About UBS Liquidity Management

A history of innovation and excellence stretching back more than 130 years.

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Stable firm

For over 40 years, our clients–corporations, governments, hedge funds and other institutional and high-net-worth investors–have relied upon us to provide them with competitive performance within a conservative, risk-managed framework. We work with them to obtain a thorough understanding of their liquidity needs and investment policies, and then develop tailored solutions to satisfy those requirements. Our experience and track record have attracted USD 152 billion in liquidity management solutions worldwide, a testament to our depth and stability.1

 

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Stable solutions

Principal stability is key for most liquidity strategies. Our portfolio managers have experience delivering principal stability in all market environments. Whether a mutual fund or custom portfolio, stringent risk management is integrated throughout the investment process. Guidelines are clearly defined and adherence is rigorously maintained by multiple groups including independent compliance and risk control teams.

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Stable team

The liquidity management solutions we offer – and the team of people behind them – have helped UBS Asset Management become a leader in liquidity management. Our experienced portfolio management team is supported by our global credit analyst team to provide the focused expertise and continuity institutional investors seek when entrusting their assets to an investment manager. We further leverage the research of a robust team of equity analysts and sustainable investing specialists.

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