Funds Authorised in December 2015

Size: px
Start display at page:

Download "Funds Authorised in December 2015"

Transcription

1 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 (Ireland) Limited M&G Feeder of Corporate Bond (GBP Class I Income) Fund 02 December Laurence Pountney Hill 78 Sir John Rogerson's Quay M&G Feeder of Emerging Markets Bond (GBP Class I Income) Fund 02 December London M&G Feeder of Emerging Markets Bond (GBP Class I-H Income) Fund 02 December EC4R 0HH M&G Feeder of Episode Macro (GBP Class T-H Accumulation) Fund 02 December M&G Feeder of European Strategic Value (GBP Class I Income) Fund 02 December M&G Feeder of European Strategic Value (GBP Class I Accumulation) Fund 02 December M&G Feeder of Global Basics (GBP Class I Income) Fund 02 December M&G Feeder of Global Basics (GBP Class I Accumulation) Fund 02 December M&G Feeder of Global Convertibles (GBP Class I Income) Fund 02 December M&G Feeder of Global Corporate Bond (GBP Class I-H Income) Fund 02 December M&G Feeder of Global Dividend (GBP Class I Income) Fund 02 December M&G Feeder of Global Dividend (GBP Class I Accumulation) Fund 02 December M&G Feeder of Global Emerging Markets (GBP Class I Income) Fund 02 December M&G Feeder of Global Emerging Markets (GBP Class I Accumulation) Fund 02 December M&G Feeder of Global Floating Rate High Yield (GBP Class I-H Income) Fund 02 December M&G Feeder of Global High Yield Bond (GBP Class I Income) Fund 02 December M&G Feeder of Global Leaders (GBP Class I Income) Fund 02 December M&G Feeder of Global Leaders (GBP Class I Accumulation) Fund 02 December M&G Feeder of Global Macro Bond (GBP Class I Income) Fund 02 December M&G Feeder of Global Macro Bond (GBP Class I-H Income) Fund 02 December M&G Feeder of Global Select (GBP Class I Income) Fund 02 December M&G Feeder of Global Select (GBP Class I Accumulation) Fund 02 December M&G Feeder of Japan (GBP Class I Income) Fund 02 December M&G Feeder of Japan (GBP Class I Accumulation) Fund 02 December M&G Feeder of Japan Smaller Companies (GBP Class I Income) Fund 02 December M&G Feeder of Japan Smaller Companies (GBP Class I Accumulation) Fund 02 December M&G Feeder of North American Dividend (GBP Class I Income) Fund 02 December M&G Feeder of North American Dividend (GBP Class I Accumulation) Fund 02 December M&G Feeder of North American Value (GBP Class I Income) Fund 02 December M&G Feeder of North American Value (GBP Class I Accumulation) Fund 02 December M&G Feeder of Optimal Income (GBP Class I Income) Fund 02 December M&G Feeder of Pan European Dividend (GBP Class I Income) Fund 02 December M&G Feeder of Pan European Dividend (GBP Class I Accumulation) Fund 02 December M&G Feeder of Recovery (GBP Class I Income) Fund 02 December M&G Feeder of Recovery (GBP Class I Accumulation) Fund 02 December M&G Feeder of Strategic Corporate Bond (GBP Class I Income) Fund 02 December M&G Feeder of UK Inflation Linked Corporate Bond (GBP Class I Income) Fund 02 December M&G Feeder of UK Select (GBP Class I Income) Fund 02 December M&G Feeder of UK Select (GBP Class I Accumulation) Fund 02 December Goodbody Funds ICAV 11 December N/A CACEIS Bank Luxembourg - Dublin Branch Goodbody Dividend Income Balanced Fund 11 December One Custom House Plaza Goodbody Dividend Income Growth Fund 11 December Goodbody Global Leaders Fund 11 December Goodbody Global Smaller Companies Fund 11 December Goodbody Dividend Income Cautious Fund 11 December

2 Date of Authorisation Management Company/AIF Management Company Depositary AKO UCITS Fund ICAV 16 December N/A BNY Mellon Trust Company (Ireland) Limited AKO Global UCITS Fund 16 December Guild House Systematic iq plc 16 December N/A Societe Generale S.A. Qbasis All Trends UCITS Fund 16 December House Custom House Quay Leadenhall UCITS ILS Fund plc 16 December Leadenhall Capital Partners LLP Bank of America Custodial Services (Ireland) Limited St. Helen's 7th Floor 1 Undershaft 2 Park Place London EC3A 8ND Hatch Street UK DMS UCITS Platform ICAV 21 December DMS Offshore Management Services (Europe) Limited SEI Investments Trustee and Custodial Services (Ireland) Limited P/E FX Strategy Fund 21 December North Wall Quay Styne House Efficient Capital CTA Index Fund 21 December Upper Hatch Street H2O Global Strategies ICAV 22 December n/a CACEIS Bank Luxembourg H2O Multi Aggregate Fund 22 December 1 Custom House Plaza H2O Multi Emerging Debt Fund 22 December Tremblant UCITS Fund ICAV 23 December DMS Offshore Management Services JP Morgan Bank (Ireland) plc Tremblant Long UCITS Fund 23 December North Wall Quay JP Morgan House 1 George's Dock Barometer UCITS Fund ICAV 30 December Barometer Management (Ireland) Limited BNY Mellon Trust Company (Ireland) Limited Barometer Tactical Income Fund 30 December 2nd Floor, Beaux Lane House Guild House Mercer Street Lower Platform Capital UCITS ICAV 30 December Quayside Fund Management Limited SEI Investments Trustee and Custodial Services (Ireland) Limited Global Allocation Morningstar Defensive Fund 30 December 50 City Quay Styne House, 2nd Floor Global Allocation Morningstar Growth Fund 30 December Upper Hatch Street Next Generation Morningstar Global Defensive Fund 30 December Next Generation Morningstar Global Growth Fund 30 December Varius Global Equity Fund 30 December Varius Global Bond Fund 30 December Ivy+ Dynamic Growth Fund 30 December Ivy+ Defensive Growth Fund 30 December Ivy+ Balanced Growth Fund 30 December

3 Date of Authorisation Management Company/AIF Management Company Depositary AIF Designated Investment Companies Authorised in December N/a AIF Unit Trust Schemes Authorised in December N/a AIF Common Contractual Fund Schemes Authorised in December N/a AIF Investment Limited Partnerships Authorised in December N/a AIF ICAVs Authorised in December KW Investment Funds ICAV # 01 December Goodybody Fund Management Limited Northern Trust Fiduciary Services (Ireland) Limited KW Investment Fund I 01 December Ballsbridge Park George's Court KW Investment Fund II 01 December Ballsbridge KW Investment Fund III 01 December Dublin 4 KW Investment Fund IV 01 December KW Investment Fund V 01 December KW Investment Fund VI 01 December KW Investment Fund VII 01 December KW Investment Fund VIII 01 December Bryant Park QIAIF ICAV # 01 December MPMF Fund Management (Ireland) Limited Citco Bank Nederland N.V. Bryant Park Fund 1 Ø 01 December 2nd Floor Beaux Lane House Custom House Plaza, Block 3 Bryant Park Fund 2 Ø 01 December Mercer Street Bryant Park Fund 3 Ø 01 December Mav I Fund Ø 01 December Bryant Park Fund 5 Ø 01 December Bryant Park Fund 6 Ø 01 December Bryant Park Fund 7 Ø 01 December Bryant Park Fund 8 Ø 01 December Pilgrim Global ICAV Ø# 01 December DMS Offshore Management Services (Europe) Limited SMT Trustees (Ireland) Limited Corrib House Block 5 52 Lower Leeson Street Harcourt Centre Harcourt Road Cavalli Investments ICAV # 01 December Goodbody Fund Management Limited Northern Trust Fiduciary Services (Ireland) Limited Cavalli Real Estate Fund 1 01 December Ballbridge Park George's Court Ballsbridge Dublin 4

4 Date of Authorisation Management Company/AIF Management Company Depositary GSO Italian Credit Strategies Fund ICAV # 01 December Blackstone/GSO Debt Funds Management Europe II Limited State Street Custodial Services (Ireland) Limited GSO Italian Credit Strategies Feeder Fund 01 December 30 Herbert Street 78 Sir John Rogerson's Quay GSO Italian Direct Lending Fund 01 December GSO Italian Bond Fund 01 December GSO Italian Alternative Strategies Fund 01 December The Davy Platform ICAV # 02 December Davy Investment Fund Services Northern Trust Fiduciary Services (Ireland) Limited Irish Property Fund 1 Ø 02 December Davy House George's Court 49 Dawson Street BlueBay Investment Funds ICAV # 10 December BlueBay Asset Management LLP RBC Investor Services Bank S.A. BlueBay Global Investment Grade Corporate Bond Fund C-1 10 December 77 Grosvenor Street George's Quay House London, W1K 3JR 43 Townsend Street United Kingdom Swiss Capital Credit Strategies ICAV # 11 December Swiss Capital Invest Holding (Dublin) Limited BNY Mellon Trust Company (Ireland) Limited Swiss Capital Loan IX 11 December George's Court Guild House Foundation Quay ICAV # 14 December MPMF Fund Management (Ireland) Limited Societe Generale S.A. Foundation Quay Fund 1Ø 14 December Beaux Lane House House Mercer Street Lower Custom House Quay DMS QIAIF Platform ICAV # 18 December DMS Offshore Management Services (Europe) Limited SEI Investments Trustee and Custodial Services (Ireland) Limited BAYVK H1 Protégé Montgelas Fund Ø 18 December North Wall Quay Styne House European Student Housing Fund 18 December 2nd Floor, Upper Hatch Street Protégé Market Independent Fund Ø 18 December 0 White Oak Summit EU Fund Ø 18 December The Hammerson ICAV # 21 December Goodbody Fund Management Limited Northern Trust Fiduciary Services (Ireland) Limited The Hammerson No. 1 Fund Ø 21 December Ballsbridge Park George's Court The Hammerson No. 2 Fund Ø 21 December Dublin 4 The Hammerson No. 3 Fund Ø 21 December The Hammerson No. 4 Fund Ø 21 December The Hammerson No. 5 Fund Ø 21 December The Hammerson No. 6 Fund Ø 21 December Rosebrook Opportunities ICAV # 22 December Davy Investment Fund Services Northern Trust Fiduciary Services (Ireland) Limited Rosebrook Opportunities Fund December Davy House George's Court 49 Dawson Street Zadig Fund ICAV # 21 December Zadig Gestion (Luxembourg) S.A. Bank of America Custodial Services (Ireland) Limited Zadig Master Fund 21 December 70C, Route d'arlon 6th Floor L-8008 Strassen 2 Park Place Luxembourg Hatch Street

5 Date of Authorisation Management Company/AIF Management Company Depositary AFS Platform ICAV # 22 December Deutsche Alternative Asset Management (UK) Limited BNY Mellon Trust Company (Ireland) Limited LiquidAlts Blueshift Energy 22 December Winchester House Guild House LiquidAlts Sandell Castlerigg 22 December 1 Great Winchester Street LiquidAlts WCM 22 December London EC2N 2DB LiquidAlts Frere Hall 22 December United Kingdom Winton Master Funds ICAV # 22 December Winton Fund Management Limited Citco Bank Nederland N.V. Winton Equity Event Master Fund 22 December Grove House Custom House Plaza, Block 3 27 Hammersmith Grove London W6 0NE England Winton Funds ICAV # 22 December Winton Fund Management Limited Citco Bank Nederland N.V. Winton Equity Event Fund 22 December Grove House Custom House Plaza, Block 3 27 Hammersmith Grove London W6 0NE England Golden Dome ICAV # 23 December DMS Offshore Management Services (Europe) Limited SMT Trustees (Ireland) Limited Golden Dome Sola 1 Fund 23 December North Wall Quay Block E, Harcourt Centre Harcourt Road Gardena Alternative ICAV # 23 December KBA Consulting Management Limited CACEIS Bank Luxembourg Gardena Bond Absolute Return Fund 23 December 5 George's Dock One Custom Hpuse Plaza Gardena Hidden Assets Arbitrage Fund 23 December Majulah ICAV # 23 December Davy Investment Fund Services Northern Trust Fiduciary Services (Ireland) Limited FGPO Ireland Fund Ø 23 December Davy House George's Court 49 Dawson Street AQS Emerging Markets Corporate Debt Total Return Fund ICAV # 31 December Aventicum Capital Management (UK) LLP JPMorgan Bank (Ireland) plc 4 Sloane Terrace JPMorgan House London SW1X 9DQ United Kingdom SUB-FUNDS Approved in December UCITS Sub Funds Approved in December SSgA SPDR ETFs Europe II plc 30 September 2013 N/A State Street Custodial Services (Ireland) Limited SPDR MSCI World Consumer Discretionary UCITS ETF 01 December 78 Sir John Rogerson's Quay SPDR MSCI World Consumer Staples UCITS ETF 01 December SPDR MSCI World Energy UCITS ETF 01 December SPDR MSCI World Financials UCITS ETF 01 December SPDR MSCI World Health Care UCITS ETF 01 December SPDR MSCI World Industrials UCITS ETF 01 December SPDR MSCI World Materials UCITS ETF 01 December SPDR MSCI World Technology UCITS ETF 01 December SPDR MSCI World Telecommunications UCITS ETF 01 December SPDR MSCI World Utilities UCITS ETF 01 December

6 Date of Approval Management Company/AIF Management Company Depositary Heptagon Fund plc 11 November 2010 N/A Brown Brothes Harriman Trustee services (Ireland) Limited Heptagon Future Trends Equity Fund 02 December 30 Herbert Street Leo Invest plc 18 March 2010 N/A Northern Trust Fiduciary Services (Ireland) Limited Duet Managed Futures Fund 03 December George's Court Crown Sigma UCITS plc 15 February 2013 N/A RBC Investor Services Bank S.A. LGT Bond EMMA LC Sub Fund 01 December George's Quay House LGT Sustainable Quality Equity Hedged Sub Fund 01 December 43 Townsend Street LGT Sustainable Equity Global Sub Fund 01 December LGT Sustainable Equity Europe Sub Fund 01 December LGT Sustainable Bond Global Sub Fund 01 December LGT Sustainable Bond Global Hedged Sub Fund 01 December Lazard Global Investment Funds plc 26 February 2009 Lazard Fund Managers (Ireland) Limited State Street Custodial Services (Ireland) Limited Lazard US Fundamental Alternative Fund 04 December 6th Floor 78 Sir John Rogerson's Quay 2 Grand Canal Square Altana UCITS Funds plc 13 May 2014 N/A State Street Custodial Services (Ireland) Limited Altana Turnaround Stock Fund 04 December 78 Sir John Rogerson's Quay Comgest Growth plc 05 April 2000 N/A RBC Investor Services Bank S.A. Comgest Growth Asia ex Japan 04 December George's Quay House Comgest Growth World Developed Markets 04 December 43 Townsend Street Powershares Global Funds Ireland plc 13 September 2002 Invesco Global Asset Management Limited BNY Mellon Trust Company (Ireland) Limited PowerShares EURO STOXX 50 Volatility Balanced UCITS ETF 04 December George's Quay House Guild House PowerShares EURO STOXX High Dividend Low Volatility UCITS ETF 04 December 43 Townsend Street Odey Investments plc 07 October 2011 N/A JP Morgan Bank (Ireland) plc Odey European Focus Absolute Return Fund 07 December JP Morgan House 1 George's Dock Royal London Asset Management Bond Funds plc 08 April 2003 N/A State Street Custodial Services (Ireland) Limited Royal London Global Bond Opportunities Fund 07 December 78 Sir John Rogerson's Quay Fundlogic Alternatives plc 27 July 2010 N/A Northern Trust Fiduciary Services (Ireland) Limited Mariner Lenus Healthcare UCITS Fund 09 December George's Court Smartfund Growth Fund 16 December Smartfund Balanced Fund 16 December

7 UCITS Sub Funds Approved (cont'd) Date of Approval Management Company/AIF Management Company Depositary Smartfund Cautious Fund 16 December 80% Protected Index Portfolio 22 December Northern Trust UCITS Common Contractual Fund 20 January 2012 Northern Trust Fund Managers (Ireland) Ltd Northern Trust Fiduciary Services (Ireland) Limited Northern Trust North America Custom ESG Equity Index Fund 09 December George's Court George's Court PIMCO Funds: Global Investor Series plc 28 January 1998 PIMCO Global Advisors (Ireland) Limited Brown Brothes Harriman Trustee services (Ireland) Limited Global Libor Plus Bond Fund 11 December 30 Herbert Street 30 Herbert Street Neuberger Berman Investment Funds plc 07 February 2001 N/A Brown Brothers Harriman Trustee Services (Ireland) Limited Neuberger Berman US Equity Fund 11 December 30 Herbert Street Guinness Asset Management Funds plc 19 December 2007 Capita Financial Managers (Ireland) Limited JP Morgan Bank (Ireland) plc Guinness Best of Britain Fund 11 December 2nd Floor JP Morgan House Guinness Best of China Fund 11 December Grand Canal Square 1 George's Dock ANIMA Funds plc 24 September 1999 N/A State Street Custodial Services (Ireland) Limted ANIMA Solution 2022-I 10 December 78 Sir John Rogerson's Quay Heptagon Fund plc 11 November 2010 N/A Brown Brothers Harriman Trustee Services (Ireland) Limited Cushing US Energy Infrastructure Equity Fund 11 December 30 Herbert Street Legg Mason Global Funds plc 29 January 1998 N/A BNY Mellon Trust Company (Ireland) Limited Legg Mason Western Asset Multi-Asset Credit Fund 14 December Guild House Legg Mason Western Asset Structured Opportunities Fund 14 December City Financial Global Strategies plc 21 August 2008 N/A Northern Trust Fiduciary Services (Ireland) Limited City Financial Absolute Equity Feeder Fund 18 December George's Court Generali Invest CEE plc 27 May 2009 N/A RBC Investment Services Bank S.A. Premium Dynamic Fund, Generali Invest CEE plc 18 December George's Quay House 43 Townsend Street Sarain IE Funds 24 November 2014 Sarasin Funds Management (Ireland) Limited Northern Trust Fiduciary Services (Ireland) Limited Sarasin IE Systematic Absolute Return UK 21 December George's Court George's Court Sarasin IE Systematic Absolute Return European 21 December

8 UCITS Sub Funds Approved (cont'd) Date of Approval Management Company/AIF Management Company Depositary Sanlam Universal Funds plc 16 May 2001 Sanlam Asset Management (Ireland) Limited Brown Brothers Harriman Trustee Services (Ireland) Limited Sanlam FOUR UK Income Opportunities Fund 21 December Beech House 30 Herbert Street Beech Hill Road Dublin 4 UBS (Irl) ETF plc 23 December 2011 N/A State Street Custodial Services (Ireland) Limted UBS (Irl) ETF plc - MSCI World Catholic Values UCITS ETF 22 December 78 Sir John Rogerson's Quay Maple-Brown Abbott Funds plc 16 October 2007 N/A RBC Investor Services Bank S.A. Maple-Brown Abbott Global Infrastructure Fund 22 December George's Quay House 43 Townsend Street MontLake UCITS Platform plc 01 September 2010 N/A Northern Trust Fiduciary Services (Ireland) Limited Robocap UCITS Fund 22 December George's Court Vanguard Funds plc 22 December Vanguard Group (Ireland) Limited Brown Brothers Harriman Trustee Services (Ireland) Limited Vanguard EUR Corporate Bond UCITS ETF 22 December 70 Sir John Rogerson's Quay Styne House Vanguard EUR Eurozone Government Bond UCITS ETF 22 December Upper Hatch Street Vanguard USD Corporate Bond UCITS ETF 22 December Ireland Vanguard USD Treasury Bond UCITS ETF 22 December Vanguard GBP Corporate Bond UCITS ETF 22 December Vanguard USD Emerging Markets Government Bond UCITS ETF 22 December Lazard Global Active Funds plc 17 April 1996 Lazard Fund Managers (Ireland) Limited BNY Mellon Trust Company (Ireland) Limited Lazard US Equity Concentrated Funds 23 December 6th Floor Guild House 2 Grand Canal Square PIMCO Funds: Global Investors Series plc 28 January 1998 PIMCO Global Advisors (Ireland) Limited Brown Brothers Harriman Trustee Services (Ireland) Limited Dynamic Multi-Asset Fund 23 December 30 Herbert Street 30 Herbert Street Los Angeles Capital Global Funds plc 30 June 2011 N/A Brown Brothers Harriman Trustee Services (Ireland) Limited Los Angeles Capital Global Fund 23 December 30 Herbert Street Impax Funds (Ireland) plc 03 December 2004 N/A BNP Paribas Securities Services Dublin Branch Impax Environmental Leaders (Ireland) Fund 23 December Trinity Point Leinster Street South HEXAM Capital Funds plc 23 February 2011 N/A State Street Custodial Services (Ireland) Limted HEXAM Hempshill Hall Global Income Fund 23 December 78 Sir John Rogerson's Quay

9 Date of Approval Management Company/AIF Management Company Depositary Russell Investment Company plc 11 April 1994 Russell Investments Ireland Limited State Street Custodial Services (Ireland) Limited Acadian Diversified Alpha UCITS 30 December 78 Sir John Rogerson's Quay 78 Sir John Rogerson's Quay Cramer Rosenthal McGlynn UCITS plc 22 July 2010 N/A Northern Trust Fiduciary Services (Ireland) Limited CRM Long/Short Opportunities UCITS 30 December George's Court BNY Mellon Global Funds, plc 14 March 2001 BNY Mellon Global Management Limited BNY Mellon Trust Company (Ireland) Limited BNY Mellon Global Credit Fund 31 December 33 Sir John Rogerson's Quay Guild House AIF Designated Investment Company Sub-Funds Approved in December Drive Investment Funds plc # 25 March Davy Investment Fund Services Northern Trust Fiduciary Services (Ireland) Limited Drive EP Fund Ø 16 December Davy House George's Court 49 Dawson Street Pramerica Fixed Income Funds plc # 28 August 2009 Pramerica Investment Management Limited State Street Custodial Services (Ireland) Limited QMA Emerging Markets All Cap Equity Fund Ø 22 December Grand Buildings 78 Sir John Rogerson's Quay 1-3 Strand Trafalgar Square London WC2N 5HR AIF Unit Trust Sub Funds Approved in December Davy Opportunity Trust # 17 November 2013 Davy Investment Fund Services Northern Trust Fiduciary Services (Ireland) Limited Green Liffey Investment Fund Ø 10 December Davy House George's Court 49 Dawson Street RAINBOW QIF 12 January 2012 ANIMA Asset Management Limited State Street Custodial Services (Ireland) Limited RAINBOW Fund XXXIII # 11 December Block A, 10th Floor 78 Sir John Rogerson's Quay 1 George's Quay Plaza PAC Qualifying Investment Fund # 22 March 2013 MPMF Fund Management (Ireland) Limited JP Morgan Bank (Ireland) plc PAC Long Short Equity Fund 11 December 2nd Floor JP Morgan House Beaux Lane House 1 George's Dock AIF Common Contractual Fund Sub Funds Approved in December Mercer QIF CCF# 16 March 2009 Mercer Global Investments Management Limited State Street Custodial Services (Ireland) Limited Mercer Investment Fund 3 CCF 04 December 70 Sir John Rogerson's Quay 78 Sir John Rogerson's Quay

10 Date of Approval Management Company/AIF Management Company Depositary ICAV Sub-Funds Approved in December Permal Managed Account Platform ICAV # 30 March N/A BNY Mellon Trust Company (Ireland) Limited P Simplex Japan PC IE Ø 04 December Guild House Permal Managed Account Platform ICAV # 30 March N/A BNY Mellon Trust Company (Ireland) Limited P LibreMax IE Ø 18 December Guild House Bartra Capital Property ICAV # 05 October Goodbody Fund Management Limited Northern Trust Fiduciary Services (Ireland) Limited Irish Social Housing Development Fund Ø 21 December Ballsbridge Park Georges Court Ballsbridge Park Dublin 4 Permal Managed Account Platform ICAV # 30 March N/A BNY Mellon Trust Company (Ireland) Limited P Canyon IE 22 December Guild House Permal Managed Account Platform ICAV # 30 March N/A BNY Mellon Trust Company (Ireland) Limited P York IE 23 December Guild House The Davy Platform ICAV # 02 December Davy Investment Fund Services Northern Trust Fiduciary Services (Ireland) Limited Elm Real Estate Investments Ø 23 December Davy House George's Court 49 Dawson Street Key This fund was authorised by the Central Bank as a closed-ended investment fund Ø This fund was authorised by the Central Bank as an open-ended investment fund 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 March 2017

Funds 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 information

Funds Authorised in August United Kingdom Dublin 1

Funds 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 information

Funds Authorised in June 2015

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 information

Funds Authorised in February 2015

Funds Authorised in February 2015 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

More information

Central Bank of Ireland - UNRESTRICTED

Central 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 information

Investimenti collettivi di capitale esteri Mutazioni - Marzo 2016

Investimenti 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 information

Foreign collective investment schemes Changes - September 2016

Foreign 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 information

NOMURA FUNDS IRELAND PLC. Interim Report and Unaudited Financial Statements for the financial half year ended 30th June, 2016

NOMURA 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 information

NOMURA FUNDS IRELAND PLC. Annual Report and Audited Financial Statements for the financial year ended 31st December, 2016

NOMURA 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 information

Authorised Unit Trust Schemes Unit Trusts Act, 1990

Authorised 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 information

Irish Stock Exchange - Investment Funds. Monthly Report - May Listing Figures. May Year to Date Total as of 31-May-2015

Irish 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 information

Lisnacrieve, Stillorgan Park, Blackrock, County Dublin 1.3.1(g) Business Occupation Consultant (h) Nationality Irish

Lisnacrieve, 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 information

CitiFirst Investments plc (An umbrella fund with segregated liability between sub-funds) Interim Report and Condensed Unaudited Financial Statements

CitiFirst 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 information

Listing Figures Funds & Subfunds. Year to Date. Classes Year to Date. Fund Type. UCITS QIF 3 23 Other 2 16 Total

Listing 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 information

List of Authorised Withholding Agents together with Associated Nominee Companies for the purposes of Irish Dividend Withholding Tax

List of Authorised Withholding Agents together with Associated Nominee Companies for the purposes of Irish Dividend Withholding Tax List of Authorised Withholding Agents together with Associated Nominee Companies for the purposes of Irish Dividend Withholding Tax Name of Company BNY (Nominees) List of Qualifying Intermediaries together

More information

RV 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 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 information

LATITUDE 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. 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 information

Irish Stock Exchange - Investment Funds. Monthly Report - April Listing Figures. April Year to Date Total as of 30-Apr-2015

Irish 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 information

Related Issuer List at September 13, 2018 (Additions are highlighted)

Related Issuer List at September 13, 2018 (Additions are highlighted) RBC Common Shares Royal Bank of Canada RBC Preferred Shares 4.90% Non-Cumulative First Preferred Shares SERIES W 4.45% Non-Cumulative First Preferred Shares SERIES AA 4.60% Non-Cumulative First Preferred

More information

GLG INVESTMENTS PLC PROSPECTUS

GLG 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 information

Foreign collective investment schemes Changes - July 2014

Foreign 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 information

Satrix World Equity Tracker - C Class

Satrix 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 information

company The Smartfund Range Equity investing without riding every wave

company 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 information

WELLINGTON MANAGEMENT FUNDS (IRELAND) PLC

WELLINGTON 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 information

IMPORTANT NOTICE TO THE SHAREHOLDERS

IMPORTANT NOTICE TO THE SHAREHOLDERS IMPORTANT NOTICE TO THE SHAREHOLDERS 2 January 2018 Further to the notice dated 2 January 2018 regarding the change of names of certain sub-funds and share classes of the Company, a full list showing the

More information

SEI 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 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 information

Residential Address (usual) 1.3.1(f) 40 Carysfort Avenue, Blackrock, Dublin. Business Occupation. Solicitor (h) Nationality Irish. 1.3.

Residential Address (usual) 1.3.1(f) 40 Carysfort Avenue, Blackrock, Dublin. Business Occupation. Solicitor (h) Nationality Irish. 1.3. 1.3.1 Director: 1.3.1(a) Surname Stapleton 1.3.1(b) Former surname N/A 1.3.1(c) Forename N/A 1.3.1(d) Former forename Peter 1.3.1(e) Date of Birth 28-Oct-79 1.3.1(f) Residential Address (usual) 40 Carysfort

More information

Ausländische kollektive Kapitalanlagen Mutationen - Juni 2016

Ausländische kollektive Kapitalanlagen Mutationen - Juni 2016 Ausländische kollektive Kapitalanlagen Mutationen - Juni 2016 Zum Vertrieb in oder von der Schweiz aus genehmigt: 1741 Asset Management Funds SICAV (F00156639) Vescore Sustainable Equity EMU Smart Hedging

More information

Foreign collective investment schemes Changes February 2014

Foreign 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 information

Annual Report and Audited Financial Statements

Annual 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 information

Irish Stock Exchange - Investment Funds. Monthly Report - September Listing Figures. September Year to Date Total as of 30-Sep-2014

Irish Stock Exchange - Investment Funds. Monthly Report - September Listing Figures. September Year to Date Total as of 30-Sep-2014 Listing Figures September Year to Date Total as of 30-Sep- s & Subfunds 26 133 2196 Classes 181 1296 7181 Various Guernsey - 40, Delaware - 4, Denmark - 1, Mauritius - 7, Malta - 3, Canada - 1, Luxembourg

More information

General 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 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 information

Prospectus. Legg Mason Global Funds Plc

Prospectus. 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 information

MULTI-ASSET SOLUTIONS FROM LEGG MASON

MULTI-ASSET SOLUTIONS FROM LEGG MASON Legg Mason QS Investors Multi-Asset Fund range MULTI-ASSET SOLUTIONS FROM LEGG MASON Three balanced investment portfolios, built for long-term capital growth within specific risk parameters A strong long-term

More information

Ausländische kollektive Kapitalanlagen Mutationen - Oktober 2018

Ausländische kollektive Kapitalanlagen Mutationen - Oktober 2018 Ausländische kollektive Kapitalanlagen Mutationen - Oktober 2018 Zum Vertrieb in oder von der Schweiz aus genehmigt: Aberdeen Global (F00156165) Artificial Intelligence Global Equity Fund (F01214231) Belt

More information

EFFICIENT 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. 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 information

Foreign collective investment schemes Changes - July 2017

Foreign 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 information

Satrix UK Equity Tracker Fund - A Class (USD)

Satrix 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 information

SUPPLEMENT 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. 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 information

Fund Background Range and Information

Fund 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 information

Irish Stock Exchange - Investment Funds. Monthly Report - December Listing Figures. December Year to Date Total as of 31-Dec-2014

Irish Stock Exchange - Investment Funds. Monthly Report - December Listing Figures. December Year to Date Total as of 31-Dec-2014 Listing Figures December Year to Date Total as of 31-Dec- Funds & Subfunds 18 183 2185 Classes 147 1662 7367 Various Guernsey - 39, Malta - 3, Scotland - 1, Luxembourg - 9, Delaware - 3, Bahamas - 1, Mauritius

More information

CITI GLOBAL INTEREST RATES STRATEGY 10 INDEX FUND

CITI 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 information

Foreign collective investment schemes Changes - January 2016

Foreign collective investment schemes Changes - January 2016 Foreign collective investment schemes Changes - January 2016 Approved for distribution in or from Switzerland: Aberdeen Global II US Dollar Credit Bond Fund (F01087824) AXA World Funds Emerging Markets

More information

Exchange Traded Funds

Exchange 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 information

ETF Quarterly Statistics

ETF 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 information

BetaBuilders EUR Govt Bond 1-3 yr UCITS ETF

BetaBuilders EUR Govt Bond 1-3 yr UCITS ETF JPMORGAN ETFS (IRELAND) ICAV BetaBuilders EUR Govt Bond 1-3 yr UCITS ETF 24 August 2018 (A sub-fund of JPMorgan ETFs (Ireland) ICAV, an Irish collective asset-management vehicle constituted as an umbrella

More information

Adviser Guide to Investment Options and Fund Choice

Adviser Guide to Investment Options and Fund Choice For Adviser use only not approved for use with clients Adviser Guide Adviser Guide to Investment Options and Fund Choice Including: Life Funds Pension Funds Prudential International Funds Collective Funds

More information

J O Hambro Capital Management Umbrella Fund plc.

J 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 information

LEGG 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 LEGG MASON GLOBAL FUNDS PLC Riverside Two Sir John Rogerson s Quay, Grand Canal Dock, Dublin 2, Ireland 5 March 2015 THIS DOCUMENT IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION. IF YOU ARE IN ANY

More information

IMPORTANT NOTICE TO ALL SHAREHOLDERS OF THE COMPANY

IMPORTANT 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 information

Academy of Funds. Analytics Report. Click below to view our latest. Quarter Talking Withs. Talking Factsheets.

Academy of Funds. Analytics Report. Click below to view our latest. Quarter Talking Withs. Talking Factsheets. Quarter 3 2018 For Professional Clients Only Academy of Funds Analytics Report Click below to view our latest Talking Withs Talking Factsheets @SquareMileICR info@squaremileresearch.com squaremileresearch.com

More information

Summary of Objective 1. Quarterly Fund Commentary. Name 1 Month

Summary of Objective 1. Quarterly Fund Commentary. Name 1 Month Davy GPS Funds Davy Long Term Growth Fund Invests in Underlying Funds Globally Diversified Portfolio Actively Monitored Asset Allocation Managed by Davy s Investment Team Attractive Cost Structure KEY

More information

Academy of Funds. Analytics Report. Click below to view our latest. Quarter Talking Withs. Talking Factsheets.

Academy of Funds. Analytics Report. Click below to view our latest. Quarter Talking Withs. Talking Factsheets. Quarter 2 2018 For Professional Clients Only Academy of Funds Analytics Report Click below to view our latest Talking Withs Talking Factsheets @SquareMileICR info@squaremileresearch.com squaremileresearch.com

More information

Introducing Fund Manager Rebates

Introducing Fund Manager Rebates www.davyselect.ie SELECT Introducing Fund Manager s (Excluding Exchange Traded Funds) 26TH APRIL 2017 In the case of all pension and certain trading accounts, Davy will refund to you 100 of any rebates

More information

Foreign collective investment schemes Changes - June, 2008

Foreign collective investment schemes Changes - June, 2008 Foreign collective investment schemes Changes - June, 2008 Approved for distribution in or from Switzerland: UBS ETF - MSCI EMU Agent 2: AXA ROSENBERG EQUITY ALPHA TRUST - AXA Rosenberg Eurobloc 130/30

More information

2017 Fund holidays for Vanguard Investments Series plc

2017 Fund holidays for Vanguard Investments Series plc 2017 Fund holidays for Vanguard Investments Series plc Vanguard Investment Series Plc (Irish-domiciled) *Effective 3 March 2014, Vanguard U.S. Opportunities Fund is closed to all new accounts; existing

More information

Satrix Emerging Market Equity Tracker Fund - A Class (USD)

Satrix 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 information

Morgan Stanley Investment Funds Global Balanced Risk Control Fund of Funds

Morgan 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 information

New Capital Alternative Strategies plc

New 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 information

Adviser Guide to Investment Options and Fund Choice

Adviser Guide to Investment Options and Fund Choice For Adviser use only not approved for use with clients Adviser Guide Adviser Guide to Investment Options and Fund Choice Including: Life Funds Pension Funds Prudential International Funds Collective Funds

More information

USD Emerging Markets Sovereign Bond UCITS ETF

USD 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 information

14 Hyde Park, Terenure, Dublin 6W 1.3.1(g) Business Occupation Non Executive Director (h) Nationality Irish

14 Hyde Park, Terenure, Dublin 6W 1.3.1(g) Business Occupation Non Executive Director (h) Nationality Irish 1.3.1 Director: 1.3.1(a) Surname Quigley 1.3.1(b) Former surname N/A 1.3.1(c) Forename Des 1.3.1(d) Former forename N/A 1.3.1(e) Date of Birth 21/09/47 1.3.1(f) Residential Address (usual) 14 Hyde Park,

More information

ARM ASSET-BACKED SECURITIES S.A.

ARM ASSET-BACKED SECURITIES S.A. SERIES PROSPECTUS R Capital Growth dated 12 September 2008 ARM ASSET-BACKED SECURITIES S.A. (A societe anonyme incorporated, existing and organised under the laws of the Grand Duchy of Luxembourg, and

More information

REPORT AND UNAUDITED CONDENSED FINANCIAL STATEMENTS

REPORT 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 information

Prospectus 31 May 2018

Prospectus 31 May 2018 Amundi Funds II VISA 2018/112664-2211-0-PC L'apposition du visa ne peut en aucun cas servir d'argument de publicité Luxembourg, le 2018-06-01 Commission de Surveillance du Secteur Financier Prospectus

More information

MIBI Membership List March 2017

MIBI 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 information

(together the Funds ) IMPORTANT NOTICE TO THE SHAREHOLDERS OF

(together the Funds ) IMPORTANT NOTICE TO THE SHAREHOLDERS OF Investment Company with Variable Capital Registered office: 49, avenue J.F. Kennedy, L-1855 Luxembourg R.C.S. Luxembourg B-119.899 (the Merging Fund ) Concept Fund Solutions plc A company incorporated

More information

MM Navigator Return Focused Range MM Lifestyle Risk Targeted Range

MM Navigator Return Focused Range MM Lifestyle Risk Targeted Range CM15588 UK For professional investors only MM Navigator Return Focused Range MM Lifestyle Risk Targeted Range July 2018 Investment risks The value of investments and income derived from them can go down

More information

FP Octopus Global Growth Fund

FP Octopus Global Growth Fund FP Octopus Global Growth Fund Short Report for the six months ended 30 April 2016 Investment Objective and Policy The Fund aims to achieve capital growth for investors over the medium to longer term. The

More information

R.C.S. Luxembourg B

R.C.S. Luxembourg B R.C.S. Luxembourg B14.413 Audited Annual Report as at 31 January 216 No subscription can be accepted on the basis of the financial reports. Subscriptions are only valid if they are made on the basis of

More information

J O Hambro Capital Management Umbrella Fund plc.

J 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 information

MyFolio Multi Manager Range Report

MyFolio Multi Manager Range Report MyFolio Multi Manager Range Report Standard Life Investments has not considered the suitability of investment against your individual needs and risk tolerance. To ensure that you understand whether a financial

More information

PROSPECTUS MARSHALL WACE FUNDS PLC

PROSPECTUS MARSHALL WACE FUNDS PLC Doc No: 7453 Furnished to: Morningstar PROSPECTUS MARSHALL WACE FUNDS PLC Marshall Wace Funds plc (the "Company") is an umbrella fund investment company with segregated liability between sub-funds with

More information

Prospectus February 2018

Prospectus February 2018 Amundi Funds II VISA 2018/111776-2211-0-PC L'apposition du visa ne peut en aucun cas servir d'argument de publicité Luxembourg, le 2018-03-02 Commission de Surveillance du Secteur Financier Prospectus

More information

ETF Quarterly Statistics

ETF Quarterly Statistics ETF Quarterly Statistics 1 st quarter 2016 Development of the ETF segment of SIX Swiss Exchange in the 1 st quarter of 2015 In the first quarter of 2016, SIX Swiss Exchange recorded an ETF trading turnover

More information

Zurich Flexible Personal Pension (Section 61 plan) Zurich Personal Pension (89 plan)

Zurich 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 information

Legal & General All Stocks Gilt Index Fund LS5 UK Gilts 0.12% 0.05% 0.17% 0.06%

Legal & General All Stocks Gilt Index Fund LS5 UK Gilts 0.12% 0.05% 0.17% 0.06% SELECT PORTFOLIO BOND (WEALTH MANAGERS) FUND DETAILS This document shows the fund charges, Association of British Insurers (ABI) sectors and valuation spreads for the funds available on our Select Portfolio

More information

Legal & General All Stocks Gilt Index Fund LS5 UK Gilts 0.12% 0.04% 0.16% 0.05%

Legal & General All Stocks Gilt Index Fund LS5 UK Gilts 0.12% 0.04% 0.16% 0.05% SELECT PORTFOLIO bond (WEALTH MANAGERS) FUND DETAILS This document shows the fund charges, Association of British Insurers (ABI) sectors and valuation spreads for the funds available on our Select Portfolio

More information

Foreign collective investment schemes Changes - May 2016

Foreign collective investment schemes Changes - May 2016 Foreign collective investment schemes Changes - May 2016 Approved for distribution in or from Switzerland: Allianz Global Investors Fund (F00156112) Allianz Advanced Fixed Income Global Aggregate (F01097494)

More information

COUTTS MULTI ASSET FUND PLC

COUTTS MULTI ASSET FUND PLC An open-ended umbrella investment company with variable capital and segregated liability between its sub-funds established under Irish law Audited Annual Report and Accounts For the financial year ended

More information

MIBI Membership List November 2017

MIBI 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 information

Morningstar MPS Multi-Asset Real Return Range. Monthly Factsheets. For Financial Advisers and their Clients using Morningstar's Managed Portfolios

Morningstar MPS Multi-Asset Real Return Range. Monthly Factsheets. For Financial Advisers and their Clients using Morningstar's Managed Portfolios ? Morningstar MPS Multi-Asset Real Return Range Monthly Factsheets For Financial Advisers and their Clients using Morningstar's Managed Portfolios Morningstar Investment Management Europe Limited 1 Oliver

More information

THIS 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 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 information

Vanguard funds month-end NAV report

Vanguard funds month-end NAV report Vanguard funds month-end NAV report Fund Full Name February 2018 March 2018 NAVs Swing Factor Vanguard 20+ Year Euro Treasury Index Fund Institutional EUR Shares 204.4639 204.1373 0.16% 0.16% 0% Vanguard

More information

Residential Address (usual) 12 Nutley Road,

Residential Address (usual) 12 Nutley Road, 1.3.1 Director: 1.3.1(a) Surname Cunniff 1.3.1(b) Former surname N/A 1.3.1(c) Forename Sarah 1.3.1(d) Former forename N/A 1.3.1(e) Date of Birth 15/07/65 1.3.1(f) Residential Address (usual) 12 Nutley

More information

Prospectus February Amundi Funds II A Luxembourg Investment Fund (Fonds Commun de Placement)

Prospectus 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 information

Business register name. Business register entity id. Registry of Companies WW46IJKIJQDX19 ISSUED 26/10/ /10/ /12/2017.

Business 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 information

Legal & General (PMC) All Stocks Gilts Index Fund UK Gilts 0.20% 0.00%

Legal & General (PMC) All Stocks Gilts Index Fund UK Gilts 0.20% 0.00% PORTFOLIO PLUS FUND DETAILS This document shows the fund management charge, Association of British Insurers (ABI) sectors and spreads for the funds available on the Portfolio Plus SIPP and Portfolio Plus

More information

LEGG 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 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 information

STRATEGIC PORTFOLIOS An investment solution designed to meet investors financial goals.

STRATEGIC PORTFOLIOS An investment solution designed to meet investors financial goals. STRATEGIC PORTFOLIOS An investment solution designed to meet investors financial goals. seic.com The SEI Strategic Portfolios provide a core investment solution designed to meet a wide variety of investors

More information

Unaudited Financial Statements For the six months ended 30 June Registered Number: Crown Asia-Pacific Private Equity II plc

Unaudited Financial Statements For the six months ended 30 June Registered Number: Crown Asia-Pacific Private Equity II plc Unaudited Financial Statements For the six months ended 30 June 2015 Registered Number: 487002 Crown Asia-Pacific Private Equity II plc Table of contents Directors and other information 4 Background to

More information

Fund Performance - EUR March

Fund Performance - EUR March Fund Performance - EUR March 31 2010 SCORECARD European Equity Pioneer Funds - Core European Equity A 18 Dec 2000 LU0119364239 3.44 6.22 11.86 50.48-7.70 1.91-2.66 Pioneer Funds - Core European Equity

More information

THE INDOSUEZ FUNDS RANGE

THE INDOSUEZ FUNDS RANGE THE INDOSUEZ FUNDS RANGE DATA AS OF 29 th MARCH 2018 Distribution Contacts CA Indosuez (Switzerland) S.A. Christophe Lhote Global Head of Investment Funds christophe.lhote@ca-indosuez.ch +41 58 321 92

More information

Unaudited Financial Statements For the six months ended 30 June Registered Number: Crown Asia-Pacific Private Equity III plc

Unaudited Financial Statements For the six months ended 30 June Registered Number: Crown Asia-Pacific Private Equity III plc Unaudited Financial Statements For the six months ended 30 June 2017 Registered Number: 543220 Crown Asia-Pacific Private Equity III plc This document is for information only and is not an offer to sell

More information

CQS 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 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 information

fund range For financial advisers only November 2015

fund 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 information

Schroder Managed Balanced Fund Interim Report and Accounts August 2018

Schroder Managed Balanced Fund Interim Report and Accounts August 2018 Interim Report and Accounts August 2018 August 2018 Contents Fund Information 1 3 Investment objective and policy 3 Financial highlights 3 Fund information 3 Ongoing charges figure 4 Total purchases and

More information

PRIME Funds. The next generation of passive funds

PRIME Funds. The next generation of passive funds PRIME Funds The next generation of passive funds Contents Introduction... 2 PRIME Funds At a Glance... 3 PRIME Funds... 4 How PRIME Funds Aim To Achieve Returns... 5 PRIME Funds & Risk Categories... 6

More information

LEGG 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 LEGG MASON GLOBAL FUNDS PLC Riverside Two Sir John Rogerson s Quay Grand Canal Dock Dublin 2, Ireland 14 February 2019 THIS DOCUMENT IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION. IF YOU ARE IN ANY

More information

ETF Quarterly Statistics

ETF 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 information