0001450791-13-000278.txt : 20130820 0001450791-13-000278.hdr.sgml : 20130820 20130820102124 ACCESSION NUMBER: 0001450791-13-000278 CONFORMED SUBMISSION TYPE: 497 PUBLIC DOCUMENT COUNT: 3 FILED AS OF DATE: 20130820 DATE AS OF CHANGE: 20130820 EFFECTIVENESS DATE: 20130820 FILER: COMPANY DATA: COMPANY CONFORMED NAME: UBS FUNDS CENTRAL INDEX KEY: 0000886244 IRS NUMBER: 367056204 STATE OF INCORPORATION: DE FISCAL YEAR END: 0630 FILING VALUES: FORM TYPE: 497 SEC ACT: 1933 Act SEC FILE NUMBER: 033-47287 FILM NUMBER: 131049949 BUSINESS ADDRESS: STREET 1: C/O UBS GLOBAL ASSET MANAGEMENT (AMERICA STREET 2: ONE NORTH WACKER DR. CITY: CHICAGO STATE: IL ZIP: 60606 BUSINESS PHONE: 312-525-7100 MAIL ADDRESS: STREET 1: C/O UBS GLOBAL ASSET MANAGEMENT (AMERICA STREET 2: ONE NORTH WACKER DR. CITY: CHICAGO STATE: IL ZIP: 60606 FORMER COMPANY: FORMER CONFORMED NAME: BRINSON FUNDS INC DATE OF NAME CHANGE: 19920929 0000886244 S000002978 UBS U.S. Large Cap Equity Fund C000008178 Class A BNEQX C000008180 CLASS C BNQCX C000008181 CLASS Y BPEQX 0000886244 S000002979 UBS GLOBAL ALLOCATION FUND C000008182 CLASS A BNGLX C000008184 CLASS C BNPCX C000008185 CLASS Y BPGLX 0000886244 S000002980 UBS INTERNATIONAL EQUITY FUND C000008186 CLASS A BNIEX C000008188 CLASS C BNICX C000008189 CLASS Y BNUEX 0000886244 S000002981 UBS CORE PLUS BOND FUND C000008190 CLASS A BNBDX C000008192 CLASS C BNOCX C000008193 CLASS Y BPBDX 0000886244 S000002982 UBS U.S. EQUITY OPPORTUNITY FUND C000008194 CLASS A BNVAX C000008196 CLASS C BNVCX C000008197 CLASS Y BUSVX 0000886244 S000002985 UBS U.S. SMALL CAP GROWTH FUND C000008206 CLASS A BNSCX C000008208 CLASS C BNMCX C000008209 CLASS Y BISCX 0000886244 S000003133 UBS EMERGING MARKETS DEBT FUND C000008495 CLASS A C000008497 CLASS C C000008498 CLASS Y 0000886244 S000003135 UBS DYNAMIC ALPHA FUND C000008503 CLASS A BNAAX C000008505 CLASS C BNACX C000008506 CLASS Y BNAYX 0000886244 S000013001 UBS U.S. Defensive Equity Fund C000035135 Class A BEAAX C000035136 Class C BEACX C000035137 Class Y BEAYX 0000886244 S000017860 UBS Global Frontier Fund C000049576 Class A BGFAX C000049577 Class C BGFCX C000049578 Class Y BGFYX 0000886244 S000029392 UBS Equity Long-Short Multi-Strategy Fund C000090281 CLASS A C000090282 CLASS C C000090283 CLASS Y 0000886244 S000030411 UBS Fixed Income Opportunities Fund C000093446 CLASS A C000093447 CLASS C C000093448 CLASS Y 0000886244 S000036835 UBS Multi-Asset Income Fund C000112651 Class A C000112652 Class C C000112653 Class Y 497 1 saisupplenemnts.htm saisupplenemnts.htm
 
 
 
 
 
 
 
 The UBS Funds
 
 
 SAI Supplement
 



The UBS Funds
UBS Dynamic Alpha Fund
UBS Global Allocation Fund
UBS Global Frontier Fund
UBS Multi-Asset Income Fund
UBS Equity Long-Short Multi-Strategy Fund
UBS International Equity Fund
UBS U.S. Equity Opportunity Fund
UBS U.S. Large Cap Equity Fund
UBS U.S. Small Cap Growth Fund
UBS Core Plus Bond Fund
UBS Emerging Markets Debt Fund
UBS Fixed Income Opportunities Fund
 
Supplement to the Statement of Additional Information


August 20, 2013

Dear Investor,

The purpose of this supplement is to update the Statement of Additional Information (“SAI”) of the above-listed series of The UBS Funds dated October 29, 2012 related to certain additional compensation paid to Wells Fargo Advisors, LLC, Wells Fargo Advisors Financial Network, LLC and First Clearing, LLC.

Accordingly, the SAI is hereby revised as follows, effective immediately:

The section captioned “Reduced sales charges, additional purchase, exchange and redemption information and other services” and sub-captioned “Additional compensation to financial institution(s)” and further sub-captioned “Wells Fargo Advisors, LLC, Wells Fargo Advisors Financial Network, LLC, First Clearing, LLC (collectively, “Wells Fargo”)” beginning on page 109 of the SAI is deleted in its entirety and replaced by the following:

Wells Fargo Advisors, LLC, Wells Fargo Advisors Financial Network, LLC, First Clearing, LLC (collectively, “Wells Fargo”)

With respect to Fund Shares, UBS Global AM (US), per written agreement between said parties, pays Wells Fargo additional compensation as follows: (i) an annual fee of 0.13% (13 basis points), payable quarterly, on the total assets under management for any fund or funds held by Wells Fargo’s customers or (ii) $250,000, whichever is greater. “Fund Shares” for purposes of the Wells Fargo agreement means all classes of shares of the funds and certain other funds in the UBS Fund complex where Wells Fargo is the broker-dealer of record. This applies to both retail and advisory assets but does not apply to advisory fee based ERISA accounts. It does apply, however, to individual retirement accounts not covered by ERISA.

The foregoing payments are made by UBS Global AM (US) out of its own resources. Such payments are often referred to as “revenue sharing.”

PLEASE BE SURE TO RETAIN THIS IMPORTANT INFORMATION FOR FUTURE REFERENCE.


ZS-633


 
 

 

 
 
 
 The UBS Funds
 
 
 SAI Supplement
 
 

 

The UBS Funds
UBS U.S. Defensive Equity Fund
 
Supplement to the Statement of Additional Information


August 20, 2013

Dear Investor,

The purpose of this supplement is to update the Statement of Additional Information (“SAI”) of the UBS U.S. Defensive Equity Fund series of The UBS Funds dated January 28, 2013 related to certain additional compensation paid to Wells Fargo Advisors, LLC, Wells Fargo Advisors Financial Network, LLC and First Clearing, LLC.

Accordingly, the SAI is hereby revised as follows, effective immediately:

The section captioned “Reduced sales charges, additional purchase, exchange and redemption information and other services” and sub-captioned “Additional compensation to financial institution(s)” and further sub-captioned “Wells Fargo Advisors, LLC, Wells Fargo Advisors Financial Network, LLC, First Clearing, LLC (collectively, “Wells Fargo”)” on page 55 of the SAI is deleted in its entirety and replaced by the following:

Wells Fargo Advisors, LLC, Wells Fargo Advisors Financial Network, LLC, First Clearing, LLC (collectively, “Wells Fargo”)

With respect to Fund Shares, UBS Global AM (US), per written agreement between said parties, pays Wells Fargo additional compensation as follows: (i) an annual fee of 0.13% (13 basis points), payable quarterly, on the total assets under management for the Fund held by Wells Fargo’s customers or (ii) $250,000, whichever is greater. “Fund Shares” for purposes of the Wells Fargo agreement means all classes of shares of the Fund and certain other funds in the UBS Fund complex where Wells Fargo is the broker-dealer of record. This applies to both retail and advisory assets but does not apply to advisory fee based ERISA accounts. It does apply, however, to individual retirement accounts not covered by ERISA.

The foregoing payments are made by UBS Global AM (US) out of its own resources. Such payments are often referred to as “revenue sharing.”

PLEASE BE SURE TO RETAIN THIS IMPORTANT INFORMATION FOR FUTURE REFERENCE.


ZS-634

 
 
 
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