Achieving a solid 19% return over the last year, the UCB Income Plus Fund, overseen by UCB Asset Management, has established itself as a premier investment option in Bangladesh’s fixed-income sector.
Since its inception in July 2023, the fund has generated a cumulative return of 30%.
Fully supported by Government Treasury Bills and Bonds, the fund guarantees zero default risk, robust liquidity, and secure capital preservation. This framework has made it a favored option for conservative investors looking for steady returns with minimal risk exposure.
With assets under management surpassing Tk280 crore, the UCB Income Plus Fund has become one of the most reliable names in the fixed income investment arena.
“We extend our gratitude to our investors, regulators, and supporters for their continued trust,” stated Shekh Mohammad Rashedul Hasan, Managing Director and CEO of UCB Asset Management. “This achievement highlights our methodical investment strategy and our dedication to safeguarding and enhancing our investors’ capital. We remain committed to reaching even greater heights in the future.”
The impressive performance of the UCB Income Plus Fund highlights the growing significance of fixed income products in Bangladesh’s investment landscape, offering both security and appealing yields amid a challenging economic climate.

