to the Trust. This Agreement will automatically terminate in the event of its assignment. Any notice under this Agreement shall be given in writing, addressed and delivered or mailed postpaid, to the other party at the principal office of such party. As used in this Section 9, the terms "assignment," "interested person," and "a vote of a majority of the outstanding voting securities" shall have the respective meanings set forth in Section 2(a)(4), Section 2(a)(19) and Section 2(a)(42) of the 1940 Act and Rule 18f-2 thereunder. 10. Name of Advisor. The parties agree that the Advisor has a proprietary interest in the name "UBS," and the Trust agrees to promptly take such action as may be necessary to delete from its corporate name and/or the name of the Series any reference to the name of the Advisor promptly after receipt from the Advisor of a written request therefor. 11. Severability. If any provisions of this Agreement shall be held or made invalid by a court decision, statute, rule or otherwise, the remainder of this Agreement shall not be affected thereby. 12. Amendment of this Agreement. No provision of this Agreement may be changed, waived, discharged or terminated orally, but only by an instrument in writing signed by the party against which enforcement of the change, waiver, discharge or termination is sought, and no material amendment of this Agreement shall be effective until approved by vote of a majority of the Series' outstanding voting securities. IN WITNESS WHEREOF, the parties hereto have caused this Agreement to be executed as of this 28th day of October, 2014. THE UBS FUNDS THE UBS FUNDS By: /s/ Tammie Lee By: /s/ Thomas Disbrow Name: Tammie Lee Name: Thomas Disbrow Title: Vice President and Assistant Secretary Title: Treasurer and Principal Accounting Officer UBS GLOBAL ASSET MANAGEMENT (AMERICAS) INC. UBS GLOBAL ASSET MANAGEMENT (AMERICAS) INC. By: /s/ Joseph J. Allessie By: /s/ Mark Kemper Name: Joseph J. Allessie Name: Mark Kemper Title: Chief Compliance Officer Title: Managing Director and General Counsel The UBS Funds 2