Most Popular Funds - Quarter 4, 2017

Size: px
Start display at page:

Download "Most Popular Funds - Quarter 4, 2017"

Transcription

1 generali-worldwide.com

2 Please see below the GW Top 5 Funds as at To find out more information about each of these funds, simply click on the fund name. GW TOP 5 OVERALL FUNDS AS AT * 1. GW International Equity 2. GW JPMorgan European Equity 3. GW US Dollar Reserve 4. GW JP Morgan Pacific Equity 5. GW Global Strategic Bond GW TOP 5 OVERALL FUNDS THIS YEAR TO ^ 1. GW Sterling Reserve 2. GW US Dollar Reserve 3. GW Euro Reserve 4. GW Global Strategic Bond 5. GW Physical Gold ishares *Please note that these statistics are based on the value, on the given date of Generali Worldwide s net investment into the funds on behalf of investors and not fund performance. ^ Please note that these statistics are based on fund popularity for the year to date period and not fund performance. The calculation is based on the net cash flow into these funds. It is important to note that this document is in no way presenting a recommendation of these funds or suggesting that one fund is better than another fund. Generali Worldwide does not provide investment advice based on individual circumstances. Investment decisions are the responsibility of the investor and any choice of Investments is entirely at their own risk. Page 2 of 13

3 Active Management Equity Funds GW INTERNATIONAL EQUITY Medium Risk Rating JPMorgan Equity Fund Global 0.75% MSCI World NR Medium November 1991 To achieve a total rate of return in excess of the global equity markets with a research-driven equity portfolio, operating within a structured and risk-controlled framework. The fund offers the opportunity to capture the high returns on offer across equity markets worldwide, while controlling risk by diversifying globally by sector. The investment process focuses on bottom up stock selection within each industry / sector globally based on fundamental research. This approach leverages an extensive research network to identify the most attractively priced securities on a global sector basis. The regional or country allocation of the strategy is therefore a result of the stock-selection process. The most distinctive element in our stock selection process is our commitment to proprietary fundamental research, which is the primary driving force behind the value we add. Currency exposure is managed on a passive basis and hedged back to the benchmark weightings. The investment process focuses on bottom up stock selection within each industry / sector globally based on fundamental research. This approach leverages an extensive research network to identify the most attractively priced securities on a global sector basis. The regional or country allocation of the strategy is therefore a result of the stock-selection process. The most distinctive element in our stock selection process is our commitment to proprietary fundamental research, which is the primary driving force behind the value we add. Currency exposure is managed on a passive basis and hedged back to the benchmark weightings. Generali Worldwide International Equity is a US dollar denominated life fund established under Guernsey Law. The fund is valued and priced weekly, with the prices being calculated in three currencies US Dollar, Sterling and Euro.

4 Active Management Equity Funds GW JPMORGAN EUROPEAN EQUITY Medium Risk Rating JPMorgan EUR Equity Fund Europe 0.65% MSCI Europe NR EUR Medium 1st July 1996 To achieve a return in excess of the European equity markets by investing in European companies. At least 67% of the Fund s total assets (excluding cash and cash equivalents) will be invested in equity linked securities of companies that are incorporated under the laws of, and have their registered office in, a European country, or that derive the predominant part of their economic activity from Europe, even if listed elsewhere. Equity exposure may be achieved through investment in shares, depository receipts, warrants and other participation rights. Subject to foregoing, equity exposure may also be achieved, to a limited extent through investment in convertible securities, index and participation notes and equity linked notes. Fixed and floating rate debt securities, cash and cash equivalents may be held on an ancillary basis. The Fund may also invest in UCITS and other UCIs. The Fund may invest in assets denominated in any currency and currency exposure in this Fund may be hedged or may be managed by reference to its benchmark. The Fund may invest in financial derivative instruments for hedging purposes and for efficient portfolio management. Techniques and instruments relating to transferable securities and money market instruments (including, but not limited to, securities lending or repurchase agreements) may be used for the purpose of efficient portfolio management. JPMorgan Asset Management is a global leader in investment and wealth management. The company operates across various regions including the Americas, EMEA (Europe, Middle East and Africa), and Asia. With staff of 19,431* they have a presence in 34 countries worldwide. Their 746* investment professionals are mainly based in the five major investment management hubs at London, Hong Kong, Tokyo, New York and Columbus. They have assets under management of $1,380,885 million*. *All as at 30th September The JPMorgan European Select Equity is a euro denominated fund established under Luxembourg law and registered as a SICAV. The GW JPMorgan European Equity is a separate fund established by Generali Worldwide, governed under Guernsey Law. It invests exclusively in the European Select Equity Fund with no initial charge. Generali Worldwide levies no additional charges over this fund. The GW fund is valued and priced weekly, with the prices being calculated in three currencies euro, US dollar and sterling.

5 Bond Funds GW US DOLLAR RESERVE Low Risk Rating Generali Portfolio Management (CI) Limited Short Term Bond Fund USA 0.35% N/A Low January 1995 The objective of the fund is to maximise total return, including both capital and income, consistent with the preservation of capital whilst maintaining a high degree of liquidity. The Manager will seek to achieve the objective by investing in Bank deposits, Money Market Funds, Commercial Paper, Certificates of Deposit, Government Bonds, Government Agency Bonds, Global Bonds, Eurobonds, Domestic Bonds, Floating rate notes, Asset backed securities and Covered Bonds. The maximum expected maturity for any one investment will be three years from settlement date. The portfolio manager will purchase investments rated at least A-; however, in the event of a credit rating downgrade assets rated down to a minimum of BBB- are permitted. Generali Portfolio Management (CI) Limited is 100% owned by Generali Worldwide Insurance Company Limited. They offer bespoke portfolio management services for clients, drawing upon combined investment experience and expertise of the company s executives, the worldwide investment resources of the Generali Group and investment research from outside parties. The Generali Worldwide US Dollar Reserve Fund is denominated in US dollars and is a life fund established under Guernsey law. The fund is valued and priced weekly with the prices being calculated in three currencies US dollar, GBP and euro.

6 Active Management Equity Funds GW JPMORGAN PACIFIC EQUITY Medium / High Risk Rating JPMorgan Equity Fund Asia / Pacific 0.75% MSCI AC Asia Pacific NR Medium / High January 2001 To provide long-term capital growth by investing primarily in companies in the Pacific Basin (including Japan). JPMorgan believe that assets are best managed by specialists located in the markets and regions in which they invest. Through original research and company visits, they are able to identify those companies with superior longterm potential and those that can react quickly to market changes. JPMorgan Asset Management is a global leader in investment and wealth management. The company operates across various regions including the Americas, EMEA (Europe, Middle East and Africa), and Asia. With staff of 19,431* they have a presence in 34 countries worldwide. Their 746* investment professionals are mainly based in the five major investment management hubs at London, Hong Kong, Tokyo, New York and Columbus. They have assets under management of $1,380,885 million*. *All as at 30th September The JPMorgan Pacific Equity Fund is a US dollar denominated unit trust governed by the law of the Cayman Islands. The GW JPMorgan Pacific Equity Fund is a separate fund established by Generali Worldwide, governed under Guernsey Law. It invests exclusively in the JPMorgan Pacific Securities Fund with no initial charge. Generali Worldwide levies no additional charges over this fund. The GW fund is valued and priced weekly, with the prices being calculated in three currencies US dollar, sterling and euro.

7 Bond Funds GW GLOBAL STRATEGIC BOND Medium Risk Rating Generali Portfolio Management (CI) Limited Strategic Bond Fund Global 0.75% Morningstar Gbl Gov Bd TR Medium July 2011 The fund will invest into the American bond markets with the aim of generating a higher level of income than comparable Government securities over the longer term. Through a blend of currency exposure, direct bond holdings, along with absolute return and strategic bond fund holdings the fund aims to outperform the benchmark over the medium term. The use of a dynamic strategy as opposed to a benchmark tracking style should result in the fund being well positioned as bond markets move through the economic cycle. The returns generated within the fund will be from a combination of both changes in asset prices and currency fluctuations as the manager changes the underlying asset allocation based on their global outlook of bond markets and currencies. The fund will frequently have international currency exposure on an un-hedged basis. Generali Portfolio Management (CI) Limited is 100% owned by Generali Worldwide Insurance Company Limited. They offer bespoke portfolio management services for clients, drawing upon combined investment experience and expertise of the company s executives, the worldwide investment resources of the Generali Group and investment research from outside parties. The GW Global Strategic Bond is a US dollar denominated fund of funds which is established as part of the Generali Worldwide long term life fund based in Guernsey. The GW Global Strategic Bond fund is valued and priced weekly. In addition to US dollars the fund will also be priced in Euros and Sterling on an un-hedged basis.

8 Bond Funds GW STERLING RESERVE Low Risk Rating Generali Portfolio Management (CI) Limited GBP Short Term Bond Fund UK 0.35% N/A Low July 1996 The objective of the fund is to maximise total return, including both capital and income, consistent with the preservation of capital whilst maintaining a high degree of liquidity. The Manager will seek to achieve the objective by investing in Bank deposits, Money Market Funds, Commercial Paper, Certificates of Deposit, Government Bonds, Government Agency Bonds, Global Bonds, Eurobonds, Domestic Bonds, Floating rate notes, Asset backed securities and Covered Bonds. The maximum expected maturity for any one investment will be three years from settlement date. The portfolio manager will purchase investments rated at least A-; however in the event of a credit rating downgrade assets rated down to a minimum of BBB- are permitted. Generali Portfolio Management (CI) Limited is 100% owned by Generali Worldwide Insurance Company Limited. They offer bespoke portfolio management services for clients, drawing upon combined investment experience and expertise of the company s executives, the worldwide investment resources of the Generali Group and investment research from outside parties. The Generali Worldwide Sterling Reserve Fund is denominated in sterling and is a life fund established under Guernsey law. The fund is valued and priced weekly with the prices being calculated in three currencies US dollar, GBP and euro. 03/17 Fund Background Range and Information

9 Bond Funds GW US DOLLAR RESERVE Low Risk Rating Generali Portfolio Management (CI) Limited Short Term Bond Fund USA 0.35% N/A Low January 1995 The objective of the fund is to maximise total return, including both capital and income, consistent with the preservation of capital whilst maintaining a high degree of liquidity. The Manager will seek to achieve the objective by investing in Bank deposits, Money Market Funds, Commercial Paper, Certificates of Deposit, Government Bonds, Government Agency Bonds, Global Bonds, Eurobonds, Domestic Bonds, Floating rate notes, Asset backed securities and Covered Bonds. The maximum expected maturity for any one investment will be three years from settlement date. The portfolio manager will purchase investments rated at least A-; however, in the event of a credit rating downgrade assets rated down to a minimum of BBB- are permitted. Generali Portfolio Management (CI) Limited is 100% owned by Generali Worldwide Insurance Company Limited. They offer bespoke portfolio management services for clients, drawing upon combined investment experience and expertise of the company s executives, the worldwide investment resources of the Generali Group and investment research from outside parties. The Generali Worldwide US Dollar Reserve Fund is denominated in US dollars and is a life fund established under Guernsey law. The fund is valued and priced weekly with the prices being calculated in three currencies US dollar, GBP and euro.

10 Bond Funds GW EURO RESERVE Low Risk Rating Generali Portfolio Management (CI) Limited EUR Short Term Bond Fund Europe 0.35% N/A Low July 1996 The fund seeks to maximise total return, including both capital and income, consistent with the preservation of capital whilst maintaining a high degree of liquidity. The fund invests in a wide variety of medium-term government and corporate bonds with a minimum credit rating of AA. Capital gains are accrued within the fund and are distributed during subsequent years to provide a smoothed investment return. This is achieved by the addition of Guaranteed Interest on a daily basis included in the price of the fund and Additional Interest annually in arrears by the addition of bonus units. The fund is managed by Generali Worldwide which is a wholly owned subsidiary of the Assicurazioni Generali Group, one of the world s top 10 global insurers. The fund is advised by Generali Investments S.p.A based in Trieste, also a subsidiary of the Group, who currently have assets under management of 300 billion and employ over 70 portfolio managers and investment professionals. The Generali Worldwide Sterling Deposit Administration Fund is denominated in sterling and is a life fund established under Guernsey law. Guaranteed Interest is added on a daily basis, reflected in the unit price of the fund, at a rate dependant on the year of policy commencement thereby providing a minimum guaranteed interest. In addition, Additional Interest is credited annually, in arrears, by way of the addition of bonus units, based on the Declared Interest rate and the size of the policy account. The Declared Interest rate is announced by the Actuary of Generali Worldwide following an actuarial valuation of the Deposit Administration fund as at 31st December each year. The Declared Interest rate reflects the investment performance of the underlying assets during the calendar year, and the desire to smooth the volatility of the underlying investments..

11 Bond Funds GW GLOBAL STRATEGIC BOND Medium Risk Rating Generali Portfolio Management (CI) Limited Strategic Bond Fund Global 0.75% Bloomberg Barclays Multiverse TR Medium July 2011 The fund will invest into the American bond markets with the aim of generating a higher level of income than comparable Government securities over the longer term. Through a blend of currency exposure, direct bond holdings, along with absolute return and strategic bond fund holdings the fund aims to outperform the benchmark over the medium term. The use of a dynamic strategy as opposed to a benchmark tracking style should result in the fund being well positioned as bond markets move through the economic cycle. The returns generated within the fund will be from a combination of both changes in asset prices and currency fluctuations as the manager changes the underlying asset allocation based on their global outlook of bond markets and currencies. The fund will frequently have international currency exposure on an un-hedged basis. Generali Portfolio Management (CI) Limited is 100% owned by Generali Worldwide Insurance Company Limited. They offer bespoke portfolio management services for clients, drawing upon combined investment experience and expertise of the company s executives, the worldwide investment resources of the Generali Group and investment research from outside parties. The GW Global Strategic Bond is a US dollar denominated fund of funds which is established as part of the Generali Worldwide long term life fund based in Guernsey. The GW Global Strategic Bond fund is valued and priced weekly. In addition to US dollars the fund will also be priced in Euros and Sterling on an un-hedged basis.

12 Multi Asset & Alternative Asset Funds GW ISHARES PHYSICAL GOLD High Risk Rating Blackrock Commodity Global Absolute Return 0.25% N/A High 23rd August ishares Physical Gold seeks to track the day-to-day movement of the price of gold, less fees, by holding gold bullion. The ishares physically-backed Exchange Traded Commodities (ETCs) are a series of secured metal-linked debt securities that trade on one or more regulated exchanges and offer investors easily accessible, liquid and transparent exposure to physical precious metals. ishares Physical ETCs provide investors with exposure to the performance of individual previous metals without the need to take physical delivery or trade commodity futures contracts. ishares Physical Gold seeks to track the day-to-day movement of the price of gold, less fees, by holding gold bullion. The gold bullion backs the securities issued and is valued daily at the London PM fix price. The gold bullion is held as allocated gold bars with the custodian, JPMorgan. The fund is managed by BlackRock who offers a range of solutions from rigorous fundamental and quantitative active management approaches aimed at maximizing outperformance to highly efficient indexing strategies designed to gain broad exposure to the world's capital markets. As of December 31, 2012, BlackRock's assets under management total US$3.79 trillion across equity, fixed income, cash management, alternative investment, real estate and advisory strategies. The ishares Physical Gold is a US Dollar denominated exchange traded fund governed under Irish Law. The GW ishares Physical Gold is a separate fund established by Generali Worldwide which invests exclusively in the ishares Physical Gold. Generali Worldwide levies no additional charges over this fund.

13 Registered Head Office address:, Generali House, Hirzel Street, St Peter Port, Guernsey, Channel Islands GY1 4PA. Incorporated in Guernsey under Company Registration No T +44 (0) F +44 (0) generali-worldwide.com Regulated in Guernsey as a licensed insurer by the Guernsey Financial Services Commission under the Insurance Business (Bailiwick of Guernsey) Law, 2002 (as amended). is part of the Generali Group, listed in the Italian Insurance Group Register under number 026. Websites may make reference to products that are not authorised or regulated and/or are not available for offering to planholders in certain jurisdictions.

Most Popular Funds Quarter 3, 2015

Most Popular Funds Quarter 3, 2015 Most Popular Funds Quarter 3, 2015 Most Popular Funds Quarter 3, 2015 Please find below the Top 5 overall GW funds as at 30/09/2015. To find out more information about each of these funds, simply click

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

February The Fund Guide. Investing your money with confidence

February The Fund Guide. Investing your money with confidence February 2018 The Fund Guide Investing your money with confidence Allow us to introduce ourselves. We are Zurich. We are part of a global insurance group with Swiss roots. We are one of Ireland s most

More information

What are the changes to the funds available to me (UP960)?

What are the changes to the funds available to me (UP960)? What are the changes to the funds available to me (UP960)? The changes listed below will be made to the funds between July 2018 and the end of the year. We will update the information we have online with

More information

T. Rowe Price Funds SICAV A Luxembourg UCITS

T. Rowe Price Funds SICAV A Luxembourg UCITS PROSPECTUS T. Rowe Price Funds SICAV A Luxembourg UCITS Bond Funds Asia Credit Bond Fund Diversified Income Bond Fund Dynamic Global Bond Fund Dynamic Global Investment Grade Bond Fund Emerging Local Markets

More information

Generali Worldwide Island Trust

Generali Worldwide Island Trust Generali Worldwide Island Trust Retirement planning for employees generali-worldwide.com In association with Legis Trust Limited 2 of 8 Generali Worldwide Insurance Company Limited Island Trust Retirement

More information

KB Elite Multi Asset Growth Fund. Quarterly update, Q1 2014

KB Elite Multi Asset Growth Fund. Quarterly update, Q1 2014 KB Elite Multi Asset Growth Fund Quarterly update, Q1 2014 Key events in Q1 2014 January China releases economic data for 2013 showing slowest rate of growth since 1999 Russia hosts 2014 Winter Olympics

More information

KB Elite Multi Asset Conservative Fund. Quarterly update, Q1 2014

KB Elite Multi Asset Conservative Fund. Quarterly update, Q1 2014 KB Elite Multi Asset Conservative Fund Quarterly update, Q1 2014 Key events in Q1 2014 January China releases economic data for 2013 showing slowest rate of growth since 1999 Russia hosts 2014 Winter Olympics

More information

Citi 80% Protected Dynamic Allocation Fund CITIGROUP FIRST INVESTMENT MANAGEMENT.

Citi 80% Protected Dynamic Allocation Fund CITIGROUP FIRST INVESTMENT MANAGEMENT. This document should not be publicly distributed to any persons who are resident in countries where the Fund is not registered or in any circumstances where its distribution is not authorised or is unlawful.

More information

KB Elite Multi Asset Balanced Fund. Quarterly update, Q1 2014

KB Elite Multi Asset Balanced Fund. Quarterly update, Q1 2014 KB Elite Multi Asset Balanced Fund Quarterly update, Q1 2014 Key events in Q1 2014 January China releases economic data for 2013 showing slowest rate of growth since 1999 Russia hosts 2014 Winter Olympics

More information

FUNDS TALKING POINT QUARTERLY FUNDS NEWSLETTER - Qtr. 2, 2012

FUNDS TALKING POINT QUARTERLY FUNDS NEWSLETTER - Qtr. 2, 2012 FUNDS TALKING POINT QUARTERLY FUNDS NEWSLETTER - Qtr. 2, 2012 All information in this document is correct as at 31st March 2012 Content 1 Welcome...2 Most Popular Funds with Generali International planholders...3

More information

Generali Worldwide Professional Portfolio

Generali Worldwide Professional Portfolio Generali Worldwide Professional Portfolio versatility control opportunity generali-worldwide.com 2 of 16 Generali Worldwide Insurance Company Limited Professional Portfolio Brochure This marketing brochure

More information

Coram Global Balanced Fund (the Fund) a sub-fund of. Coram Investment Funds plc (an umbrella fund with segregated liability between sub-funds)

Coram Global Balanced Fund (the Fund) a sub-fund of. Coram Investment Funds plc (an umbrella fund with segregated liability between sub-funds) Coram Global Balanced Fund (the Fund) a sub-fund of Coram Investment Funds plc (an umbrella fund with segregated liability between sub-funds) Supplement to the Prospectus dated 21 September 2016 This Supplement

More information

Generali Worldwide Retirement / Savings Quotation Questionnaire

Generali Worldwide Retirement / Savings Quotation Questionnaire Generali Worldwide Retirement / Savings Quotation Questionnaire 2 of 5 Generali Worldwide Insurance Company Limited - Retirement / Savings Quotation Questionnaire SECTION 1: COMPANY DETAILS Full Name:

More information

Generali Worldwide Vision

Generali Worldwide Vision Generali Worldwide Vision Plan for life generali-worldwide.com 2 of 6 Generali Worldwide Insurance Company Limited Vision Brochure Introduction VISION FOR A BRIGHTER FUTURE When you take the time to contemplate

More information

KB Elite Multi Asset Balanced Fund

KB Elite Multi Asset Balanced Fund KB Elite Multi Asset Balanced Fund Quarterly update, Q4 2014 For professional use only Key events in Q4 2014 October Islamic state forces besiege the Syrian border town of Kobane Bank of Japan announces

More information

Investec Global Strategy Fund

Investec Global Strategy Fund GSF REPORT & ACCOUNTS Investec Global Strategy Fund R.C.S. Luxembourg B139420 Investment Fund under Luxembourg Law Semi-Annual report and accounts For the period ended 30 June 2017 Investment Fund under

More information

A Message from Your Fund s Board

A Message from Your Fund s Board JPMORGAN FUNDS 8 TH DECEMBER 2017 A Message from Your Fund s Board Dear Shareholder, This is to notify you that the JPMorgan Funds Highbridge Europe STEEP Fund in which you own shares will be merged into

More information

MAS Notice 124 Public Disclosure Requirements

MAS Notice 124 Public Disclosure Requirements MAS Notice 124 Public Disclosure Requirements generali-worldwide.com INDEX 1 Singapore Branch (the Branch )... 3 1.1. Branch Profile... 3 Products... 3 1.2. CORPORATE GOVERNANCE STRUCTURE... 3 1.3. RISK

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

GREATLINK INCOME FOCUS FUND^ (FUND DETAILS)

GREATLINK INCOME FOCUS FUND^ (FUND DETAILS) Fund Details version 27 (Errors & Omissions excepted) With effect from 1 November 2014 GREATLINK INCOME FOCUS FUND^ (FUND DETAILS) The ILP Sub-Fund aims to provide regular income and long term capital

More information

THE NT NORTH AMERICA EQUITY INDEX FUND

THE NT NORTH AMERICA EQUITY INDEX FUND THE NT NORTH AMERICA EQUITY INDEX FUND 1 2 08 Supplement to the Prospectus Northern Trust Investment Funds plc THE NT NORTH AMERICA EQUITY INDEX FUND 3 This Supplement contains specific information in

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

THE GUARANTEED RETURN FUND ANNUAL REPORT 2018

THE GUARANTEED RETURN FUND ANNUAL REPORT 2018 THE GUARANTEED RETURN FUND ANNUAL REPORT 2018 The Deposit Administration Fund generali-worldwide.com INDEX 1 Global Economic back-drop & Macro Situation... 3 2 UK Financial Markets... 4 3 The GBP Deposit

More information

mandatory provident fund

mandatory provident fund mandatory provident fund Principal MPF product brochure Exclusive Distributor IMPORTANT INFORMATION 1. The Principal Guaranteed Fund in Principal MPF Smart Plan (the Smart Plan ) invests solely in a single

More information

Your gateway to Asia s strong growth potential. Schroder Asian Income

Your gateway to Asia s strong growth potential. Schroder Asian Income Your gateway to Asia s strong growth potential Asian economies rank amongst the fastest-growing and most dynamic globally. The region is set to remain as the world s growth engine for years to come. (the

More information

COUTTS MULTI ASSET GLOBAL BALANCED FUND (the Fund) a sub-fund of. COUTTS MULTI ASSET FUND plc. Supplement to the Prospectus

COUTTS MULTI ASSET GLOBAL BALANCED FUND (the Fund) a sub-fund of. COUTTS MULTI ASSET FUND plc. Supplement to the Prospectus COUTTS MULTI ASSET GLOBAL BALANCED FUND (the Fund) a sub-fund of COUTTS MULTI ASSET FUND plc Supplement to the Prospectus This Supplement contains specific information in relation to Coutts Multi Asset

More information

Monthly Bulletin May J.P. Morgan Luxembourg based fund ranges

Monthly Bulletin May J.P. Morgan Luxembourg based fund ranges Monthly Bulletin May 2018 J.P. Morgan Luxembourg based fund ranges Performance summary for Equity Fund Range EQUITY US A (dist) - USD 2.1-5.3 14.9 33.1 79.9 14.6 15.7-1.0 8.2 25.2 JPM America Equity A

More information

ishares Enhanced Strategic Balanced Portfolio 01 November 2017

ishares Enhanced Strategic Balanced Portfolio 01 November 2017 ishares Enhanced Strategic Balanced Portfolio 01 November 2017 About this Managed Portfolio Disclosure Document This Managed Portfolio Disclosure Document (Disclosure Document) has been prepared and issued

More information

TT ASIA EX JAPAN EQUITY FUND. Supplement to the Prospectus for TT INTERNATIONAL FUNDS PLC

TT ASIA EX JAPAN EQUITY FUND. Supplement to the Prospectus for TT INTERNATIONAL FUNDS PLC TT ASIA EX JAPAN EQUITY FUND Supplement to the Prospectus for TT INTERNATIONAL FUNDS PLC This Supplement contains specific information in relation to TT Asia ex Japan Equity Fund (the Fund ), a sub-fund

More information

THE NT EURO GOVERNMENT INFLATION LINKED INDEX FUND

THE NT EURO GOVERNMENT INFLATION LINKED INDEX FUND THE NT EURO GOVERNMENT INFLATION LINKED INDEX FUND 1 2 Supplement dated 16 February 2018 to the Prospectus dated 23 June 2017 for Northern Trust Investment s plc THE NT EURO GOVERNMENT INFLATION LINKED

More information

Optimal Multi Asset Balanced Fund (the Fund) a sub-fund of

Optimal Multi Asset Balanced Fund (the Fund) a sub-fund of Optimal Multi Asset Balanced Fund (the Fund) a sub-fund of Optimal Global Investment Funds plc (an umbrella fund with segregated liability between sub-funds) Supplement to the Prospectus dated 2 January

More information

LOMBARD ODIER DARIER HENTSCH INVEST NOTICE TO SHAREHOLDERS

LOMBARD ODIER DARIER HENTSCH INVEST NOTICE TO SHAREHOLDERS LOMBARD ODIER DARIER HENTSCH INVEST NOTICE TO SHAREHOLDERS Dear Shareholder, We wish to advise you of the proposed changes to the prospectus (the "Prospectus") of Lombard Odier Darier Hentsch Invest (the

More information

Generali Worldwide Professional Portfolio Details Guide

Generali Worldwide Professional Portfolio Details Guide Generali Worldwide Professional Portfolio Details Guide generali-worldwide.com Generali Worldwide Insurance Company Limited Professional Portfolio Details Guide 3 of 24 Contents SECTION INTRODUCTION...

More information

Centralised Investment Proposition Model Portfolio 10 Key Investor Information / Simplified Prospectus

Centralised Investment Proposition Model Portfolio 10 Key Investor Information / Simplified Prospectus Centralised Investment Proposition Model Portfolio 10 Key Investor Information / Simplified Prospectus Portfolio Composition Company Name Fund Name % of total fund Baillie Gifford Emerging Markets 10 Fidelity

More information

Islamic Fund Servicing

Islamic Fund Servicing Islamic Fund Servicing Global Islamic Solutions, delivered locally WORLDWIDE SECURITIES SERVICES Meeting Islamic Asset Servicing Requirements J.P. Morgan Worldwide Securities Services Our comprehensive

More information

First addendum to the details of the Royal Skandia investment-linked funds brochure

First addendum to the details of the Royal Skandia investment-linked funds brochure Ref ADD01/2013 First addendum to the details of the Royal Skandia investment-linked funds brochure This addendum should be read and issued in conjunction with the principal brochure (comprising the product

More information

ishares Enhanced Strategic Aggressive Portfolio Issue date: 01 April 2019

ishares Enhanced Strategic Aggressive Portfolio Issue date: 01 April 2019 ishares Enhanced Strategic Aggressive Portfolio Issue date: 01 April 2019 About this Managed Portfolio Disclosure Document This Managed Portfolio Disclosure Document (Disclosure Document) has been prepared

More information

diversification Levels of Multi-Asset (MA) Passive Funds

diversification Levels of Multi-Asset (MA) Passive Funds diversification Levels of Multi-Asset (MA) Passive Funds LEVELS OF DIVERSIFICATION At Architas we believe that diversification is central to any investment portfolio. Being too concentrated in any one

More information

THE NT UK EQUITY INDEX FUND

THE NT UK EQUITY INDEX FUND THE NT UK EQUITY INDEX FUND 1 2 Supplement dated 16 February 2018 to the Prospectus dated 23 June 2017 for Northern Trust Investment Funds plc THE NT UK EQUITY INDEX FUND This Supplement contains specific

More information

Introducing Exchange Traded Funds

Introducing Exchange Traded Funds Introducing Exchange Traded Funds Wealth International At Momentum, we continually strive to enhance our investment offering to meet the needs of our investors. We have a proud heritage of providing an

More information

COMMON TERMS OF MERGER

COMMON TERMS OF MERGER COMMON TERMS OF MERGER Between DELTA LLOYD L (the "Merging SICAV ) is a société anonyme incorporated and existing under the laws of the Grand Duchy of Luxembourg in the form of an investment company with

More information

Notice to Unitholders of: Pioneer Funds. (15 January 2018)

Notice to Unitholders of: Pioneer Funds. (15 January 2018) Notice to Unitholders of: Pioneer Funds (15 January 2018) Contents 01 Fund Name Change 3 02 Class Name Change 4 03 Sub-Fund Name Changes 4 04 Investment Policy Changes 5 05 Liquidations 6 06 Performance

More information

BlackRock Tactical Growth Fund - Underlying Funds

BlackRock Tactical Growth Fund - Underlying Funds BlackRock Tactical Growth Fund - Underlying Funds Dated: 31 August 2017 BlackRock Tactical Growth Fund (previously called the BlackRock Wholesale Balanced Fund) ARSN 088 051 889 BlackRock Management (Australia)

More information

Global mirror fund guide

Global mirror fund guide Investment choices Global mirror fund guide Singapore April 2018 Friends Provident International Limited Singapore Branch (Friends Provident International) has prepared this guide to help you choose the

More information

momentum harmony funds

momentum harmony funds momentum harmony funds fund brochure global investment management Fund range The fund range consists of eight multi-asset, multi-manager funds diversified across local and global investments, asset classes,

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

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

Generali Worldwide Vision

Generali Worldwide Vision Generali Worldwide Vision Product Summary Singapore generali-worldwide.com Generali Worldwide Insurance Company Limited Vision Product Summary 3 of 16 There is a Glossary section at the end of this Product

More information

Goldman Sachs Funds SICAV

Goldman Sachs Funds SICAV Prospectus Goldman Sachs Funds SICAV An undertaking for collective investment organised under the laws of the Grand Duchy of Luxembourg (S.I.C.A.V.) December 2017 Supplement I to the Prospectus - Part

More information

Investor s Guide Clerical Medical Pension Funds

Investor s Guide Clerical Medical Pension Funds Investor s Guide Clerical Medical Pension Funds Contents Introduction 1 Clerical Medical funds managed by Aberdeen Standard Investments 2 Clerical Medical funds managed by other fund managers 3 Pension

More information

Q Earnings. Earnings Release Supplement. July 17, /13/ :27 AM BlackRock

Q Earnings. Earnings Release Supplement. July 17, /13/ :27 AM BlackRock 7/13/ 10:27 AM BlackRock Earnings Earnings Release Supplement July 17, Equity 53% 51% 62% 32% 28% 48% 64% 65% Institutional Americas Fixed income Retail Index EMEA Multi-asset Alternatives Cash Asia-Pacific

More information

BlackRock Global Government Bond Fund A2 USD

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

More information

La Française LUX. A Luxembourg SICAV. Prospectus December la-francaise.com. December 2017 Prospectus. La Française LUX

La Française LUX. A Luxembourg SICAV. Prospectus December la-francaise.com. December 2017 Prospectus. La Française LUX VISA 2017/110640-2377-0-PC L'apposition du visa ne peut en aucun cas servir d'argument de publicité Luxembourg, le 2017-12-28 Commission de Surveillance du Secteur Financier A Luxembourg SICAV Prospectus

More information

Information Memorandum

Information Memorandum 03 July 2017 Information Memorandum Franklin Templeton s Australia Limited (ABN 87 006 972 247, AFS Licence number 225328) TABLE OF CONTENTS 1. FUND STRUCTURE 2 2. INVESTMENT PROFILE OF THE FUNDS 2 3.

More information

Sanlam FOUR Multi-Strategy Fund. Supplement dated 27 February 2018 to the Prospectus dated 27 February for Sanlam Universal Funds plc

Sanlam FOUR Multi-Strategy Fund. Supplement dated 27 February 2018 to the Prospectus dated 27 February for Sanlam Universal Funds plc Sanlam FOUR Multi-Strategy Fund Supplement dated 27 February 2018 to the Prospectus dated 27 February 2018 for Sanlam Universal Funds plc An umbrella fund with segregated liability between sub-funds This

More information

BancAnalysts Association of Boston 25 th Annual Fall Conference

BancAnalysts Association of Boston 25 th Annual Fall Conference N O R T H E R N T R U S T C O R P O R A T I O N BancAnalysts Association of Boston 25 th Annual Fall Conference November 2, 2006 Steven L. Fradkin Executive Vice President & Chief Financial Officer 2006

More information

Prospectus. January Pioneer Funds A Luxembourg Investment Fund (Fonds Commun de Placement)

Prospectus. January Pioneer Funds A Luxembourg Investment Fund (Fonds Commun de Placement) Prospectus January 07 Pioneer Funds A Luxembourg Investment Fund (Fonds Commun de Placement) Pioneer Funds Contents A Word to Potential Investors Definitions The Fund 5 The Sub-Funds 6 SHORT-TERM SUB-FUNDS

More information

MPS Passive Plus. Your Investment Solution

MPS Passive Plus. Your Investment Solution MPS Passive Plus Your Investment Solution Contents A little bit about us 3 How Passive Plus can benefit you 4 What s the Plus in Passive Plus? 5 Five portfolios for you to choose from 6 Access to expert

More information

ETF portfolio review, 30th September ETF portfolios with ESG overlay. market overview. portfolio performance

ETF portfolio review, 30th September ETF portfolios with ESG overlay. market overview. portfolio performance ETF portfolio review, 30th September 2017 market overview All our ETF portfolios performed better than s in September and all portfolios bar fixed-income continued to add to their gains year-to-date. Our

More information

Fund Guide. Prudential Investment Plan

Fund Guide. Prudential Investment Plan Fund Guide Prudential Investment Plan Contents 04 Funds that are open to new and existing investors 07 Information to read before making a decision 10 Funds that are only available to existing investors

More information

AVIVA INVESTORS LUXEMBOURG SICAV

AVIVA INVESTORS LUXEMBOURG SICAV VISA 2016/105404-704-0-PC L'apposition du visa ne peut en aucun cas servir d'argument de publicité Luxembourg, le 2016-11-14 Commission de Surveillance du Secteur Financier AVIVA INVESTORS LUXEMBOURG SICAV

More information

Fund Choice (Series 1)

Fund Choice (Series 1) For financial adviser use only. Not to be used with customers. Fund Choice (Series 1) May 2017 edition Available on Deferred Annuity Plans, standalone Trustee Plans and all SIPP contracts sold before May

More information

prisma Range of Funds The Zurich Platform Protected Funds now included New Pathway Multi-Asset Funds New External Active & Passive Funds

prisma Range of Funds The Zurich Platform Protected Funds now included New Pathway Multi-Asset Funds New External Active & Passive Funds prisma The Zurich latform Range of Funds January 2014 New athway Multi-sset Funds New External ctive & assive Funds rotected Funds now included For Financial Brokers and dvisors use only. Risk rofiler

More information

TOKIO MARINE FUNDS PLC

TOKIO MARINE FUNDS PLC TOKIO MARINE FUNDS PLC Tokio Marine Asia Pacific Equity Fund SIMPLIFIED PROSPECTUS 25 March, 2011 This Simplified Prospectus contains key information in relation to Tokio Marine Asia PacificEquity Fund

More information

MERCANTILE CIRCLE OPPORTUNITIES PORTFOLIOS STRATEGY UPDATE Q mercantile circle

MERCANTILE CIRCLE OPPORTUNITIES PORTFOLIOS STRATEGY UPDATE Q mercantile circle MERCANTILE CIRCLE OPPORTUNITIES PORTFOLIOS STRATEGY UPDATE Q4 2017 www.mercantilecircle.com mercantile circle 2 www.mercantilecircle.com 3 ABOUT US I N T E L L I G E N T I N V E S T I N G T H E E A S Y

More information

Corporate Solutions Global insight, local tailored solutions

Corporate Solutions Global insight, local tailored solutions Corporate Solutions Global insight, local tailored solutions A local provider with a global brand Contents Page Employee benefits 1 A company you can trust 2 Retirement and savings solutions 4 Corporate

More information

Franklin Templeton Fixed Income Group. Franklin Templeton Investment Funds Franklin Asia Credit Fund - I (acc) USD. Data as of 30 November 2018

Franklin Templeton Fixed Income Group. Franklin Templeton Investment Funds Franklin Asia Credit Fund - I (acc) USD. Data as of 30 November 2018 Franklin Templeton Fixed Income Group Data as of 30 November 2018 Franklin Templeton Investment Funds - I (acc) USD Table of Contents Summary...3 What are the Key Risks?...4 Discrete Performance... 5 Historical

More information

The HSBC Global Investment Funds Menu

The HSBC Global Investment Funds Menu The HSBC Global Investment Funds Menu Your Selection Simplified July 2012 For professional clients only www.globalfunds.hsbc.com This Fund Menu provides an overview of HSBC Global Investment Funds and

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

FTSE World Parity Unit (FTSE WPU)

FTSE World Parity Unit (FTSE WPU) Methodology overview FTSE World Parity Unit (FTSE WPU) Introduction Key features For nondomestic funds, currency risk can be the largest single risk faced by the fund. Global equities have highly undiversified

More information

BPER International SICAV

BPER International SICAV BPER International SICAV Société d investissement à capital variable 30, boulevard Royal L-2449 Luxembourg SALES PROSPECTUS July 2012 Distribution of this sales prospectus (the "Sales Prospectus") is not

More information

HSBC International Select Fund. Multimanager solutions

HSBC International Select Fund. Multimanager solutions HSBC International Select Fund Multimanager solutions Introduction About HSBC Multimanager This insert outlines funds managed by HSBC Multimanager and offered to you via the HSBC International Select Fund.

More information

STANLIB Offshore Unit Trusts 2010 Unaudited Interim Report and Financial Statements (Retail Classes)

STANLIB Offshore Unit Trusts 2010 Unaudited Interim Report and Financial Statements (Retail Classes) STANLIB Offshore Unit Trusts (Retail Classes) Contents Management and administration 2 Manager s Report 3 Statement of Manager s and Trustee s responsibilities 6 Statements of Total Return and Statements

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

Q Earnings. Earnings Release Supplement. January 12, /13/ :27 AM BlackRock

Q Earnings. Earnings Release Supplement. January 12, /13/ :27 AM BlackRock 7/13/ 10:27 AM BlackRock Earnings Earnings Release Supplement January 12, 2018 Equity 53% 51% 62% 32% 28% 48% 64% 6 Institutional Americas Fixed income Retail Index EMEA Multi-asset Alternatives Cash Asia-Pacific

More information

Insurance Asset Management

Insurance Asset Management Insurance Asset Management January 2018 For Financial Intermediaries, Institutional and Consultant use only. Not for redistribution under any circumstances. Introducing Schroders: Delivering dedicated

More information

Hermes Asia ex-japan Equity Fund

Hermes Asia ex-japan Equity Fund Supplement Hermes Asia ex-japan Equity Fund a sub-fund of Hermes Investment Funds public limited company, an umbrella fund with segregated liability between sub-funds. The date of this Supplement. 12 is

More information

Hermes Asia Ex-Japan Equity Fund

Hermes Asia Ex-Japan Equity Fund Supplement Hermes Asia Ex-Japan Equity Fund a sub-fund of Hermes Investment Funds public limited company The date of this Supplement. 12 is 15 June 2017 This Supplement contains information relating to

More information

COUTTS MULTI ASSET UK GROWTH FUND (the Fund) a sub-fund of EQUATOR ICAV. Supplement to the Prospectus

COUTTS MULTI ASSET UK GROWTH FUND (the Fund) a sub-fund of EQUATOR ICAV. Supplement to the Prospectus COUTTS MULTI ASSET UK GROWTH FUND (the Fund) a sub-fund of EQUATOR ICAV Supplement to the Prospectus This Supplement contains specific information in relation to Coutts Multi Asset UK Growth Fund (the

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

ODEY INVESTMENT FUNDS PLC SIMPLIFIED PROSPECTUS July 30, 2010

ODEY INVESTMENT FUNDS PLC SIMPLIFIED PROSPECTUS July 30, 2010 ODEY INVESTMENT FUNDS PLC SIMPLIFIED PROSPECTUS July 30, 2010 This Simplified Prospectus contains key information in relation to Odey Investment Funds plc (the Company ), which is an open-ended umbrella

More information

World Index. One World. One Investment

World Index. One World. One Investment HSBC World Index Portfolios For professional clients only A range of Multi-Asset Passive Portfolios World Index. One World. One Investment We understand your business is changing The advisory market is

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

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

For professional investors only. Achieving precision with BMO ETFs

For professional investors only. Achieving precision with BMO ETFs For professional investors only Achieving precision with BMO ETFs BMO Global Asset Management intelligent about Exchange Traded Funds (ETFs) At BMO Global Asset Management, our focus is on the provision

More information

For professional investors and advisers only. Schroders. Liquid Alternatives

For professional investors and advisers only. Schroders. Liquid Alternatives For professional investors and advisers only Schroders Liquid Alternatives Introduction What are liquid alternatives? 4 How do they work? 5 Performance characteristics 6 How to apply liquid alternatives

More information

Hermes Global Equity ESG Fund

Hermes Global Equity ESG Fund Supplement Hermes Global Equity ESG Fund a sub-fund of Hermes Investment Funds public limited company The date of this Supplement No. 5 is 15 June 2017 This Supplement contains information relating to

More information

Are you thinking about international investments?

Are you thinking about international investments? 1 Are you thinking about international investments? FIND OUT MORE Navigate by Glacier International 2 Glacier International Glacier International offers you the opportunity to invest in a wide selection

More information

Insurance Asset Management

Insurance Asset Management Insurance Asset Management September 2017 For professional investors only. Not suitable for retail clients Insurance Asset Management is a hub of expertise within Schroders, connecting insurance clients

More information

you to build your wealth

you to build your wealth Working you with to build your wealth The wealth management relationship you want When you re choosing a Wealth Manager to look after your money, you need to be sure they will listen to your requirements

More information

LAZARD GLOBAL MANAGED VOLATILITY FUND

LAZARD GLOBAL MANAGED VOLATILITY FUND If you are in any doubt about the contents of this Supplement, you should consult your stockbroker, bank manager, solicitor, accountant or other independent financial adviser. The Directors of Lazard Global

More information

Templeton Global Macro Group. Franklin Templeton Investment Funds Templeton Global Bond Fund - A (Mdis) USD. Data as of 30 November 2018

Templeton Global Macro Group. Franklin Templeton Investment Funds Templeton Global Bond Fund - A (Mdis) USD. Data as of 30 November 2018 Templeton Global Macro Group Data as of 30 November 2018 Franklin Templeton Investment Funds - A (Mdis) USD Table of Contents Summary...3 What are the Key Risks?...4 Discrete Performance... 5 Historical

More information

ASSET ALLOCATION STRATEGIES THE ART OF DIVERSIFICATION

ASSET ALLOCATION STRATEGIES THE ART OF DIVERSIFICATION ASSET ALLOCATION STRATEGIES THE ART OF DIVERSIFICATION Potential Advantages of Diversification Individual asset classes tend to historically perform differently depending on market conditions. A portfolio

More information

Schroders Fund Ranges

Schroders Fund Ranges Schroders Fund Ranges For professional investors or advisers only Table of Contents: Schroders Team... 2 Schroder International Selection Fund...3-4 Schroder Alternative Solutions... 5 Schroder GAIA...

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

Prospectus Nordea Fund of Funds, SICAV

Prospectus Nordea Fund of Funds, SICAV Prospectus Nordea Fund of Funds, SICAV Undertaking for Collective Investments in Transferable Securities under Luxembourg law May 2012-1 - Prospectus Nordea Fund of Funds, SICAV (Société d Investissement

More information

BlackRock Reports First Quarter 2017 Diluted EPS of $5.23, or $5.25 as adjusted

BlackRock Reports First Quarter 2017 Diluted EPS of $5.23, or $5.25 as adjusted Tom Wojcik, Investor Relations Brian Beades, Media Relations 212.810.8127 212.810.5596 BlackRock Reports First Quarter 2017 Diluted EPS of $5.23, or $5.25 as adjusted $80 billion of long-term net inflows,

More information

PRODUCT HIGHLIGHTS SHEET

PRODUCT HIGHLIGHTS SHEET Prepared on 13 April 2016 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 ( Prospectus

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