Funds Authorised in February 2015
|
|
- Marshall Hoover
- 6 years ago
- Views:
Transcription
1 Fund Date of Authorisation Management Company/AIF Management Company Trustee UCITS Schemes Authorised in February SGA Funds 02 February KBA Consulting Management Limited State Street Custodial Services (Ireland) Limited SGA Global Growth Fund 02 February 5 George's Dock 78 Sir John Rogerson's Quay Cygnus UCITS Funds 13 February Cygnus Asset Management SGIIC S.A. Société Générale S.A., Dublin Branch Cygnus Value Fund 13 February Suero de Quinones rd Floor Madrid House Spain Designated Investment Companies Authorised in February Gatemore Funds plc 09 February Gatemore Capital Management LLP Deutsche Bank AG Gatemore Diversified Growth Fund 09 February 14 Cavendish Place Pinnacle 2 Gatemore Long Gilt Fund 09 February London W1G 9DJ Eastpoint Business Park United Kingdom Dublin 3 Zeno (Ireland) Funds plc 17 February DMS Offshore Management Services (Europe) Limited Northern Trust Fiduciary Services (Ireland) Limited Zeno (Ireland) Fund I 17 February North Wall Quay Georges Court Quorthon Funds plc 20 February Northern Trust Fiduciary Services (Ireland) Limited Quorthon Market Neutral Fund 20 February Georges Court ILIM Property Fund plc 24 February Summit Asset Managers Limited Northern Trust Fiduciary Services (Ireland) Limited Clyde Property Fund 24 February Beresford Court Georges Court Beresford Place Hines GREIT Fund II Ireland Fund plc 26 February Hines Luxembourg Investment Management S.a.r.l Northern Trust Fiduciary Services (Ireland) Limited Hines GREIT II Bishop Fund 26 February 205 Route d'arlon Georges Court L-1150 Luxembourg Common Contractual Fund Schemes Authorised in February Investment Limited Partnerships Authorised in February
2 Unit Trust Schemes Authorised in February BRE Ireland Real Estate Fund 10 February Blackstone/GSO Debt Funds Management Europe II Limited BNY Mellon Trust Company (Ireland) Limited The Atrium Fund 10 February O'Connell Bridge house Guild House D'Olier Street Guild Street RiverRock European Capital Master Fund II 16 February RiverRock European Capital Management Limited Deutsche Bank AG RiverRock Dynamic Credit Fund 16 February Pinnacle 2 Pinnacle 2 Eastpoint Business Park Eastpoint Business Park Dublin 3 Dublin 3 PVE European Distressed Fund 1 24 February Sciens Group Risk Services Limited SMT Trustees (Ireland) Limited 4th Floor Block 5 25 Berkeley Square Harcourt Centre London W1J 6HN Harcourt Road SUB-FUNDS Authorised in February UCITS Sub Funds Authorised in February PIMCO Funds: Global Investors Series plc 28 January 1998 PIMCO Global Advisors (Ireland) Limited Brown Brothers Harriman Trustee Services (Ireland) Limited US Small Cap StocksPLUS Fund 04 February Styne House Styne House Upper Hatch Street Upper Hatch Street AXA Rosenberg Equity Alpha Trust 17 September 1999 Axa Rosenberg Management Ireland Limited State Street Custodial Services (Ireland) Limited AXA Rosenberg Global Emerging Markets Small Cap Alpha Fund 11 February 78 Sir John Rogerson's Quay 78 Sir John Rogerson's Quay CQS Funds (Ireland) plc 12 August 2010 State Street Custodial Services (Ireland) Limited CQS Global Convertible Fund (UCITS) 12 February 78 Sir John Rogerson's Quay GFS UCITS Fund plc 30 June 2014 GFS Management (Ireland) Limited BNY Mellon Trust Company (Ireland) Limited GFS Halcyon Liquid Opportunities Fund 12 February 2nd Floor Hanover Building Beaux Lane House Windmill Lane Mercer Street Lower Gemini Investment Funds plc 11 November 2010 N/A RBC Investor Services Bank S.A. Mariana Risk Optimum Fund 12 February George's Quay House 43 Townsend Street ishares IV plc 13 November 2009 BlackRock Asset Management Ireland Limited State Street Custodial Services (Ireland) Limited ishares ibonds Sep 2018 USD Corporate UCITS ETF 13 February JPMorgan House 78 Sir John Rogerson's Quay
3 Mediolanum Best Brands 27 October 1998 Mediolanum International Funds Limited RBC Investor Services Bank S.A. Equilibrium 16 February 2 Shelbourne Buildings George's Quay House Socially Responsible Collection 16 February Shelbourne Road 43 Townsend Street Financial Income Strategy 16 February Ballsbridge Dublin 4 ishares plc 14 February 2000 BlackRock Asset Management Ireland Limited State Street Custodial Services (Ireland) Limited ishares MSCI Europe ex-uk GBP Hedged UCITS ETF 20 February JPMorgan House 78 Sir John Rogerson's Quay Pramerica Funds plc 27 November 2013 N/A State Street Custodial Services (Ireland) Limited Pramerica Global Total Return UCITS Fund 20 February 78 Sir John Rogerson's Quay ACPI Global UCITS Funds plc 02 March 2010 Capita Financial Managers (Ireland) Limited BNY Mellon Trust Company (Ireland) Limited Q ACPI India Fixed Income Fund 20 February 2nd Floor Hanover Building 2 Grand Canal Square Windmill Lane Diadema International Funds 30 November 2009 European and Global Investments Limited RBC Investor Services Bank S.A. Diadema Global Selection Fund 25 February 17 Upper Pembroke Street George's Quay House Diadema Global Opportunities Fund 25 February 43 Townsend Street Putnam World Trust 22 February 2000 Putnam Investments (Ireland) Limited State Street Custodial Services (Ireland) Limited Putnam Multi-Asset Absolute Return Fund I 27 February 1 North Wall Quay 78 Sir John Rogerson's Quay Putnam Multi-Asset Absolute Return Fund II 27 February Oneshare plc 10 March 2010 N/A Northern Trust Fiduciary Services (Ireland) Limited NBAD WEC Africa Asia Frontier Markets 27 February George's Court FundLogic Alternatives plc 27 July 2010 N/A Northern Trust Fiduciary Services (Ireland) Limited MS Fideuram Equity Smart Beta Dynamic Protection 80 Fund - II 19 February George's Court GLG Investments VI plc 21 December 2007 GLG Partners Asset Management Limited BNY Mellon Trust Company (Ireland) Limited Man Numeric Market Neutral Alternative 20 February 70 Sir John Rogerson's Quay Hanover Building Windmill Lane Sanlam Universal Funds plc 16 May 2001 Sanlam Asset Management (Ireland) Limited Brown Brothers Harriman Trustee Services (Ireland) Limited Anchor Global Equity Fund 20 February Beech House 30 Herbert Street Beech Hill Office Campus Beech Hill Road
4 Dublin 4 ishares III plc 06 March 2008 BlackRock Asset Management Ireland Limited State Street Custodial Services (Ireland) Limited ishares MSCI Target UK Real Estate UCITS ETF 17 February JP Morgan House 78 Sir John Rogerson's Quay Fisher Investments Institutional Fund 10 May 2011 N/A State Street Custodial Services (Ireland) Limited Fisher Investments Institutional Frontier Markets Equity Fund 18 February 78 Sir John Rogerson's Quay GMO Unit Trust 13 July 2007 GMO Investment Management Company (Ireland) Limited Brown Brothers Harriman Trustee Services (Ireland) Limited GMO Global Real Return (UCITS) Feeder Fund 16 February Styne House 30 Herbert Street Uppert Hatch Street Hedge Invest International Funds plc 30 May 2011 N/A JP Morgan Bank (Ireland) plc HI Africa Opportunities Fund 20 February JP Morgan House 1 George's Dock Concept Fund Solutions plc 15 December 2004 N/A State Street Custodial Services (Ireland) Limited Deutsche Beta Plus European Equity Fund 27 February 78 Sir John Rogerson's Quay Designated Investment Company Sub-Funds Authorised in February Targeted Investment Opportunities plc 02 July 2013 Targeted Investment Opportunies plc Northern Trust Fiduciary Services (Ireland) Limited CBD Fund Ø 06 February 25/28 North Wall Quay George's Court Insight LDI Solutions Plus plc 31 March 2006 N/A Northern Trust Fiduciary Services (Ireland) Limited Insight Secured Finance FundØ 10 February George's Court Crown A Generix plc 31 October 2012 LGT Capital Partners (Ireland) Limited Credit Suisse International LGT α generix Concordia Salus Sub-Fund 17 February Segrave House Kilmore Hosue 19/20 Earlsfort Terrace Park Lane Spencer Dock
5 Unit Trust Sub Funds Authorised in February Aon Hewitt Bespoke Client Funds# 19 July 2013 Aon Hewitt Management Company Limited BNY Mellon Trust Company (Ireland) Limited Aon Hewitt Bespoke Fund H03 16 February 33 Sir John Rogerson's Quay Hanover Building Aon Hewitt Bespoke Fund R02 16 February Windmill Lane ICG Credit Funds# 28 September 2007 Carne Global Fund Services Limited State Street Custodial Services (Ireland) Limited ICG UUC Senior Loans Fund 20 February 2nd Floor, Block E 78 Sir John Rogerson's Quay Iveagh Court Harcourt Road Lothbury Global Real Estate Funds# 01 August 2008 Lothbury Investment Management Limited Northern Trust Fiduciary Services (Ireland) Limited CRIF Durham Fund 25 February 155 Bishopgate George's Court CRIF St Andrews Fund 25 February London Lothbury Combined Residential Investment Fund 25 February EC2M 3TQ AXA IM DEIS# 09 June 2014 AXA Investment Managers Ireland Limited State Street Custodial Services (Ireland) Limited AXA IM DEIS 3 25 February 33 Sir John Rogerson's Quay 78 Sir John Rogerson's Quay Swiss Capital PRO Non-Traditional Funds 22 December 2005 Swiss Capital Invest Holding (Dublin) Limited Northern Trust Fiduciary Services (Ireland) Limited Swiss Capital PRO Disintermediation I FundØ 20 February George's Court George's Court Insight Umbrella Holdings Trust # 12 February 2014 Northern Trust Fund Services (Ireland) Limited Northern Trust Fiduciary Services (Ireland) Limited Insight Holdings Fund 4 27 February George's Court George's Court Common Contractual Fund Sub Funds Authorised in February Key * This fund may be marketed to Professional Investors only in accordance with the Central Bank s notice number NU12 and therefore a minimum subscription of at least Euro 100,000 is required This fund was authorised by the Central Bank as a closed-ended scheme. Ø This fund was authorised by the Central Bank as an open-ended scheme with limited liquidity # This fund may be marketed to Qualifying Investors only in accordance with the Central Bank s notice NU 24/AIF Rulebook and therefore a minimum subscription of Euro 100,000 is required. This fund was authorised by the Central Bank as an umbrella scheme which may comprise open-ended and/or closed-ended and/or limited liquidity sub-funds.
Funds Authorised in June 2015
Fund Date of Authorisation Management Company/AIF Management Company Trustee UCITS Schemes Authorised in June 7IM Discretionary Funds plc 01 June Capita Financial Managers (Ireland) Limited Northern Trust
More informationFunds Authorised in March 2017
Fund Date of Authorisation Alternative Investment Fund Manager Management Company Depositary UCITS Schemes Authorised in March 2017 HWIC Long-Term Value Strategies UCITS CCF 03 March 2017 N/A Carne Global
More informationFunds Authorised in August United Kingdom Dublin 1
Fund Date of Authorisation Management Company/AIF Management Company Trustee UCITS Schemes Authorised in August N/A AIF Designated Investment Companies Authorised in August Northlight QIAIF PLC # 10 August
More informationCentral Bank of Ireland - UNRESTRICTED
Fund Date of Authorisation Alternative Investment Fund Manager Management Company Depositary UCITS Schemes Authorised in December 2017 JMS ICAV 29 December 2017 N/A MultiConcept Fund Management SA Crédit
More informationFunds Authorised in December 2015
Fund Date of Authorisation Management Company/AIF Management Company Depositary UCITS Schemes Authorised in December M&G Funds 1 ICAV 02 December M&G Securities Limited State Street Custodial Services
More informationAuthorised Unit Trust Schemes Unit Trusts Act, 1990
Authorised Unit Trust Schemes Unit Trusts Act, 1990 The unit trusts listed below are authorised by the Central Bank of Ireland under the Unit Trusts Act, 1990. Unit trusts established before 26 December
More informationNOMURA FUNDS IRELAND PLC. Interim Report and Unaudited Financial Statements for the financial half year ended 30th June, 2016
Interim Report and Unaudited Financial Statements for the financial half year ended Company Registration No. 418598 TABLE OF CONTENTS MANAGEMENT AND ADMINISTRATION 3 GENERAL INFORMATION 4 INVESTMENT MANAGER
More informationNOMURA FUNDS IRELAND PLC. Annual Report and Audited Financial Statements for the financial year ended 31st December, 2016
Annual Report and Audited Financial Statements for the financial year ended Company Registration No. 418598 TABLE OF CONTENTS MANAGEMENT AND ADMINISTRATION 3 GENERAL INFORMATION 4 DIRECTORS REPORT 17 REPORT
More informationForeign collective investment schemes Changes - July 2014
Foreign collective investment schemes Changes - July 2014 Approved for distribution in or from Switzerland: ABN AMRO Multi-Manager Funds Aristotle US Equities (F01036687) Pzena European Equities (F01036688)
More informationCitiFirst Investments plc (An umbrella fund with segregated liability between sub-funds) Interim Report and Condensed Unaudited Financial Statements
(An umbrella fund with segregated liability between sub-funds) Interim Report and Condensed Unaudited Financial Statements Table of Contents Page Company information 3 Manager s report 5 Balance sheet
More informationForeign collective investment schemes Changes - September 2016
Foreign collective investment schemes Changes - September 2016 Approved for distribution in or from Switzerland: Absolute Insight Funds plc (F00163881) Insight Broad Opportunities Fund (F01110091) AIM
More informationRV CAPITAL UCITS FUND ICAV RV CAPITAL UCITS FUND ICAV. Unaudited condensed interim financial statements for the six months ended 30 June 2018
RV CAPITAL UCITS FUND ICAV an Irish collective asset-management vehicle with variable capital constituted as an umbrella fund with segregated liability between sub-funds under the laws of Ireland pursuant
More informationLisnacrieve, Stillorgan Park, Blackrock, County Dublin 1.3.1(g) Business Occupation Consultant (h) Nationality Irish
1.3.1 Director: 1.3.1(a) Surname Dillon 1.3.1(b) Former surname N/A 1.3.1(c) Forename David 1.3.1(d) Former forename N/A 1.3.1(e) Date of Birth 22/10/55 1.3.1(f) Residential Address (usual) Lisnacrieve,
More informationBusiness register name. Business register entity id. Registry of Companies WW46IJKIJQDX19 ISSUED 26/10/ /10/ /12/2017.
Upd LEI List 2, Ireland upd ABD Ugland House, George Town, Grand Cayman KY1-114 Maples Corporate Services, PO Box 39, Ugland House, Grand Cayman Cayman Islands Cayman Islands - Registry of MC-21988 6354EERYO6JZSYDU5
More informationGLG INVESTMENTS PLC PROSPECTUS
GLG INVESTMENTS PLC (An umbrella fund with segregated liability between sub-funds incorporated as a variable capital investment company in Ireland with registered number 252520 and authorised by the Central
More informationWELLINGTON MANAGEMENT FUNDS (IRELAND) PLC
The Directors of the Company, whose names appear in the Management and Administration section herein, accept responsibility for the information contained in this document. To the best of the knowledge
More informationREPORT AND UNAUDITED CONDENSED FINANCIAL STATEMENTS
An umbrella type open-ended investment company with variable capital and segregated liability between Sub-Funds INTERIM REPORT AND UNAUDITED CONDENSED FINANCIAL STATEMENTS FOR THE FINANCIAL PERIOD ENDED
More informationLATITUDE HORIZON FUND (a sub-fund of DMS UCITS Platform ICAV) Unaudited Semi-Annual Financial Statements. For the period ended 30 June 2017
LATITUDE HORIZON FUND (a sub-fund of DMS UCITS Platform ICAV) Unaudited Semi-Annual Financial Statements Contents 30 June 2017 Page Directors and Other Information 2 Statement of Financial Position (Unaudited)
More informationSatrix World Equity Tracker - C Class
FUND OBJECTIVE The investment objective of the Fund is to provide a total return equivalent to that of the MSCI World Index (the Benchmark). KEY QUALITIES The Fund endeavours to replicate the performance
More informationGeneral Investor Report: Analytics International Flexible Fund A sub fund of Ci Global Investments RIAIF ICAV 31 March 2018
General Investor Report: Analytics International Flexible Fund Number of shares 3 744 393 Net asset value of the Fund $48 713 475 Net asset value per share $13.01 TER as at 31 Dec 2017 1.37% Equity 66.24%
More informationIMPORTANT NOTICE TO ALL SHAREHOLDERS OF THE COMPANY
IMPORTANT NOTICE TO ALL SHAREHOLDERS OF THE COMPANY 29 November 2017 Dear Shareholder This letter is to inform you on behalf of the board of directors of the Company (the Board of Directors ) about its
More informationcompany The Smartfund Range Equity investing without riding every wave
1 a company The Smartfund Range Equity investing without riding every wave 2 The S Contents - The Smartfund range - About Smartfund - About Smartfund 80% Protected - Who is involved in the Smartfunds?
More informationNew Capital Alternative Strategies plc
New Capital Alternative Strategies plc Unaudited, Condensed Semi-Annual Report for the period ended 31 December 2017 New Capital Alternative Strategies plc is a company incorporated with limited liability
More informationCITI GLOBAL INTEREST RATES STRATEGY 10 INDEX FUND
CITI GLOBAL INTEREST RATES STRATEGY 10 INDEX FUND SIMPLIFIED PROSPECTUS Dated 24 February 2012 This Simplified Prospectus contains key information in relation to the Citi Global Interest Rates Strategy
More informationTHIS DOCUMENT IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION. IF IN DOUBT, PLEASE SEEK PROFESSIONAL ADVICE
THIS DOCUMENT IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION. IF IN DOUBT, PLEASE SEEK PROFESSIONAL ADVICE MORGAN STANLEY INVESTMENT FUNDS Société d Investissement à Capital Variable Registered office:
More informationBlackRock Tactical Growth Fund - Underlying Funds
BlackRock Tactical Growth Fund - Underlying Funds Dated: 31 August 2017 BlackRock Tactical Growth Fund (previously called the BlackRock Wholesale Balanced Fund) ARSN 088 051 889 BlackRock Management (Australia)
More informationMorgan Stanley Investment Funds Global Balanced Risk Control Fund of Funds
Investment management For Marketing Purposes Only FACTSHEET DATA AS OF October 31, 2017 Morgan Stanley Investment s Global Balanced Risk Control of s Investment objective Seeks an attractive level of total
More informationSEI GLOBAL ASSETS FUND PLC. Annual Report and Audited Financial Statements for the financial year ended 30 June 2017
SEI GLOBAL ASSETS FUND PLC Annual Report and Audited Financial Statements for the financial year ended 30 June 2017 CONTENTS PAGE Directory 3 General Information 4 Directors Report 6 Report of the Depositary
More informationSatrix UK Equity Tracker Fund - A Class (USD)
FUND OBJECTIVE The investment objective of the Fund is to provide capital growth equivalent to that gained from investment in the UK equity markets by tracking the performance of the MSCI UK Daily Net
More informationCONDENSED INTERIM REPORT AND UNAUDITED FINANCIAL STATEMENTS
(An Irish collective asset-management vehicle with variable capital constituted as an umbrella fund with segregated liability between sub-funds pursuant to the European Communities (Undertakings for Collective
More informationMorgan Stanley Investment Funds Asia Opportunity Fund
Investment management For Marketing Purposes Only FACTSHEET DATA AS OF October 31, 2017 Morgan Stanley Investment Funds Asia Opportunity Fund Investment objective Seeks long-term capital appreciation by
More informationSUPPLEMENT DATED 31 MARCH 2017 TO THE BASE PROSPECTUS DATED 22 DECEMBER 2016 BPE FINANCIACIONES, S.A. and BANCO POPULAR ESPAÑOL, S.A.
SUPPLEMENT DATED 31 MARCH 2017 TO THE BASE PROSPECTUS DATED 22 DECEMBER 2016 BPE FINANCIACIONES, S.A. (incorporated with limited liability under the laws of the Kingdom of ) and BANCO POPULAR ESPAÑOL,
More information30. janúar Sjóður / Fund Sjóðsdeildir / Subfunds Heimaríki / Home State 1741 Asset Managment Funds SICAV
30. janúar 2018 Erlendir verðbréfasjóðir sem hafa tilkynnt markaðssetningu á Íslandi í samræmi við 43. gr. laga nr. 30/2003 og 14. og 16. gr. reglugerðar nr. 792/2003 Foreign UCITS which have notified
More informationSEI GLOBAL MASTER FUND PLC
The Directors of SEI Global Master Fund plc whose names appear in the Directory section of this document accept responsibility for the information contained in this document. To the best of the knowledge
More informationSatrix Emerging Market Equity Tracker Fund - A Class (USD)
FUND OBJECTIVE The investment objective of the Fund is to provide capital growth equivalent to that gained from investment in the emerging equity markets by tracking the performance of the MSCI Emerging
More informationFund Background Range and Information
Fund Background Range and Information November 2017 generali-worldwide.com INDEX GUARANTEED RETURN FUNDS... 4 US DOLLAR DEPOSIT ADMINISTRATION... 5 EURO DEPOSIT ADMINISTRATION... 6 STERLING DEPOSIT ADMINISTRATION...
More informationMAN FUNDS PLC. PROSPECTUS (with incorporated Addenda dated 14 October 2016 and 24 November 2016) DATED 6 MAY 2016 (AS OF 1 APRIL 2017)
EXTRACT PROSPECTUS THIS EXTRACT PROSPECTUS IS AN EXTRACT OF THE PROSPECTUS FOR SWITZERLAND ONLY AND DOES NOT CONSTITUTE A PROSPECTUS FOR THE PURPOSES OF IRISH APPLICABLE LAW MAN FUNDS PLC (An umbrella
More informationSINGAPORE INFORMATION MEMORANDUM (the "Information Memorandum") BLACKSTONE ALTERNATIVE INVESTMENT FUNDS PLC (the "Company")
SINGAPORE INFORMATION MEMORANDUM (the "Information Memorandum") BLACKSTONE ALTERNATIVE INVESTMENT FUNDS PLC (the "Company") An umbrella fund with segregated liability between sub-funds, and its sub-fund
More information19. september Sjóður / Fund Sjóðsdeildir / Subfunds Heimaríki / Home State
19. september 2017 Erlendir verðbréfasjóðir sem hafa tilkynnt markaðssetningu á Íslandi í samræmi við 43. gr. laga nr. 30/2003 og 14. og 16. gr. reglugerðar nr. 792/2003 Foreign UCITS which have notified
More informationThe Smartfund 80% Protected Range
The Smartfund 80% Protected Range Protecting your future wealth a company The new Smartfund 80% Protected range offers the returns of multi-asset riskgraded portfolios managed by Smart im, with the benefit
More informationIrish Stock Exchange - Investment Funds. Monthly Report - May Listing Figures. May Year to Date Total as of 31-May-2015
Listing Figures May Year to Date Total as of 31-May- s & Subfunds 18 73 2124 Classes 125 669 7468 Various Guernsey - 35, Malta - 3, Bahamas - 1, Luxembourg - 11, Delaware - 3, Mauritius - 7, Denmark -
More informationBlackRock Cash Fund. Objectives and Investment Policy. Risk and Reward Profile KEY INVESTOR INFORMATION. Class OS Accumulating GBP
BlackRock Cash Fund Objectives and Investment Policy KEY INVESTOR INFORMATION This document provides you with key investor information about this Fund. It is not marketing material. The information is
More informationJ O Hambro Capital Management Umbrella Fund plc.
J O Hambro Capital Management Umbrella Fund plc 2016 Annual Report & Financial Statements for the financial year ended 31 December 2016 www.johcm.co.uk General information Contents General Information
More informationForeign collective investment schemes Changes - July 2017
Foreign collective investment schemes Changes - July 2017 Approved for distribution in or from Switzerland: American Century SICAV (F00163891) Emerging Markets Debt Total Return (F01180251) ARGOS FUNDS
More informationIrish Stock Exchange - Investment Funds. Monthly Report - April Listing Figures. April Year to Date Total as of 30-Apr-2015
Irish Stock Exchange - Investment s Listing Figures April Year to Date Total as of 30-Apr- s & Subfunds 11 55 2132 Classes 114 542 7453 Various Guernsey - 35, Malta - 3, Bahamas - 1, Luxembourg - 10, Delaware
More informationMGI Funds plc. Annual Report and Audited Financial Statements For the financial year ended 30 June 2016
(an umbrella fund with segregated liability between SubFunds) Annual Report and Audited Financial Statements For the financial year ended 30 June 2016 Contents Management and Administration 2 Investment
More informationJ O Hambro Capital Management Umbrella Fund plc.
J O Hambro Capital Management Umbrella Fund plc 2017 Annual Report & Financial Statements for the financial year ended 31 December 2017 www.johcm.co.uk General information Contents General Information
More informationZurich Flexible Personal Pension (Section 61 plan) Zurich Personal Pension (89 plan)
Company sponsored personal pension plans Zurich Flexible Personal Pension (Section 61 plan) Zurich Personal Pension (89 plan) Funds Guide To offer the best value for our customers, we use our global buying
More informationExchange Traded Funds
What is changing? Deutsche Asset Management (Deutsche AM) announced last year that it is re-naming its exchange-traded fund () business. This means db x-trackers where it currently exists in fund names
More informationListing Figures Funds & Subfunds. Year to Date. Classes Year to Date. Fund Type. UCITS QIF 3 23 Other 2 16 Total
Listing Figures s & Subfunds July Year to Date Total as of 31-Jul- 17 107 2471 Classes 194 1115 7215 Various Guernsey - 50, Bahamas - 3, Scotland - 1, Netherlands Antilles - 9, Malta - 3, Mauritius - 7,
More informationProspectus. Legg Mason Global Funds Plc
Prospectus Legg Mason Global Funds Plc An investment company with variable capital incorporated with limited liability in Ireland with registered number 278601 and established as an umbrella fund with
More informationFinEx Physically Backed Funds Plc CONDENSED INTERIM REPORT & UNAUDITED FINANCIAL STATEMENTS
CONDENSED INTERIM REPORT & UNAUDITED FINANCIAL STATEMENTS Contents Page Company Information 2 Company Overview 3 Alternative Investment Fund Manager s Report 4 Statement of Comprehensive Income 5 Statement
More informationCIRCULAR TO SHAREHOLDERS OF
This document is important and requires your immediate attention. If you are in doubt as to the action you should take you should seek advice from your stockbroker, bank manager, solicitor, tax adviser,
More informationCQS Global Convertible Fund (UCITS) Supplement to the Prospectus. for CQS Funds (Ireland) p.l.c.
CQS Global Convertible Fund (UCITS) Supplement to the Prospectus for CQS Funds (Ireland) p.l.c. This Supplement contains specific information in relation to CQS Global Convertible Fund (UCITS) (the Fund),
More informationMANAGED FUNDS PORTFOLIO
MANAGED FUNDS PORTFOLIO Société d'investissement à Capital Variable R.C.S. Luxembourg N B 81 144 LUXEMBOURG For additional information please contact: ING Investment Management P.O. Box 90470 2509 LL The
More informationETF Quarterly Statistics
ETF Quarterly Statistics 2 nd quarter 2015 Development of the ETF segment of SIX Swiss Exchange in the 2 nd quarter of 2015 In the second quarter of 2015, the Swiss stock exchange saw a trading volume
More informationForeign collective investment schemes Changes February 2014
Foreign collective investment schemes Changes February 2014 Approved for distribution in or from Switzerland: AMUNDI TRESO 12 MOIS (F01027439) Representative: CACEIS (Switzerland) SA, Nyon : UCITS AMUNDI
More informationMorgan Stanley Investment Funds Global Opportunity Fund
INVESTMENT MANAGEMENT For Marketing Purposes Only FACTSHEET DATA AS OF OCTOBER 31, 2017 Morgan Stanley Investment Funds Global Opportunity Fund Investment objective Seeks long-term capital appreciation
More informationEFFICIENT CAPITAL CTA INDEX FUND (a sub-fund of DMS UCITS Platform ICAV) Unaudited Semi-Annual Financial Statements. For the period ended 30 June 2017
EFFICIENT CAPITAL CTA INDEX FUND (a sub-fund of DMS UCITS Platform ICAV) Unaudited Semi-Annual Financial Statements Contents 30 June 2017 Page Directors and Other Information 2 Statement of Assets and
More informationAviva Select Funds. An overview of our funds. Retirement Investments Insurance Health
For financial adviser use only. Not approved for use with customers Aviva Select Funds An overview of our funds Retirement Investments Insurance Health Welcome to our range of fully researched funds Aviva
More informationInvestimenti collettivi di capitale esteri Mutazioni - Marzo 2016
Investimenti collettivi di capitale esteri Mutazioni - Marzo 2016 Approvato alla distribuzione in o partire della Svizzera: Allianz Global Investors Fund (F00156112) Allianz Dynamic Multi Asset Strategy
More informationSATRIX GLOBAL FACTOR ENHANCED EQUITY FUND. Supplement to the Prospectus dated 27 February 2018 for Sanlam Universal Funds plc
SATRIX GLOBAL FACTOR ENHANCED EQUITY FUND Supplement to the Prospectus dated 27 February 2018 for Sanlam Universal Funds plc This Supplement contains specific information in relation to Satrix Global Factor
More informationCQS Global Convertible Fund (UCITS) Supplement to the Prospectus. for CQS Funds (Ireland) p.l.c. dated 3 January 2018
CQS Global Convertible Fund (UCITS) Supplement to the Prospectus for CQS Funds (Ireland) p.l.c. dated 3 January 2018 This Supplement contains specific information in relation to CQS Global Convertible
More informationPROSPECTUS. LIONTRUST GLOBAL FUNDS plc
If you are in any doubt about the contents of this Prospectus, you should consult your stockbroker, bank manager, solicitor, accountant or other financial adviser duly authorised in this regard. Shares
More informationVulcan Global Value Fund Plc An umbrella fund with segregated liability between sub-funds
Semi-Annual Report and Unaudited Condensed Financial Statements Vulcan Global Value Fund Plc is an open-ended umbrella investment company with variable capital and with segregated liability between sub-funds,
More informationAnnual Report and Audited Financial Statements
Annual Report and Audited Financial Statements Standard Life Investments Liability Solutions ICAV For the financial year ended 30 September 2017 Standard Life Investments Contents Page Directory 2 Background
More informationCentralised Investment Proposition Model Portfolio 8 Key Investor Information / Simplified Prospectus
Centralised Investment Proposition Model Portfolio 8 Key Investor Information / Simplified Prospectus Portfolio Composition Company Name Fund Name % of total fund Aberdeen UK Property Feeder 5 Baillie
More informationMorgan Stanley Investment Funds
ACTIVE FUNDAMENTAL EQUITY FACTSHEET 28 February 2019 Investors should read the Key Investor Information Document and Prospectus before investing. Morgan Stanley Investment Funds Asia Opportunity Fund -
More informationETF Quarterly Statistics
ETF Quarterly Statistics 4 th quarter 2014 Development of the ETF segment of SIX Swiss Exchange in the 4 th quarter of 2014 In 2014 the Swiss stock exchange saw CHF 90.8 billion of trading volume in ETFs.
More informationMorgan Stanley Investment Funds Frontier Markets Equity Fund
Investment management For Marketing Purposes Only FACTSHEET DATA AS OF August 31, 2017 Morgan Stanley Investment Funds Frontier Markets Equity Fund Investment objective Seeks long-term capital appreciation,
More informationOur Packaged Fund Range
For customers Our Packaged Fund Range Our Packaged Fund Range allows you choice when building your portfolio with your adviser, while still offering the comfort of full governance. The charges listed below
More informationOdey Investments plc. (an umbrella fund with segregated liability between sub-funds) Annual Report and Audited Financial Statements
Investments plc (an umbrella fund with segregated liability between sub-funds) Annual Report and Audited Financial Statements For the year ended 31 December 2015 Investments plc Table of contents Page
More informationTHE SILVER THATCH PENSION PLAN FINANCIAL STATEMENTS JUNE 30, 2017
FINANCIAL STATEMENTS Independent auditor's report To the Trustees of The Silver Thatch Pension Plan Our opinion In our opinion, the financial statements present fairly, in all material respects, the financial
More informationInterim Report and Condensed Unaudited Financial Statements
(an umbrella fund with segregated liability between sub-funds) Interim Report and Condensed Unaudited Financial Statements For the six month financial period ended 30 September 2018 Table of contents Page
More informationMan GLG European Mid-Cap Equity Alternative
This material is of a promotional nature. Man GLG European Mid-Cap Equity Alternative FUND AIM SYNTHETIC RISK & REWARD INDICATOR (SRRI) Man GLG European Mid-Cap Equity Alternative aims to achieve absolute
More informationMIBI Membership List November 2017
MIBI Membership List November 2017 Company Address Telephone VAT Number Company Code ACE European Group Ltd Ageas Insurance Limited AIG Europe Ltd (Ireland Branch) Aioi Nissay Dowa Insurance Company of
More informationDimensional Funds PLC
Dimensional Funds PLC Annual Report and Audited Financial Statements 30 November 2009 Authorised and Regulated by the Financial Services Authority DIMENSIONAL FUNDS PLC Table of Contents Page General Information...2
More informationSource Markets II plc
Source Markets II plc Interim report and unaudited Financial Statements For the financial period ended Source Markets II plc Contents Organisation 1 General Information 2 Investment Manager's report 4
More informationUSD Emerging Markets Sovereign Bond UCITS ETF
JPMORGAN ETFS (IRELAND) ICAV USD Emerging Markets Sovereign Bond UCITS ETF 10 July 2018 (A sub-fund of JPMorgan ETFs (Ireland) ICAV, an Irish collective asset-management vehicle constituted as an umbrella
More informationCUMULATIVE. 3 Months. 6 Months
Base November 20 All percentage growth calculated to /0/ Year Years 5 Years 20 202 20 200 2009 Managed Solutions available in different risk profiles, providing a high level of diversification across multiple
More informationG u i d e d A r c h i t e c t u r e f u n d l i s t
Utmost Wealth Solutions is the brand name used by a number of Utmost companies. This item has been issued by Utmost Limited. G u i d e d A r c h i t e c t u r e f u n d l i s t A b o u t t h i s f u n
More informationFirst State Global Umbrella Fund plc
First State Global Umbrella Fund plc Supplementary Information Document 14 December 2017 This Supplementary Information Document contains key information in relation to First State Global Umbrella Fund
More informationSanlam FOUR Multi-Strategy Fund. Supplement dated 27 February 2018 to the Prospectus dated 27 February for Sanlam Universal Funds plc
Sanlam FOUR Multi-Strategy Fund Supplement dated 27 February 2018 to the Prospectus dated 27 February 2018 for Sanlam Universal Funds plc An umbrella fund with segregated liability between sub-funds This
More informationMIBI Membership List March 2017
MIBI Membership List March 2017 Company Address Telephone VAT Number Company Code ACE European Group Ltd Ageas Insurance Limited AIG Europe Ltd (Ireland Branch) Aioi Nissay Dowa Insurance Company of Europe
More informationPolen Capital Investment Funds plc
(an open-ended umbrella investment company with variable capital and segregated liability between Funds incorporated with limited liability in Ireland under the Companies Act 2014 as amended with registration
More informationT. Rowe Price Funds SICAV (The Company )
T. Rowe Price Funds SICAV (The Company ) A SICAV established under the laws of Luxembourg on 5 June 21 April 28 SIMPLIFIED PROSPECTUS This simplified prospectus contains only key information about the
More informationTavistock Investments Plc Group INTEGRITY VIGILANCE
GLOBAL SERVICE Tavistock Investments Plc Group INTEGRITY VIGILANCE GLOBAL SERVICE CONTENTS: SAFE HANDS 1 TAVISTOCK WEALTH, REVOLUTIONARY THINKING & OUR VISION 2 GLOBAL SERVICE, GLOBAL PORTFOLIOS & LONG-TERM
More informationProspectus February Amundi Funds II A Luxembourg Investment Fund (Fonds Commun de Placement)
Prospectus February 08 Amundi Funds II A Luxembourg Investment Fund (Fonds Commun de Placement) Amundi Funds II Contents A Word to Potential Investors Definitions The Fund 5 The Sub-Funds 6 SHORT-TERM
More informationLEGG MASON GLOBAL FUNDS PLC Riverside Two, Sir John Rogerson s Quay, Grand Canal Dock, Dublin 2, Ireland
LEGG MASON GLOBAL FUNDS PLC Riverside Two, Sir John Rogerson s Quay, Grand Canal Dock, Dublin 2, Ireland 7 January 2015 THIS DOCUMENT IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION. IF YOU ARE IN ANY
More informationSANLAM JAPAN EQUITY FUND. Supplement to the Prospectus dated 27 February 2018 for Sanlam Universal Funds plc
SANLAM JAPAN EQUITY FUND Supplement to the Prospectus dated 27 February 2018 for Sanlam Universal Funds plc This Supplement contains specific information in relation to Sanlam Japan Equity Fund (the "Fund"),
More informationMorgan Stanley Investment Funds
ACTIVE FUNDAMENTAL EQUITY FACTSHEET 28 February 2019 Investors should read the Key Investor Information Document and Prospectus before investing. Morgan Stanley Investment Funds Global Opportunity Fund
More informationAnnouncement of Results of Annual General Meeting
LEGG MASON GLOBAL FUNDS PLC Riverside Two Sir John Rogerson s Quay Grand Canal Dock Dublin 2, Ireland. Announcement of Results of Annual General Meeting The annual general meeting of shareholders of the
More informationfund range For financial advisers only November 2015
Flexible Investment Account fund range November 2015 For financial advisers only This document was last reviewed in November 2015. Please confirm with your financial adviser that this is the most up-to-date
More informationSANLAM ACCEL INCOME FUND Supplement to the Prospectus dated 27 February 2018 for Sanlam Universal Funds plc
SANLAM ACCEL INCOME FUND Supplement to the Prospectus dated 27 February 2018 for Sanlam Universal Funds plc This Supplement contains specific information in relation to Sanlam Accel Income Fund (the "Fund"),
More informationTorrus Funds Audited annual report and accounts
Torrus Funds Audited annual report and accounts 31 March 2013 RCS Number: B99.048 Additional Information for Investors in the Federal Republic of Germany Deutsche Bank AG, Tanusanlage 12, D-60325 Frankfurt
More informationMorgan Stanley Investment Funds US Advantage Fund
INVESTMENT MANAGEMENT For Marketing Purposes Only FACTSHEET DATA AS OF OCTOBER 31, 2017 Morgan Stanley Investment Funds US Advantage Fund Investment objective Seeks long term capital appreciation, measured
More informationMorgan Stanley Investment Funds Global Convertible Bond Fund
INVESTMENT MANAGEMENT For Marketing Purposes Only FACTSHEET DATA AS OF OCTOBER 31, 2017 Morgan Stanley Investment Funds Global Convertible Bond Fund Investment objective Seeks long-term capital appreciation,
More informationBaring Global Opportunities Umbrella Fund
1 Baring Global Opportunities Umbrella Fund Interim Report & Unaudited Financial Statements for the half year ended 31 January 2018 Table of Contents Management and administration... 1 Introduction...
More informationGlobal mirror fund guide
Investment choices Global mirror fund guide Singapore April 2018 Friends Provident International Limited Singapore Branch (Friends Provident International) has prepared this guide to help you choose the
More informationJ.P. Morgan Structured Products B.V. (incorporated with limited liability in The Netherlands) as Issuer
SUPPLEMENT No. 3 DATED 27 AUGUST 2014 TO THE OFFERING CIRCULAR DATED 29 APRIL 2014 J.P. Morgan Structured Products B.V. (incorporated with limited liability in The Netherlands) as Issuer J.P. Morgan Indies
More information