UBS
Overseas Equity Portfolio Current Unit Values

Daily
11/19/08 11/18/08 11/17/08 11/14/08 11/13/08 11/12/08 11/11/08 11/10/08 11/07/08 11/06/08
27.288 29.283 29.371 30.093 31.781 29.477 30.651 31.606 31.831 30.178

11/05/08 11/04/08 11/03/08
32.206 33.392 31.289

Monthly
10/31/08 9/30/08 8/29/08 7/31/08 6/30/08 5/30/08 4/30/08 3/31/08 2/29/08 1/31/08
30.973 40.184 44.204 45.253 45.403 49.700 48.592 45.030 46.831 48.999

12/31/07 11/30/07 10/31/07 9/28/07 8/31/07 7/31/07 6/29/07 5/31/07 4/30/07 3/30/07
51.317 53.437 54.235 52.633 51.462 51.919 53.158 54.104 52.294 50.579

Year-end
12/31/07
51.317

2008 Year-To-Date Return:1 -46.82%

Unit values reflect the close-of-business unit value for each date shown.

1"2008 Year-To-Date Return" reflects the actual time weighted rate of return for the Portfolio from 12/31/07 through and including the most recent date for which a unit value is shown. Fees, which can vary by client, are charged to the participating plan and not to the Portfolio. This representation of performance is not intended to reflect the actual performance an account could have experienced after the deduction of fees. The deduction of fees and the compounding effect of such deductions over time will reduce a client's return. For example, an account with a 2.5% fee deducted quarterly and a 20% gross annualized performance will have net performance after fees of about 17% per year, a reduction of 3% per year. Compounding will similarly affect the account's performance on a cumulative basis, as will timing and other individual account factors. No representation as to future results can be made from past performance.

    UBS Financial Services Inc.