PRODUCT KEY FACTS M&G Investment Funds (1) M&G North American Dividend Fund

Size: px
Start display at page:

Download "PRODUCT KEY FACTS M&G Investment Funds (1) M&G North American Dividend Fund"

Transcription

1 PRODUCT KEY FACTS M&G Investment Funds (1) M&G North American Dividend Fund Issuer: M&G Securities Limited 26 February 2016 This statement provides you with key information about M&G North American Dividend Fund (the Sub-Fund ). This statement is a part of the Summary Prospectus. You should not invest in the Sub-Fund based on this statement alone. Quick facts Management Company (Authorised Corporate Director ( ACD )): M&G Securities Limited Investment Manager: M&G Investment Management Limited (internal delegation, in the United Kingdom) Depositary: Custodian: National Westminster Bank plc State Street Bank and Trust Company Ongoing Charges over a year : 1.66% Dealing Frequency: Base Currency: Dividend Policy: Financial Year End of this Sub-Fund: Daily (Monday to Friday except for bank holidays in England and Wales and Hong Kong and any other days as agreed from time to time by the ACD and its Authorised Distributors.) Pounds Sterling Dividends (or income) will be reinvested in the Sub- Fund. 31 August Minimum Investment: Share Class Initial Additional What is this product? Euro Class A Net Accumulation Shares EUR 1,000 EUR 75 U.S. Dollar Class A Net Accumulation Shares USD 1,000 USD 75 M&G North American Dividend Fund is a sub-fund of M&G Investment Funds (1) which is an open-ended investment company with variable capital incorporated in England and Wales. M&G Investment Funds (1) has been established as an umbrella company. Its home regulator is the Financial Conduct Authority, United Kingdom. The ongoing charges figure is based on expenses reported in the Sub-Fund s financial statements for the year ended 31 August 2015, expressed as a percentage of the Sub-Fund s average net asset value over the same period This figure may vary from year to year. As Euro Class A Net Accumulation and U.S. Dollar Class A Net Accumulation Shares have identical fee structures and their ongoing charges figure is the same, the Management Company considers it appropriate that a single ongoing charges figure be set out.

2 Objectives and Investment Strategy The Sub-Fund aims to maximise total return (the combination of capital growth and income) whilst aiming to grow distributions over the long term. The Sub-Fund will invest mainly in North American equities and may invest across all sectors and market capitalisations. The Sub-Fund may also invest in transferable securities issued by companies which are listed, registered or trading within North America and in collective investment schemes. Cash and near cash may be held for ancillary purposes and derivatives, including warrants, may be used for efficient portfolio management and hedging purposes The Sub-Fund may use financial derivative instruments (including options, futures and contracts for differences) for efficient portfolio management and hedging purposes. The Sub-Fund will not invest extensively or primarily in financial derivative instruments to achieve the Sub-Fund s investment objective or for investment purposes (i.e. there is only limited/ancillary use of financial derivative instruments for investment purposes). What are the key risks? Investment involves risks. Please refer to the Summary Prospectus for details including the risk factors. 1. Equity Investment Risk The Sub-Fund invests in equities, which are subject to normal market fluctuations and other risks inherent in investing in equities. You should not make investment decisions based on past performance of the Sub-Fund or any particular market, as past performance is not a guide to future performance. There can be no assurance that any appreciation in value of the Sub-Fund s investments will occur, and you may not get back your original investment. 2. Single Region Risk The Sub-Fund invests in a single region, namely North America, and therefore carries a higher concentration than a diversified fund. The concentration of the Sub-Fund s investments may result in greater volatility than funds which comprise broad-based global investments. 3. Concentrated Portfolio Risk Where a Sub-Fund holds a relatively small number of investments, it may as a result be more volatile and can be influenced materially by a small number of large holdings. 4. Liquidity Risk The Sub-Fund s investments may be subject to liquidity constraints which means that securities and other instruments may trade infrequently and in small volumes. Normally liquid securities may also be subject to periods of significantly lower liquidity in difficult market conditions. As a result, changes in the value of investments may be more unpredictable and in certain cases, it may be difficult to deal in a security at the last market price quoted or at a value considered to be fair. 5. Currency and Exchange Rates Risk As equities are generally bought and sold in the local currency of the country in which they are listed, the Sub-Fund will hold investments denominated in currencies different from the Sub-Fund s base currency and the currency of each Share Class. The Sub-Fund is therefore exposed to the risk of adverse movements in foreign currency exchange rates. 6. Derivatives Risk Although the Sub-Fund will use financial derivative instruments for efficient portfolio management or hedging purposes only, i.e. to reduce risk, in adverse market situations, the Sub-Fund s use of derivatives may become ineffective in efficient portfolio management and/or hedging and the Sub-Fund may suffer significant losses.

3 How has the Sub-Fund performed? Past performance information is not indicative of future performance. Investors may not get back the full amount invested. The computation basis of the performance is based on the calendar year end, NAV-To-NAV, with dividend reinvested. These figures show by how much the U.S. Dollar Class A Net Accumulation Share increased or decreased in value during the calendar year being shown. Performance data has been calculated in U.S, Dollar including ongoing charges and excluding subscription fee and redemption fee you might have to pay. Where no past performance is shown there was insufficient data available in that year to provide performance. The Sub-Fund launch date: 1972 U.S. Dollar Class A Net Accumulation Share class launch date: U.S. Dollar Class A Net Accumulation Share class has been selected as the representative share class because the majority of investors are subscribing into this share class. As such, it is the Management Company s view that past performance information of this share class should be utilized. The objective of the Fund was changed with effect from 28 April 2015 from one focused on long term capital growth to one aiming to maximise total return through a combination of capital growth and income.

4 Is there any guarantee? This Sub-Fund does not have any guarantees. You may not get back the full amount of money you invest. What are the fees and charges? Charges which may be payable by you You may have to pay the following fees when dealing in the shares of the Sub-Fund. Fee Subscription fee Switching fee Redemption fee What you pay Up to 5.25% of the amount you invest* Nil (You should note that the ACD has discretion to charge a switching fee on a case by case basis) Nil Ongoing fees payable by the Sub-Fund The following expenses will be paid out of the Sub-Fund. They affect you because they reduce the return you get on your investments. Annual rate (as a % of the Sub-Fund s value) Management fee (ACD s annual remuneration (see Note)) 1.5%* Custodian fee 0.001% 0.75%* Performance fee N/A Administration and registration services fee 0.15%* Note: The appointment of the ACD is a regulatory requirement in the United Kingdom. The ACD is responsible for managing and administering the M&G Investment Funds (1) affairs in compliance with the applicable regulations in the UK. Other fees You may have to pay other fees when dealing in the shares of the Sub-Fund. * You should note that some fees may be increased by giving affected shareholders and Hong Kong Investors at least one month s prior notice. Additional Information You generally buy and redeem Shares at the Sub-Fund s next-determined net asset value (NAV) after an Authorised Distributor receives your request in good order prior to am (Central European time) being the dealing cut-off time on any dealing day. However, before placing your subscription or redemption orders, please check with your distributor for the distributor s internal dealing cut-off time (which may be earlier than the Sub-Fund s dealing cut-off time). Investors may obtain past information of other share classes offered to Hong Kong investors from The net asset value of this Sub-Fund is calculated and the price of units published daily in The Standard and the Hong Kong Economic Times. Important If you are in doubt, you should seek professional advice. The SFC takes no responsibility for the contents of this statement and makes no representation as to its accuracy or completeness. ^ This website has not been reviewed by the SFC.

5 PRODUCT KEY FACTS M&G Investment Funds (1) M&G Pan European Select Fund Issuer: M&G Securities Limited 26 February 2016 This statement provides you with key information about M&G Pan European Select Fund (the Sub-Fund ). This statement is a part of the Summary Prospectus. You should not invest in the Sub-Fund based on this statement alone. Quick facts Management Company (Authorised Corporate Director ( ACD )): Investment Manager: Depositary: Custodian: M&G Securities Limited M&G Investm ent Managem ent Lim ited (internal delegation, in the United Kingdom) National Westminster Bank plc State Street Bank and Trust Company Ongoing charges over a year : 1.68% Dealing Frequency: Base Currency: Daily (Monday to Friday except for bank holidays in England and Wales and Hong Kong and any other days as agreed from time to time by the ACD and its Authorised Distributors.) Pounds Sterling Dividend Policy: Financial Year End of this Sub-Fund: Dividends (or income) will be reinvested in the Sub- Fund. 31 August Minimum Investment: Share Class Initial Additional What is this product? Euro Class A Net Accumulation Shares EUR 1,000 EUR 75 M&G Pan European Select Fund is a sub-fund of M&G Investment Funds (1) which is an open- ended investment company with variable capital incorporated in England and Wales. M&G Investment Funds (1) has been established as an umbrella company. Its home regulator is the Financial Conduct Authority, United Kingdom. The ongoing charges figure is based on expenses reported in the Sub-Fund s financial statements for the year ended 31 August 2015, expressed as a percentage of the Sub-Fund s average net asset value over the same period. This figure may vary from year to year.

6 Objectives and Investment Strategy The Sub-Fund invests wholly or mainly in European (including UK) companies. The Sub-Fund may also invest in companies outside Europe but only when these companies derive the majority of their income from European activity. The objective is to maximise long term total return (the combination of income and growth of capital). The Fund may at any time be concentrated in a limited number of securities. The Sub-Fund may use financial derivative instruments (including options, futures and contracts for differences) for efficient portfolio management and hedging purposes. The Sub-Fund will not invest extensively or primarily in financial derivative instruments to achieve the Sub -Fund s investment objective or for investment purposes (i.e. there is only limited/ancillary use of financial derivative instruments for investment purposes). What are the key risks? Investment involves risks. Please refer to the Summary Prospectus for details including the risk factors. 1. Equity Investment Risk The Sub-Fund invests in equities, which are subject to normal market fluctuations and other risks inherent in investing in equities. You should not make investment decisions based on past performance of the Sub-Fund or any particular market, as past performance is not a guide to future performance. There can be no assurance that any appreciation in value of the Sub-Fund s investments will occur, and you may not get back your original investment. 2. Concentrated Portfolio Risk Where a Sub-Fund holds a relatively small number of investments, it may as a result be more volatile and can be influenced materially by a small number of large holdings. 3. Single Region Risk The Sub-Fund invests in a single region, namely Europe, and therefore carries a higher concentration than a diversified fund. The concentration of the Sub-Fund s investments may result in greater volatility than funds which comprise broad-based global investments. 4. Risks relating to uncertainties facing the Eurozone There is a risk that one or more countries will exit the Euro and re-establish their own currencies. In light this uncertainty or in the event that this does occur, there is an increased risk of volatility in asset values, liquidity and default risk. In addition, there is a possibility that economic and financial difficulties in Europe may worsen or spread within and outside Europe and that measures taken by the governments of European countries, central banks and other authorities to address these, such as austerity measures and reforms, may not work. The impact of the above events may be significant and may adversely affect the value of the Sub-fund. Disruption in Eurozone markets could give rise to difficulties in valuing the assets of the Sub-Fund. In the event that it is not possible to carry out an accurate valuation of the Sub- Fund, dealing may be temporarily suspended. 5. Liquidity Risk The Sub-Fund s investments may be subject to liquidity constraints which means that securities and other instruments may trade infrequently and in small volumes. Normally liquid securities may also be subject to periods of significantly lower liquidity in difficult market conditions. As a result, changes in the value of investments may be more unpredictable and in certain cases, it may be difficult to deal in a security at th e last market price quoted or at a value considered to be fair.

7 6. Currency and Exchange Rates Risk As equities are generally bought and sold in the local currency of the country in which they are listed, the Sub-Fund will hold investments denominated in currencies different from the Sub-Fund s base currency and the currency of each Share Class. The Sub-Fund is therefore exposed to the risk of adverse movements in foreign currency exchange rates. 7. Derivatives Risk Although the Sub-Fund will use financial derivative instruments for efficient portfolio management or hedging purposes only, i.e. to reduce risk, in adverse market situations, the Sub-Fund s use of derivatives may become ineffective in efficient portfolio management and/or hedging and the Sub-Fund may suffer significant losses. How has the Sub-Fund performed? Past performance information is not indicative of future performance. Investors may not get back the full amount invested. The computation basis of the performance is based on the calendar year end, NAV-To- NAV, with dividend reinvested. These figures show by how much the Euro Class A Net Accumulation Share class increased or decreased in value during the calendar year being shown. Performance data has been calculated in Euro including ongoing charges and excluding subscription fee and redemption fee you might have to pay. The Sub-Fund launch date: 1989 Euro Class A Net Accumulation Share class launch date: 2001 Is there any guarantee? This Sub-Fund does not have any guarantees. You may not get back the full amount of money you invest.

8 What are the fees and charges? Charges which may be payable by you You may have to pay the following fees when dealing in the shares of the Sub-Fund. Fee Subscription fee Switching fee What you pay Up to 5.25% of the amount you invest* Nil (You should note that the ACD has discretion to charge a switching fee on a case by case basis) Redemption fee Nil Ongoing fees payable by the Sub-Fund The following expenses will be paid out of the Sub-Fund. They affect you because they reduce the return you get on your investments. Annual rate (as a % of the Sub-Fund s value) Management fee (ACD s annual remuneration (see Note)) 1.5%* Custodian fee 0.001% 0.75%* Performance fee N/A Administration and registration services fee 0.15%* Note: The appointment of the ACD is a regulatory requirement in the United Kingdom. The ACD is responsible for managing and administering the M&G Investment Funds (1) affairs in compliance with the applicable regulations in the UK. Other fees You may have to pay other fees when dealing in the shares of the Sub-Fund. * You should note that some fees may be increased by giving affected shareholders and Hong Kong Investors at least one month s prior notice Additional Information You generally buy and redeem Shares at the Sub-Fund s next-determined net asset value (NAV) after an Authorised Distributor receives your request in good order prior to am (Central European time) being the dealing cut-off time on any dealing day. However, before placing your subscription or redemption orders, please check with your distributor for the distributor s internal dealing cut-off time (which may be earlier than the Sub-Fund s dealing cut-off time). The net asset value of this Sub-Fund is calculated and the price of units published daily in The Standard and the Hong Kong Economic Times. Important If you are in doubt, you should seek professional advice. The SFC takes no responsibility for the contents of this statement and makes no representation as to its accuracy or completeness..

9 PRODUCT KEY FACTS M&G Investment Funds (1) M&G Global Leaders Fund Issuer: M&G Securities Limited 26 February 2016 This statement provides you with key information about M&G Global Leaders Fund (the Sub-Fund ). This statement is a part of the Summary Prospectus. You should not invest in the Sub-Fund based on this statement alone. Quick facts Management Company (Authorised Corporate Director ( ACD )): Investment Manager: Depositary: Custodian: M&G Securities Limited M&G Investm ent Managem ent Lim ited (internal delegation, in the United Kingdom) National Westminster Bank plc State Street Bank and Trust Company Ongoing charges over a year : 1.92% Dealing Frequency: Base Currency: Dividend Policy: Financial Year End of this Sub-Fund: Dail y (Monday to Friday except for bank holidays in England and Wales and Hong Kong and any other days as agreed from time to time by the ACD and its Authorised Distributors.) Pounds Sterling Dividends (or income) will be reinvested in the Sub- Fund. 31 August Minimum Investment: Share Class Initial Additional What is this product? Euro Class A Net Accumulation Shares EUR 1,000 EUR 75 U.S. Dollar Class A Net Accumulation Shares USD 1,000 USD 75 M&G Global Leaders Fund is a sub-fund of M&G Investment Funds (1) which is an openended investment company with variable capital incorporated in England and Wales. M&G Investment Funds (1) has been established as an umbrella company. Its home regulator is the Financial Conduct Authority, United Kingdom. The ongoing charges figure is based on the expenses reported in the Sub-Fund s financial statements for the year ended 31 August 2015, expressed as a percentage of the Sub-Fund s average net asset value over the same period. This figure may vary from year to year. As Euro Class A Net Accumulation and U.S. Dollar Class A Net Accumulation Shares have identical fee structures and their ongoing charges figure is the same, the Management Company considers it appropriate that a single ongoing charges figure be set out.

10 Objectives and Investment Strategy The objective of the Sub-Fund is to maximise long term total return (the combination of income and growth of capital). The Sub-Fund invests in a wide range of global equities issued by companies that the fund manager considers to be, or have the potential to be, leading in their field in terms of improving shareholder value. The Sub-Fund may use financial derivative instruments (including options, futures and contracts for differences) for efficient portfolio management and hedging purposes. The Sub-Fund will not invest extensively or primarily in financial derivative instruments to achieve the Sub-Fund s investment objective or for investment purposes (i.e. there is only limited/ancillary use of financial derivative instruments for investment purposes). What are the key risks? Investment involves risks. Please refer to the Summary Prospectus for details including the risk factors. 1. Equity Investment Risk The Sub-Fund invests in equities, which are subject to normal market fluctuations and other risks inherent in investing in equities. You should not make investment decisions based on past performance of the Sub-Fund or any particular market, as past performance is not a guide to future performance. There can be no assurance that any appreciation in value of the Sub-Fund s investments will occur, and you may not get back your original investment. 2. Currency and Exchange Rates Risk As equities are generally bought and sold in the local currency of the country in which they are listed, the Sub-Fund will hold investments denominated in currencies different from the Sub-Fund s base currency and the currency of each Share Class. The Sub-Fund is therefore exposed to the risk of adverse movements in foreign currency exchange rates. 3. Liquidity Risk The Sub-Fund s investments may be subject to liquidity constraints which means that securities and other instruments may trade infrequently and in small volumes. Normally liquid securities may also be subject to periods of significantly lower liquidity in difficult market conditions. As a result, changes in the value of investments may be more unpredictable and in certain cases, it may be difficult to deal in a security at the last market price quoted or at a value considered to be fair. 4. Emerging Markets Risk The Sub-Fund invests in global equities, which may from time to time include equities in global emerging markets (such as, for example, India, Brazil and Thailand). Investing in emerging markets involves a greater risk of loss than investing in more developed markets due to, among other factors, greater political, economic, repatriation restriction, liquidity, volatility and regulatory risks. As a result, the Sub-Fund may be more volatile than a fund that invests solely in securities of companies in more developed markets. 5. Restrictions on Foreign Investment Risk Some countries prohibit or impose substantial restrictions on investments by foreign entities such as the Sub-Fund. There may also be instances where a purchase order subsequently fails because the permissible allocation to foreign investors has been filled, which may deprive the Sub-Fund of the ability to make its desired investment at the time. Any such circumstances may adversely affect the Sub-Fund s performance. 6. Derivatives Risk Although the Sub-Fund will use financial derivative instruments for efficient portfolio management or hedging purposes only, i.e. to reduce risk, in adverse market situations, the Sub-Fund s use of derivatives may become ineffective in efficient portfolio management and/or hedging and the Sub-Fund may suffer significant losses.

11 How has the Sub-Fund performed? Past performance information is not indicative of future performance. Investors may not get back the full amount invested. The computation basis of the performance is based on the calendar year end, NAV-To- NAV, with dividend reinvested. These figures show by how much the U.S. Dollar Class A Net Accumulation Share class increased or decreased in value during the calendar year being shown. Performance data has been calculated in U. S. D o l l a r including ongoing charges and excluding subscription fee and redemption fee you might have to pay. Where no past performance is shown there was insufficient data available in that year to provide performance. The Sub-Fund launch date: 1985 U.S. Dollar Class A Net Accumulation Share class launch date: 2007 U.S. Dollar Class A Net Accumulation Share class has been selected as the representative share class because the majority of investors are subscribing into this share class. As such, it is the Management Company s view that past performance information of this share class should be utilized. Is there any guarantee? This Sub-Fund does not have any guarantees. You may not get back the full amount of money you invest.

12 What are the fees and charges? Charges which may be payable by you You may have to pay the following fees when dealing in the shares of the Sub-Fund. Fee Subscription fee Switching fee What you pay Up to 5.25% of the amount you invest* Nil (You should note that the ACD has discretion to charge a switching fee on a case by case basis) Redemption fee Nil Ongoing fees payable by the Sub-Fund The following expenses will be paid out of the Sub-Fund. They affect you because they reduce the return you get on your investments. Annual rate (as a % of the Sub-Fund s value) Management fee (ACD s annual remuneration (see Note)) 1.75%* Custodian fee 0.001% 0.75%* Performance fee N/A Administration and registration services fee 0.15%* Note: The appointment of the ACD is a regulatory requirement in the United Kingdom. The ACD is responsible for managing and administering the M&G Investment Funds (1) affairs in compliance with the applicable regulations in the UK. Other fees You may have to pay other fees when dealing in the shares of the Sub-Fund. * You should note that some fees may be increased by giving affected shareholders and Hong Kong Investors at least one month s prior notice. Additional Information You generally buy and redeem Shares at the Sub-Fund s next-determined net asset value (NAV) after an Authorised Distributor receives your request in good order prior to am (Central European time) being the dealing cut-off time on any dealing day. However, before placing your subscription or redemption orders, please check with your distributor for the distributor s internal dealing cut-off time (which may be earlier than the Sub-Fund s dealing cut-off time). Investors may obtain past information of other share classes offered to Hong Kong investors from The net asset value of this Sub-Fund is calculated and the price of units published daily in The Standard and the Hong Kong Economic Times. Important If you are in doubt, you should seek professional advice. The SFC takes no responsibility for the contents of this statement and makes no representation as to its accuracy or completeness. ^ This website has not been reviewed by the SFC.

13 PRODUCT KEY FACTS M&G Investment Funds (1) M&G Global Basics Fund Issuer: M&G Securities Limited 26 February 2016 This statement provides you with key information about M&G Global Basics Fund (the Sub-Fund ). This statement is a part of the Summary Prospectus. You should not invest in the Sub-Fund based on this statement alone. Quick facts Management Company (Authorised Corporate Director ( ACD )): Investment Manager: Depositary: Custodian: M&G Securities Limited M&G Investm ent Managem ent Lim ited (internal delegation, in the United Kingdom) National Westminster Bank plc State Street Bank and Trust Company Ongoing charges over a year # : 1.93% Dealing Frequency: Base Currency: Dividend Policy: Financial Year End of this Sub-Fund: Minimum Investment: Daily (Monday to Friday except for bank holidays in England and Wales and Hong Kong and any other days as agreed from time to time by the ACD and its Authorised Distributors.) Pounds Sterling Dividends (or income) will be reinvested in the Sub-Fund. 31 August Share Class Initial Additional Euro Class A Net Accumulation Shares EUR 1,000 EUR 75 U.S. Dollar Class A Net Accumulation Shares USD 1,000 USD 75 What is this product? M&G Global Basics Fund is a sub-fund of M&G Investment Funds (1) which is an open- ended investment company with variable capital incorporated in England and Wales. M&G Investment Funds (1) has been established as an umbrella company. Its home regulator is the Financial Conduct Authority, United Kingdom. # The ongoing charges figure is based on expenses reported in the Sub-Fund s financial statements for the year ended 31 August 2015 expressed as a percentage of the Sub-Fund s average net asset value over the same period. This figure may vary from year to year. As Euro Class A Net Accumulation and U.S. Dollar Class A Net Accumulation Shares have identical fee structures and their ongoing charges figure is the same, the Management Company considers it appropriate that a single ongoing charges figure be set out.

14 Objectives and Investment Strategy The Sub-Fund is a global equity fund which invests wholly or mainly in companies operating in basic industries ( primary and secondary industries) and also in companies that service these industries. The Sub-Fund may also invest in other global equities. The sole aim of the Sub -Fund is long term capital growth. The Sub-Fund may use financial derivative instruments (including options, futures and contracts for differences) for efficient portfolio management and hedging purposes. The Sub -Fund will not invest extensively or primarily in financial derivative instruments to achieve the Sub-Fund s investment objective or for investment purposes (i.e. there is only limited/ancillary use of financial derivative instruments for investment purposes) What are the key risks? Investment involves risks. Please refer to the Summary Prospectus for details including the risk factors. 1. Equity Investment Risk The Sub-Fund invests in equities, which are subject to normal market fluctuations and other risks inherent in investing in equities. You should not make investment decisions based on past performance of the Sub-Fund or any particular market, as past performance is not a guide to future performance. There can be no assurance that any appreciation in value of the Sub-Fund s investments will occur, and you may not get back your original investment. 2. Currency and Exchange Rates Risk As equities are generally bought and sold in the local currency of the country in which they are listed, the Sub-Fund will hold investments denominated in currencies different from the Sub-Fund s base currency and the currency of each Share Class. The Sub-Fund is therefore exposed to the risk of adverse movements in foreign currency exchange rates. 3. Emerging Markets Risk The Sub-Fund invests in global equities, which may from time to time include equities in global emerging markets (such as, for example, Russia, Bermuda and Brazil). Investing in emerging markets involves a greater risk of loss than investing in more developed markets due to, among other factors, greater political, economic, repatriation restriction, liquidity, volatility and regulatory risks. As a result, the Sub-Fund may be more volatile than a fund that invests solely in securities of companies in more developed markets. 4. Risks relating to uncertainties facing the Eurozone There is a risk that one or more countries will exit the Euro and re-establish their own currencies. In light this uncertainty or in the event that this does occur, there is an increased risk of volatility in asset values, liquidity and default risk. In addition, there is a possibility that economic and financial difficulties in Europe may worsen or spread within and outside Europe and that measures taken by the governments of European countries, central banks and other authorities to address these, such as austerity measures and reforms, may not work. The impact of the above events may be significant and may adversely affect the value of the Sub-Fund. Disruption in Eurozone markets could give rise to difficulties in valuing the assets of the Sub-Fund. In the event that it is not possible to carry out an accurate valuation of the Sub- Fund, dealing may be temporarily suspended. 5. Liquidity Risk The Sub-Fund s investments may be subject to liquidity constraints which means that securities and other instruments may trade infrequently and in small volumes. Normally liquid securities may also be subject to periods of significantly lower liquidity in difficult market conditions. As a result, changes in the value of investments may be more unpredictable and in certain cases, it may be difficult to deal in a security at the last market price quoted or at a value considered to be fair. 6. Restrictions on Foreign Investment Risk Some countries prohibit or impose substantial restrictions on investments by foreign entities such as the Sub-Fund. There may also be instances where a purchase order subsequently fails because the permissible allocation to foreign investors has been filled, which may

15 deprive the Sub-Fund of the ability to make its desired investment at the time. Any such circumstances may adversely affect the Sub-Fund s performance. 7. Derivatives Risk Although the Sub-Fund will use financial derivative instruments for efficient portfolio management or hedging purposes only, i.e. to reduce risk, in adverse market situations, the Sub-Fund s use of derivatives may become ineffective in efficient portfolio management and/or hedging and the Sub-Fund may suffer significant losses. How has the Sub-Fund performed? Past performance information is not indicative for future performance. Investors may not get back the full amount invested. The computation basis of the performance is based on the calendar year end, NAV-To- NAV, with dividend reinvested. These figures show by how much the U.S. Dollar Class A Net Accumulation share class increased or decreased in value during the calendar year being shown. Performance data has been calculated in U.S. Dollar including ongoing charges and excluding subscription fee and redemption fee you might have to pay. Where no past performance is shown there was insufficient data available in that year to provide performance. The Sub-Fund launch date: 1973 The U.S. Dollar Class A Net Accumulation Share class launch date: 2007 U.S. Dollar Class A Net Accumulation Share class has been selected as the representative share class because the majority of investors are subscribing into this share class. As such, it is the Management Company s view that past performance information of this share class should be utilized. Is there any guarantee? This Sub-Fund does not have any guarantees. You may not get back the full amount of money you invest..

16 What are the fees and charges? Charges which may be payable by you You may have to pay the following fees when dealing in the shares of the Sub-Fund. Fee Subscription fee Switching fee Redemption fee What you pay Up to 5.25% of the amount you invest* Nil (You should note that the ACD has discretion to charge a switching fee on a case by case basis) Nil Ongoing fees payable by the Sub-Fund The following expenses will be paid out of the Sub-Fund. They affect you because they reduce the return you get on your investments. Annual rate (as a % of the Sub-Fund s value) Management fee (ACD s annual remuneration (see Note)) 1.75%* Custodian fee 0.001% 0.75%* Performance fee N/A Administration and registration services fee 0.15%* Note: The appointment of the ACD is a regulatory requirement in the United Kingdom. The ACD is responsible for managing and administering the M&G Investment Funds (1) affairs in compliance with the applicable regulations in the UK. Other fees You may have to pay other fees when dealing in the shares of the Sub-Fund. * You should note that some fees may be increased by giving affected shareholders and Hong Kong Investors at least one month s prior notice. Additional Information You generally buy and redeem Shares at the Sub-Fund s next-determined net asset value (NAV) after an Authorised Distributor receives your request in good order prior to am (Central European time) being the dealing cut-off time on any dealing day. However, before placing your subscription or redemption orders, please check with your distributor for the distributor s internal dealing cut-off time (which may be earlier than the Sub-Fund s dealing cut-off time). Investors may obtain past information of other share classes offered to Hong Kong investors from The net asset value of this Sub-Fund is calculated and the price of units published daily in The Standard and the Hong Kong Economic Times. Important If you are in doubt, you should seek professional advice. The SFC takes no responsibility for the contents of this statement and makes no representation as to its accuracy or completeness. ^ This website has not been reviewed by the SFC.

M&G Investment Funds (1) Product Key Facts. Issued by M&G Securities Limited 31 December 2014

M&G Investment Funds (1) Product Key Facts. Issued by M&G Securities Limited 31 December 2014 M&G Investment Funds (1) Product Key Facts Issued by M&G Securities Limited 31 December 2014 product KEY FACTS table of Contents Contents Page 1. M&G Investment Funds (1) M&G American Fund 1 2. M&G Investment

More information

PRODUCT KEY FACTS M&G Investment Funds (1) M&G Global Basics Fund

PRODUCT KEY FACTS M&G Investment Funds (1) M&G Global Basics Fund PRODUCT KEY FACTS M&G Investment Funds (1) M&G Global Basics Fund Issuer: M&G Securities Limited 26 February 2016 This statement provides you with key information about M&G Global Basics Fund (the Sub-Fund

More information

St. James s Place Unit Trust Group Limited. Majedie Asset Management Limited (external delegation, in the United Kingdom)

St. James s Place Unit Trust Group Limited. Majedie Asset Management Limited (external delegation, in the United Kingdom) PRODUCT KEY FACTS St. James s Place UK Growth Unit Trust July 2018 This statement provides you with key information about this product. This statement is a part of the Hong Kong offering document. You

More information

St. James s Place Unit Trust Group Limited. Magellan Asset Management Limited (external delegation, in Australia) Class H Accumulation Units: 2.

St. James s Place Unit Trust Group Limited. Magellan Asset Management Limited (external delegation, in Australia) Class H Accumulation Units: 2. PRODUCT KEY FACTS St. James s Place International Equity Unit Trust July 2018 This statement provides you with key information about this product. This statement is a part of the Hong Kong offering document

More information

St. James s Place Unit Trust Group Limited. Class H Accumulation Units: 2.45% Accumulation Units: No income will be distributed.

St. James s Place Unit Trust Group Limited. Class H Accumulation Units: 2.45% Accumulation Units: No income will be distributed. PRODUCT KEY FACTS St. James s Place UK and General Progressive Unit Trust July 2018 This statement provides you with key information about this product. This statement is a part of the Hong Kong offering

More information

Quick facts St. James s Place Unit Trust Group Limited. Henderson Global Investors Limited (external delegation, in the United Kingdom)

Quick facts St. James s Place Unit Trust Group Limited. Henderson Global Investors Limited (external delegation, in the United Kingdom) PRODUCT KEY FACTS St. James s Place Global Emerging Markets Unit Trust July 2018 This statement provides you with key information about this product. This statement is a part of the Hong Kong offering

More information

Quick facts St. James s Place Unit Trust Group Limited

Quick facts St. James s Place Unit Trust Group Limited PRODUCT KEY FACTS St. James s Place UK High Income Unit Trust January 2018 This statement provides you with key information about this product. This statement is a part of the Hong Kong offering document.

More information

Quick facts St. James s Place Unit Trust Group Limited. AXA Investment Managers UK Ltd (external delegation, in the United Kingdom)

Quick facts St. James s Place Unit Trust Group Limited. AXA Investment Managers UK Ltd (external delegation, in the United Kingdom) PRODUCT KEY FACTS St. James s Place Allshare Income Unit Trust July 2018 This statement provides you with key information about this product. This statement is a part of the Hong Kong offering document.

More information

Quick facts St. James s Place Unit Trust Group Limited

Quick facts St. James s Place Unit Trust Group Limited PRODUCT KEY FACTS St. James s Place Strategic Managed Unit Trust December 2017 This statement provides you with key information about this product. This statement is a part of the Hong Kong offering document.

More information

Quick facts St. James s Place Unit Trust Group Limited

Quick facts St. James s Place Unit Trust Group Limited PRODUCT KEY FACTS St. James s Place Corporate Bond Unit Trust December 2017 This statement provides you with key information about this product. This statement is a part of the Hong Kong offering document.

More information

St. James s Place Unit Trust Group Limited. Invesco Asset Management Limited (external delegation, in the United Kingdom)

St. James s Place Unit Trust Group Limited. Invesco Asset Management Limited (external delegation, in the United Kingdom) PRODUCT KEY FACTS St. James s Place Corporate Bond Unit Trust November 2018 This statement provides you with key information about this product. This statement is a part of the Hong Kong offering document.

More information

BEA Union Investment Capital Growth Fund

BEA Union Investment Capital Growth Fund Product Key Facts APRIL 2018 BEA Union Investment Capital Growth Fund BEA Union Investment Hong Kong Growth Fund BEA Union Investment Greater China Growth Fund BEA Union Investment Asia Strategic Growth

More information

PRODUCT KEY FACTS Schroder International Selection Fund Taiwanese Equity

PRODUCT KEY FACTS Schroder International Selection Fund Taiwanese Equity PRODUCT KEY FACTS Schroder International Selection Fund Taiwanese Equity Issuer: Schroder Investment Management (Luxembourg) S.A. April 2018 This statement provides you with key information about this

More information

PRODUCT KEY FACTS PARVEST Bond USD Government October 2013

PRODUCT KEY FACTS PARVEST Bond USD Government October 2013 Issued by BNP Paribas Investment Partners Asia Limited PRODUCT KEY FACTS PARVEST Bond USD Government October 2013 This statement provides you with key information about this product. This statement is

More information

Quick facts St. James s Place Unit Trust Group Limited

Quick facts St. James s Place Unit Trust Group Limited PRODUCT KEY FACTS St. James s Place Corporate Bond Unit Trust April 2017 This statement provides you with key information about this product. This statement is a part of the Hong Kong offering document.

More information

Non-Distributing Shares: No dividends will be declared or paid A2, C2, D2

Non-Distributing Shares: No dividends will be declared or paid A2, C2, D2 PRODUCT KEY FACTS BlackRock Global Funds India Fund December 2017 BlackRock Asset Management North Asia Limited Quick facts Fund Manager: Investment Adviser: Sub-Adviser: Depositary: Ongoing charges over

More information

Non-Distributing Shares: No dividends will be declared or paid A2, C2, D2

Non-Distributing Shares: No dividends will be declared or paid A2, C2, D2 PRODUCT KEY FACTS BlackRock Global Funds New Energy Fund December 2017 BlackRock Asset Management North Asia Limited Quick facts Fund Manager: Investment Adviser: Depositary: Ongoing charges over a year:

More information

Quick facts St. James s Place Unit Trust Group Limited

Quick facts St. James s Place Unit Trust Group Limited PRODUCT KEY FACTS St. James s Place Index Linked Gilts Unit Trust # # This is an index fund. December 2017 This statement provides you with key information about this product. This statement is a part

More information

Product Key Facts. Standard Life Investments Global SICAV European High Yield Bond Fund June 2018

Product Key Facts. Standard Life Investments Global SICAV European High Yield Bond Fund June 2018 Product Key Facts Standard Life Investments Global SICAV June 2018 This statement provides you with key information about this product. This statement is a part of the offering document. You should not

More information

PRODUCT KEY FACTS Macquarie Unit Trust Series- Macquarie IPO China Concentrated Core Fund 30 April 2018

PRODUCT KEY FACTS Macquarie Unit Trust Series- Macquarie IPO China Concentrated Core Fund 30 April 2018 PRODUCT KEY FACTS Macquarie Unit Trust Series- Macquarie IPO China Concentrated Core Fund 30 April 2018 This statement provides you with key information about this product. This statement is a part of

More information

PRODUCT KEY FACTS. BlackRock Global Funds Asian Growth Leaders Fund. April Quick facts

PRODUCT KEY FACTS. BlackRock Global Funds Asian Growth Leaders Fund. April Quick facts PRODUCT KEY FACTS BlackRock Global Funds Asian Growth Leaders Fund April 2018 BlackRock Asset Management North Asia Limited Quick facts This statement provides you with key information about this product

More information

GF Asset Management (Hong Kong) Limited Custodian:

GF Asset Management (Hong Kong) Limited Custodian: PRODUCT KEY FACTS GF CHINA GROWTH FUND December 2014 This statement provides you with key information about GF China Growth Fund (the Fund ). This statement is a part of the offering document and must

More information

Product Key Facts April BEA Union Investment Series. BEA Union Investment Asian Bond and Currency Fund. BEA Union Investment China Phoenix Fund

Product Key Facts April BEA Union Investment Series. BEA Union Investment Asian Bond and Currency Fund. BEA Union Investment China Phoenix Fund Product Key Facts April 2018 BEA Union Investment Series BEA Union Investment Asian Bond and Currency Fund BEA Union Investment China Phoenix Fund BEA Union Investment China A-Share Equity Fund BEA Union

More information

PRODUCT KEY FACTS. Table of Content. BEA Union Investment Global Themes Fund 1. BEA Union Investment Asian Bond and Currency Fund 7

PRODUCT KEY FACTS. Table of Content. BEA Union Investment Global Themes Fund 1. BEA Union Investment Asian Bond and Currency Fund 7 Product Key Facts January 2018 BEA Union Investment Series BEA Union Investment Global Themes Fund BEA Union Investment Asian Bond and Currency Fund BEA Union Investment China Phoenix Fund BEA Union Investment

More information

PRODUCT KEY FACTS PARVEST Equity High Dividend Asia Pacific ex-japan April 2018

PRODUCT KEY FACTS PARVEST Equity High Dividend Asia Pacific ex-japan April 2018 Issued by BNP PARIBAS ASSET MANAGEMENT Asia Limited PRODUCT KEY FACTS April 2018 This statement provides you with key information about this product. This statement is a part of the offering document and

More information

Allianz Global Investors Asia Fund

Allianz Global Investors Asia Fund Product Key Facts Allianz Global Investors Asia Fund April 2018 Table of Contents Page no. Allianz Selection European Equity Dividend 2 Allianz Selection Income and Growth 7 Allianz Selection US High Yield

More information

Allianz European Equity Dividend PRODUCT KEY FACTS September 2017

Allianz European Equity Dividend PRODUCT KEY FACTS September 2017 ALLIANZ GLOBAL INVESTORS FUND Allianz European Equity Dividend PRODUCT KEY FACTS September 2017 This statement provides you with key information about Allianz European Equity Dividend (the Sub-Fund ).

More information

Quick facts St. James s Place Unit Trust Group Limited. BlackRock Investment Management (UK) Limited (external delegation, in the United Kingdom)

Quick facts St. James s Place Unit Trust Group Limited. BlackRock Investment Management (UK) Limited (external delegation, in the United Kingdom) PRODUCT KEY FACTS St. James s Place Balanced International Growth Unit Trust November 2017 This statement provides you with key information about this product. This statement is a part of the Hong Kong

More information

Product Key Facts Morgan Stanley Investment Funds Global Opportunity Fund

Product Key Facts Morgan Stanley Investment Funds Global Opportunity Fund Product Key Facts Morgan Stanley Investment Funds This statement provides you with key information about this product. This statement is a part of the offering document. You should not invest in this product

More information

PRODUCT KEY FACTS. BlackRock Global Funds Latin American Fund. April Quick facts

PRODUCT KEY FACTS. BlackRock Global Funds Latin American Fund. April Quick facts PRODUCT KEY FACTS BlackRock Global Funds Latin American Fund April 2018 BlackRock Asset Management North Asia Limited Quick facts Fund Manager: Investment Adviser: Depositary: Ongoing charges over a year:

More information

PRODUCT KEY FACTS BEA Union Investment Series - BEA Union Investment Asian Bond and Currency Fund

PRODUCT KEY FACTS BEA Union Investment Series - BEA Union Investment Asian Bond and Currency Fund PRODUCT KEY FACTS BEA Union Investment Series - BEA Union Investment Asian Bond and Currency Fund 1 November 2017 Quick facts This statement provides you with key information about this product. This statement

More information

Product Key Facts. PineBridge Fund Series PineBridge Hong Kong Equity Fund. 21 September Issuer: PineBridge Investments Hong Kong Limited

Product Key Facts. PineBridge Fund Series PineBridge Hong Kong Equity Fund. 21 September Issuer: PineBridge Investments Hong Kong Limited Issuer: PineBridge Investments Hong Kong Limited Product Key Facts PineBridge Fund Series PineBridge Hong Kong Equity Fund 21 September 2018 This statement provides you with key information about the PineBridge

More information

PRODUCT KEY FACTS Macquarie Unit Trust Series- Macquarie IPO China Gateway Fund 30 April 2018

PRODUCT KEY FACTS Macquarie Unit Trust Series- Macquarie IPO China Gateway Fund 30 April 2018 PRODUCT KEY FACTS Macquarie Unit Trust Series- Macquarie IPO China Gateway Fund 30 April 2018 This statement provides you with key information about this product. This statement is a part of the Hong Kong

More information

PRODUCT KEY FACTS. BlackRock Global Funds World Mining Fund. April Quick facts

PRODUCT KEY FACTS. BlackRock Global Funds World Mining Fund. April Quick facts PRODUCT KEY FACTS BlackRock Global Funds World Mining Fund April 2018 BlackRock Asset Management North Asia Limited Quick facts Fund Manager: Investment Adviser: Depositary: Ongoing charges over a year:

More information

Schroder International Selection Fund Environmental, Social and Governance (ESG) factors

Schroder International Selection Fund Environmental, Social and Governance (ESG) factors Schroder International Selection Fund Société d Investissement à Capital Variable 5, rue Höhenhof, L-1736 Senningerberg Grand Duchy of Luxembourg Tel: +352 341 342 202 Fax:+352 341 342 342 IMPORTANT: This

More information

Quick facts St. James s Place Unit Trust Group Limited. BlackRock Investment Management (UK) Limited (external delegation, in the United Kingdom)

Quick facts St. James s Place Unit Trust Group Limited. BlackRock Investment Management (UK) Limited (external delegation, in the United Kingdom) PRODUCT KEY FACTS St. James s Place Adventurous International Growth Unit Trust November 2017 This statement provides you with key information about this product. This statement is a part of the Hong Kong

More information

Product Key Facts Franklin Templeton Investment Funds Franklin Global Real Estate Fund

Product Key Facts Franklin Templeton Investment Funds Franklin Global Real Estate Fund Product Key Facts Franklin Templeton Investment Funds Franklin Global Real Estate Fund Last updated: April 2018 This statement provides you with key information about this product. This statement is a

More information

Invesco Funds, SICAV Product Key Facts

Invesco Funds, SICAV Product Key Facts Invesco Funds, SICAV Product Key Facts 8 June 2017 Equity Funds: Global: America: Europe: Japan: Asia: Theme Funds: Reserve Funds: Bond Funds: Mixed Funds: Invesco Global Structured Equity Fund Invesco

More information

PineBridge Investments Asia Limited, based in Hong Kong (internal delegation) State Street Custodial Services (Ireland) Limited

PineBridge Investments Asia Limited, based in Hong Kong (internal delegation) State Street Custodial Services (Ireland) Limited Issuer: PineBridge Investments Ireland Limited Product Key Facts PineBridge Global Funds PineBridge Asia ex Japan Small Cap Equity Fund 27 April 2018 QUICK FACTS Fund Manager (Manager) Investment Manager

More information

Allianz Income and Growth PRODUCT KEY FACTS March 2017

Allianz Income and Growth PRODUCT KEY FACTS March 2017 ALLIANZ GLOBAL INVESTORS FUND Allianz Income and Growth PRODUCT KEY FACTS March 2017 This statement provides you with key information about Allianz Income and Growth (the Sub- Fund ). This statement is

More information

MANULIFE GLOBAL FUND PRODUCT KEY FACTS

MANULIFE GLOBAL FUND PRODUCT KEY FACTS MANULIFE GLOBAL FUND PRODUCT KEY FACTS April 2016 CONTENTS EQUITY FUNDS: Manulife Global Fund - American Growth Fund... 2 Manulife Global Fund - Asia Value Dividend Equity Fund... 7 Manulife Global Fund

More information

Product Key Facts Franklin Templeton Investment Funds Templeton BRIC Fund

Product Key Facts Franklin Templeton Investment Funds Templeton BRIC Fund Product Key Facts Franklin Templeton Investment Funds Templeton BRIC Fund Last updated: March 2017 This statement provides you with key information about this product. This statement is a part of the offering

More information

PRODUCT KEY FACTS. Principal Global Investors Funds Global Equity Fund April 2018

PRODUCT KEY FACTS. Principal Global Investors Funds Global Equity Fund April 2018 Global Equity Fund This statement provides you with key information about - Global Equity Fund ( Sub-Fund ). This statement is a part of the offering document. You should not invest in the Sub-Fund based

More information

Invesco Funds Series Invesco Funds Series 1-5 Product Key Facts

Invesco Funds Series Invesco Funds Series 1-5 Product Key Facts Invesco Funds Series Invesco Funds Series 1-5 Product Key Facts 28 April 2017 Invesco Funds Series Invesco Funds Series 1 Invesco Funds Series 2 Invesco Funds Series 3 Invesco Funds Series 4 Invesco Funds

More information

GF INDUSTRY LEADERS MIXED ASSETS FUND

GF INDUSTRY LEADERS MIXED ASSETS FUND PRODUCT KEY FACTS Issuer: GF Fund Management Co., Ltd GF INDUSTRY LEADERS MIXED ASSETS FUND 1 December 2015 This is a Mainland fund authorized for public offering in Hong Kong pursuant to Mainland-Hong

More information

PRODUCT KEY FACTS. Principal Global Investors Funds Global Equity Fund April 2017

PRODUCT KEY FACTS. Principal Global Investors Funds Global Equity Fund April 2017 Global Equity Fund This statement provides you with key information about - Global Equity Fund ( Sub-Fund ). This statement is a part of the offering document. You should not invest in the Sub-Fund based

More information

Daily, on every business day in Hong Kong except Saturday

Daily, on every business day in Hong Kong except Saturday PRODUCT KEY FACTS Taiping Investment Fund Taiping Greater China New Momentum Equity Fund Issuer: Taiping Assets Management (HK) Company Limited June 2018 This statement provides you with key information

More information

PRODUCT KEY FACTS BNY MELLON EMERGING MARKETS DEBT LOCAL CURRENCY FUND 30 April 2018

PRODUCT KEY FACTS BNY MELLON EMERGING MARKETS DEBT LOCAL CURRENCY FUND 30 April 2018 PRODUCT KEY FACTS BNY MELLON EMERGING MARKETS DEBT LOCAL CURRENCY FUND 30 April 2018 This statement provides you with key information about this product. This statement is a part of the offering document.

More information

Jupiter Asia Pacific Income

Jupiter Asia Pacific Income The Jupiter Global Fund Jupiter Asia Pacific Income Jupiter Asset Management Limited Product Key Facts April 2018 PRODUCT KEY FACTS This statement provides you with key information about Jupiter Asia Pacific

More information

PRODUCT KEY FACTS. BlackRock Global Funds Global Government Bond Fund. April Quick facts

PRODUCT KEY FACTS. BlackRock Global Funds Global Government Bond Fund. April Quick facts PRODUCT KEY FACTS BlackRock Global Funds Global Government Bond Fund April 2018 BlackRock Asset Management North Asia Limited Quick facts Fund Manager: This statement provides you with key information

More information

Investec Global Strategy Fund. Product Key Facts Statements July 2018

Investec Global Strategy Fund. Product Key Facts Statements July 2018 Investec Global Strategy Fund Product Key Facts Statements July 2018 Contents Money Sub-Funds U.S. Dollar Money Fund... 1 Sterling Money Fund... 4 Bond Sub-Funds Global Total Return Credit Fund... 7 Investment

More information

St. James s Place Adventurous Growth Unit Trust

St. James s Place Adventurous Growth Unit Trust PRODUCT KEY FACTS St. James s Place Adventurous Growth Unit Trust November 2018 This statement provides you with key information about this product. This statement is a part of the Hong Kong offering document.

More information

Non-Distributing Shares: No dividends will be declared or paid A2, D2

Non-Distributing Shares: No dividends will be declared or paid A2, D2 PRODUCT KEY FACTS BlackRock Global Funds China A-Share Opportunities Fund November 2018 BlackRock Asset Management North Asia Limited This statement provides you with key information about this product

More information

Product Key Facts Franklin Templeton Investment Funds Franklin Asia Credit Fund Last updated: November 2018

Product Key Facts Franklin Templeton Investment Funds Franklin Asia Credit Fund Last updated: November 2018 Product Key Facts Franklin Templeton Investment Funds Franklin Asia Credit Fund Last updated: November 2018 This statement provides you with key information about this product. This statement is a part

More information

Product Key Facts. Amundi HK Portfolios

Product Key Facts. Amundi HK Portfolios Amundi HK Portfolios Product Key Facts Amundi HK - Defensive Balanced Fund Amundi HK - Balanced Fund Amundi HK - Growth Fund Amundi HK - Money Market USD Fund Amundi HK - New Generation Asia Pacific Equity

More information

PRODUCT KEY FACTS BOCHK RMB Fixed Income Fund

PRODUCT KEY FACTS BOCHK RMB Fixed Income Fund PRODUCT KEY FACTS BOCHK RMB Fixed Income Fund a sub-fund of the BOCHK Investment Funds Issuer: BOCI-Prudential Asset Management Limited 30 April 2015 This statement provides you with key information about

More information

Product Key Facts Franklin Templeton Investment Funds Templeton Asian Smaller Companies Fund

Product Key Facts Franklin Templeton Investment Funds Templeton Asian Smaller Companies Fund Product Key Facts Franklin Templeton Investment Funds Templeton Asian Smaller Companies Fund Last updated: April 2018 This statement provides you with key information about this product. This statement

More information

PRODUCT KEY FACTS. BlackRock Global Funds Global Allocation Fund. November 2018

PRODUCT KEY FACTS. BlackRock Global Funds Global Allocation Fund. November 2018 PRODUCT KEY FACTS BlackRock Global Funds Global Allocation Fund November 2018 BlackRock Asset Management North Asia Limited Quick facts Management Company: Investment Adviser: Depositary: Ongoing charges

More information

PRODUCT KEY FACTS. BlackRock Global Funds Emerging Markets Local Currency Bond Fund. April Quick facts

PRODUCT KEY FACTS. BlackRock Global Funds Emerging Markets Local Currency Bond Fund. April Quick facts PRODUCT KEY FACTS BlackRock Global Funds Emerging Markets Local Currency Bond Fund April 2018 BlackRock Asset Management North Asia Limited Quick facts This statement provides you with key information

More information

PRODUCT KEY FACTS. Quick facts Manager: Trustee: Custodian: Dealing frequency: Base currency: Ongoing charges over a year:

PRODUCT KEY FACTS. Quick facts Manager: Trustee: Custodian: Dealing frequency: Base currency: Ongoing charges over a year: PRODUCT KEY FACTS Issuer: Haitong International Asset Management (HK) Limited 1 Haitong RMB Investment Fund Series - Haitong Global RMB Fixed Income Fund May 2018 This statement provides you with key information

More information

Class A-2 Base Currency Exposure EUR: 1.85%

Class A-2 Base Currency Exposure EUR: 1.85% This statement provides you with key information about the Aberdeen Global Emerging Markets Corporate Bond Fund. This statement forms part of the offering document and should be read in conjunction with

More information

Invesco Funds, SICAV Product Key Facts. 8 October 2018

Invesco Funds, SICAV Product Key Facts. 8 October 2018 Invesco Funds, SICAV Product Key Facts 8 October 2018 Table of Contents 2 Equity Funds 2 Global 2 Invesco Emerging Markets Equity Fund 6 Invesco Global Equity Income Fund 11 Invesco Global Small Cap Equity

More information

Haitong International Asset Management (HK) Limited Trustee:

Haitong International Asset Management (HK) Limited Trustee: PRODUCT KEY FACTS Haitong Investment Fund Series - Haitong Hong Kong Equity Investment Fund Issuer: Haitong International Asset Management (HK) Limited April 2018 This statement provides you with key information

More information

PRODUCT KEY FACTS. BNY MELLON GLOBAL BOND FUND 30 April 2018 QUICK FACTS WHAT IS THIS PRODUCT?

PRODUCT KEY FACTS. BNY MELLON GLOBAL BOND FUND 30 April 2018 QUICK FACTS WHAT IS THIS PRODUCT? PRODUCT KEY FACTS BNY MELLON GLOBAL BOND FUND 30 April 2018 This statement provides you with key information about this product. This statement is a part of the offering document. You should not invest

More information

Product Key Facts Morgan Stanley Investment Funds Global Brands Fund

Product Key Facts Morgan Stanley Investment Funds Global Brands Fund Product Key Facts This statement provides you with key information about this product. This statement is a part of the offering document. You should not invest in this product based on this statement alone.

More information

PRODUCT KEY FACTS BOCHK Asia Pacific Property Fund

PRODUCT KEY FACTS BOCHK Asia Pacific Property Fund PRODUCT KEY FACTS BOCHK Asia Pacific Property Fund a sub-fund of BOCHK Investment Funds Issuer: BOCI-Prudential Asset Management Limited 30 April 2015 This statement provides you with key information about

More information

Product Key Facts BlackRock Global Funds

Product Key Facts BlackRock Global Funds Product Key Facts BlackRock Global Funds DECEMBER 2017 Contents Pages ASEAN Leaders Fund 3 Asia Pacific Equity Income Fund 7 Asian Dragon Fund 13 Asian Growth Leaders Fund 18 Asian Tiger Bond Fund 22 China

More information

Eastspring Investments Product Key Facts. October 2017

Eastspring Investments Product Key Facts. October 2017 Eastspring Investments Product Key Facts October 2017 PRODUCT KEY FACTS Table of Contents Contents Page 1. Eastspring Investments Asian Bond Fund 1 2. Eastspring Investments Asian Equity Fund 8 3. Eastspring

More information

Invesco Funds, SICAV Product Key Facts. 18 March 2019

Invesco Funds, SICAV Product Key Facts. 18 March 2019 Invesco Funds, SICAV Product Key Facts 18 March 2019 Table of Contents 2 Equity Funds 2 Global 2 Invesco Developed Small and Mid-Cap Equity Fund 6 Invesco Emerging Markets Equity Fund 10 Invesco Global

More information

Product Key Facts. PineBridge Global Funds PineBridge Global Emerging Markets Corporate Bond Fund. September 2018

Product Key Facts. PineBridge Global Funds PineBridge Global Emerging Markets Corporate Bond Fund. September 2018 Product Key Facts PineBridge Global Funds Issuer: PineBridge Investments Ireland Limited September 2018 This statement provides you with key information about the (the Sub-Fund ). This statement is a part

More information

PRODUCT KEY FACTS. PIMCO FUNDS: GLOBAL INVESTORS SERIES PLC - Low Average Duration Fund. 10 April 2019

PRODUCT KEY FACTS. PIMCO FUNDS: GLOBAL INVESTORS SERIES PLC - Low Average Duration Fund. 10 April 2019 PRODUCT KEY FACTS Issuer: PIMCO Funds: Global Investors Series plc PIMCO FUNDS: GLOBAL INVESTORS SERIES PLC - Low Average Duration Fund 10 April 2019 This statement provides you with key information about

More information

PRODUCT KEY FACTS Eastspring Investments Global Market Navigator Fund

PRODUCT KEY FACTS Eastspring Investments Global Market Navigator Fund PRODUCT KEY FACTS Eastspring Investments Global Market Navigator Fund Issuer: Eastspring Investments (Luxembourg) S.A. April 2017 This statement provides you with key information about Eastspring Investments

More information

PRODUCT KEY FACTS Schroder Balanced Investment Fund

PRODUCT KEY FACTS Schroder Balanced Investment Fund PRODUCT KEY FACTS Schroder Balanced Investment Fund Issuer: Schroder Investment Management (Hong Kong) Limited October 2018 This statement provides you with key information about this product. This statement

More information

A D VA N C E D S P C F U N D S P C NOVEMBER 2018 十一

A D VA N C E D S P C F U N D S P C NOVEMBER 2018 十一 A D VA N C E D F U N D S P C S P C NOVEMBER 2018 十一 SPC ( ) ( ) 2018 8 ( ) ** : ( ) Citibank Europe plc, Luxembourg Branch AA ( )Inc AA ( )Inc AA ( )Inc AA ( ) AA ( ) AA 2.05% AA AA ( ) AA ( ) ( ) 6 30

More information

Barings Eastern Europe Fund April 2018

Barings Eastern Europe Fund April 2018 PRODUCT KEY FACTS Barings Global Umbrella Fund Barings Eastern Europe Fund April 2018 Baring International Fund Managers (Ireland) Limited This statement provides you with key information about Barings

More information

PRODUCT KEY FACTS. BlackRock Global Funds Asian Tiger Bond Fund. December Quick facts

PRODUCT KEY FACTS. BlackRock Global Funds Asian Tiger Bond Fund. December Quick facts PRODUCT KEY FACTS BlackRock Global Funds Asian Tiger Bond Fund December 2017 BlackRock Asset Management North Asia Limited Quick facts This statement provides you with key information about this product

More information

PRODUCT KEY FACTS HENDERSON HORIZON FUND PAN EUROPEAN PROPERTY EQUITIES FUND

PRODUCT KEY FACTS HENDERSON HORIZON FUND PAN EUROPEAN PROPERTY EQUITIES FUND Henderson Global Investors Limited November 2015 PRODUCT KEY FACTS HENDERSON HORIZON PAN EUROPEAN PROPERTY EQUITIES This statement provides you with key information about the Pan European Property Equities

More information

Scan QR code for fund documents

Scan QR code for fund documents Scan QR code for fund documents ALLIANZ GLOBAL INVESTORS FUND Allianz Income and Growth PRODUCT KEY FACTS March 2018 This statement provides you with key information about Allianz Income and Growth (the

More information

Manager and RQFII Holder: E Fund Management (Hong Kong) Co., Limited Bank of Communications Trustee Limited

Manager and RQFII Holder: E Fund Management (Hong Kong) Co., Limited Bank of Communications Trustee Limited PRODUCT KEY FACTS E Fund Investment Fund Series- E Fund (HK) RMB Fixed Income Fund E Fund Management (Hong Kong) Co., Limited November 2018 This statement provides you with key information about E Fund

More information

ISSUER MATTHEWS INTERNATIONAL CAPITAL MANAGEMENT, LLC March 2018

ISSUER MATTHEWS INTERNATIONAL CAPITAL MANAGEMENT, LLC March 2018 PRODUCT KEY FACTS MATTHEWS ASIA FUNDS PACIFIC TIGER FUND ISSUER MATTHEWS INTERNATIONAL CAPITAL MANAGEMENT, LLC March 2018 This statement provides you with key information about this product. This statement

More information

PRODUCT HIGHLIGHTS SHEET

PRODUCT HIGHLIGHTS SHEET Prepared on: 15/01/19 This Product Highlights Sheet is an important document. It highlights the key terms and risks of this investment product and complements the Singapore Prospectus. 1 It is important

More information

Product Key Facts Franklin Templeton Investment Funds Templeton Global Balanced Fund Last updated: November 2018

Product Key Facts Franklin Templeton Investment Funds Templeton Global Balanced Fund Last updated: November 2018 Product Key Facts Franklin Templeton Investment Funds Templeton Global Balanced Fund Last updated: November 2018 This statement provides you with key information about this product. This statement is a

More information

PRODUCT KEY FACTS. BlackRock Premier Funds Horizon Income Fund. March Quick facts

PRODUCT KEY FACTS. BlackRock Premier Funds Horizon Income Fund. March Quick facts PRODUCT KEY FACTS BlackRock Premier Funds Horizon Income Fund March 2018 Quick facts Manager: Trustee: Custodian: Ongoing charges over a year # : Base currency: Dividend policy: This statement provides

More information

PRODUCT KEY FACTS. Quick facts. BOCHK Wealth Creation Series BOCHK All Weather Asian Bond Fund. April Issuer: BOCHK Asset Management Limited

PRODUCT KEY FACTS. Quick facts. BOCHK Wealth Creation Series BOCHK All Weather Asian Bond Fund. April Issuer: BOCHK Asset Management Limited PRODUCT KEY FACTS BOCHK Wealth Creation Series BOCHK All Weather Asian Bond Fund April 2019 Issuer: BOCHK Asset Management Limited This statement provides you with key information about BOCHK All Weather

More information

Product Key Facts Franklin Templeton Investment Funds Franklin India Fund

Product Key Facts Franklin Templeton Investment Funds Franklin India Fund Product Key Facts Franklin Templeton Investment Funds Franklin India Fund Last updated: April 2018 This statement provides you with key information about this product. This statement is a part of the offering

More information

Following the change, there will be several new characters at the end of the share class name, to indicate:

Following the change, there will be several new characters at the end of the share class name, to indicate: Schroder International Selection Fund Société d Investissement à Capital Variable 5, rue Höhenhof, L-1736 Senningerberg Grand Duchy of Luxembourg Tel: +352 341 342 202 Fax:+352 341 342 342 IMPORTANT: This

More information

PRODUCT HIGHLIGHTS SHEET

PRODUCT HIGHLIGHTS SHEET Prepared on: 5 July 2018 This Product Highlights Sheet is an important document. It highlights the key terms and risks of this investment product and complements the Prospectus. 1 It is important to read

More information

PRODUCT HIGHLIGHTS SHEET

PRODUCT HIGHLIGHTS SHEET Prepared on: 15 August 2018 This Product Highlights Sheet is an important document. It highlights the key terms and risks of this investment product and complements the Prospectus 1. It is important to

More information

PRODUCT KEY FACTS. BlackRock Global Funds US Dollar High Yield Bond Fund. April Quick facts

PRODUCT KEY FACTS. BlackRock Global Funds US Dollar High Yield Bond Fund. April Quick facts PRODUCT KEY FACTS BlackRock Global Funds US Dollar High Yield Bond Fund April 2018 BlackRock Asset Management North Asia Limited Quick facts Fund Manager: Investment Adviser: Depositary: Ongoing charges

More information

Allianz Global Investors Opportunities

Allianz Global Investors Opportunities Product Key Facts Allianz Global Investors Opportunities Société d Investissement à Capital Variable April 2018 Table of Contents Page no. Allianz China A-Shares 2 1 ALLIANZ GLOBAL INVESTORS OPPORTUNITIES

More information

PRODUCT KEY FACTS BOCHK Asia Pacific Property Fund

PRODUCT KEY FACTS BOCHK Asia Pacific Property Fund PRODUCT KEY FACTS BOCHK Asia Pacific Property Fund a sub-fund of the BOCHK Investment Funds Issuer: BOCI-Prudential Asset Management Limited 1 December 2017 This statement provides you with key information

More information

BlackRock Asset Management North Asia Limited Investment Advisers:

BlackRock Asset Management North Asia Limited Investment Advisers: PRODUCT KEY FACTS BlackRock Premier Funds ishares World Government Bond Index Fund April 2018 Quick facts Manager: This statement provides you with key information about this product. This statement is

More information

PRODUCT HIGHLIGHTS SHEET

PRODUCT HIGHLIGHTS SHEET Prepared on: 15 December 2017 This Product Highlights Sheet is an important document. It highlights the key terms and risks of this investment product and complements the Prospectus. 1 It is important

More information

Product Key Facts Franklin Floating Rate Fund plc Last updated: August 2018

Product Key Facts Franklin Floating Rate Fund plc Last updated: August 2018 Product Key Facts Franklin Floating Rate Fund plc Last updated: August 2018 This statement provides you with key information about this product. This statement is a part of the offering document. You should

More information

BOCOM International Asset Management Limited. Bank of Communications Trustee Limited. Class R HK$ (Dis): 1.47%# Class R US$ (Acc): 1.

BOCOM International Asset Management Limited. Bank of Communications Trustee Limited. Class R HK$ (Dis): 1.47%# Class R US$ (Acc): 1. PRODUCT KEY FACTS BOCOM International Fund - BOCOM INTERNATIONAL ASSET MANAGEMENT LIMITED April 2018 This statement provides you with key information about Global Strategic Emerging Markets Bond Fund.

More information

BlackRock World Healthscience Fund A2 USD

BlackRock World Healthscience Fund A2 USD BLACKROCK GLOBAL FUNDS BlackRock World Healthscience Fund MAY 2018 FACTSHEET Unless otherwise specified, all information applies to A2 share class in the Fund's base currency only as of the month end.

More information

PRODUCT HIGHLIGHTS SHEET

PRODUCT HIGHLIGHTS SHEET Prepared on: 30/04/18 This Product Highlights Sheet is an important document. It highlights the key terms and risks of this investment product and complements the Prospectus 1. It is important to read

More information

PRODUCT HIGHLIGHTS SHEET

PRODUCT HIGHLIGHTS SHEET Prepared on: 15/01/19 This Product Highlights Sheet is an important document. It highlights the key terms and risks of this investment product and complements the Singapore Prospectus. 1 It is important

More information

PRODUCT KEY FACTS Macquarie Unit Trust Series- Macquarie Asia New Stars Fund 16 December 2018

PRODUCT KEY FACTS Macquarie Unit Trust Series- Macquarie Asia New Stars Fund 16 December 2018 PRODUCT KEY FACTS Macquarie Unit Trust Series- Macquarie Asia New Stars Fund 16 December 2018 This statement provides you with key information about this product. This statement is a part of the Hong Kong

More information

Product Key Facts Franklin Templeton Asia Fund Series Templeton Select Global Equity Fund Last updated: April 2018

Product Key Facts Franklin Templeton Asia Fund Series Templeton Select Global Equity Fund Last updated: April 2018 Product Key Facts Franklin Templeton Asia Fund Series Templeton Select Global Equity Fund Last updated: April 2018 This statement provides you with key information about this product. This statement is

More information