ETF Securities (HK) Limited HSBC Institutional Trust Services (Asia) Limited

Size: px
Start display at page:

Download "ETF Securities (HK) Limited HSBC Institutional Trust Services (Asia) Limited"

Transcription

1 PRODUCT KEY FACTS ETFS Physical Silver ETF 23 November 2012 This is an exchange traded fund. This statement provides you with key information about this product. This statement is a part of the offering documents and must be read in conjunction with the Prospectus. You should not invest in this product based on this statement alone. Quick facts Stock code: Trading lot size: 10 units Fund Manager: ETF Securities (HK) Limited Trustee and Registrar: HSBC Institutional Trust Services (Asia) Limited Custodian: HSBC Bank USA, N.A. Estimated total expense ratio: Estimated to be 0.5% per annum of the Net Asset Value (inclusive of management fees*, but excluding extraordinary expenses (if any)) Benchmark: The London Silver Fixing quoted in US dollars by the London Silver Market Fixing Limited and published by the LBMA (the London Fix ). Base currency: US Dollars (US$) Trading currency: HK Dollars (HK$) Financial year end of this fund: 31 December Dividend policy: No distributions will be made. Exchange Listing: SEHK Main Board ETF Website: * The management fees payable to the Manager are also inclusive of the trustee fees, custodian fees and all other ordinary expenses of the Fund. What is this product? The ETFS Physical Silver ETF, or the Fund, is a unit trust established under Hong Kong law. The ETFS Physical Silver ETF is an exchange traded fund managed by the Manager and listed on The Stock Exchange of Hong Kong Limited (the SEHK ), on which the Units of the Fund are traded like listed stocks. Objective and Investment Strategy Objective The ETFS Physical Silver ETF s investment objective is to provide investment results, before fees and expenses, that closely correspond to the performance of the London Fix for silver. 1

2 Investment Strategy In order to achieve the investment objective, the ETFS Physical Silver ETF intends to primarily acquire and hold physical silver Bullion, being silver in the form of uniquely identifiable bars of minimum fineness of 99.9% silver from an approved refiner on the LBMA Good Delivery List of acceptable refiners for silver. Subject to its investment and borrowing restrictions, the Fund may also hold interests in other silver ETFs acceptable to the Manager. Such silver ETFs investment objective shall be to reflect the performance of the price of silver Bullion and initially, they will include those ETFs managed by the ETF Securities group in the US and listed on the New York Stock Exchange. Interests in silver ETFs will not usually comprise more than 10% of the Fund s Net Asset Value at any time. Such silver ETFs will all be physically backed by silver Bullion and will not include short or leveraged ETFs. Except as stated above, the Fund will not invest in any other types of investments including, but not limited to derivative futures contracts, options, swaps, warrants and other financial derivative instruments, local currency and foreign currency exchange contracts, structured products or instruments and other Securities. The Fund will not lend its Bullion nor engage in any kind of stock lending activities or repurchase transactions. The Benchmark The Fund s benchmark is the London Fix. The London Fix for silver is a price quoted in US dollars by the London Silver Market Fixing Limited shortly after noon (UK time) and published by the LBMA on its website It is widely used internationally as the benchmark for daily silver prices. What are the key risks? Investment involves risks. Please refer to the Risk Factors section in the Prospectus for details. Investment risk The ETFS Physical Silver ETF is an investment fund. There is no guarantee of the repayment of principal. Therefore your investment in the Fund may suffer losses. Physical Silver/Concentration Risk Prices of physical silver are highly volatile and may fluctuate widely and may be affected by numerous events or factors related to its production and sale and other financial market factors. As the Fund is concentrated in physical silver, it is more susceptible to the effects of such price volatility than more diversified funds. Custody and Insurance Related Risk Only amounts of Bullion that represent Creation Applications and Redemption Applications, amounts not sufficient for a Good Delivery bar (which may weigh between 750 and 1,100 Ounces), and amounts that have been deallocated to pay for the Fund s management fees or extraordinary expenses (if any) will be held in unallocated form. The amount of Bullion held overnight (London time) in unallocated form will not typically exceed 1,100 Ounces, being the maximum size of a Good Delivery bar. As the Custodian is required to allocate Bullion on a continuous basis once it reaches a whole bar, the rest of the Fund s Bullion will be held in fully allocated form as uniquely identifiable Good Delivery bars physically segregated from other metal held by the Custodian (or Sub-Custodian). Access to the Bullion could be restricted by natural events, such as flooding, or human actions, such as terrorist attack. 2

3 The Fund has no proprietary rights to any specific Bullion held on an unallocated basis for the Fund and, on the Custodian s insolvency, the Fund would rank as an unsecured creditor in relation to such unallocated Bullion. If the Custodian (or Sub-Custodian) fails to allocate or segregate the Fund s Bullion properly or in a timely manner and were to become insolvent, the Fund could suffer a significant loss. Neither the Manager nor the Trustee will maintain insurance for the Fund s Bullion. The Custodian shall make such insurance arrangements in connection with its custodial obligations with respect to Bullion as it thinks fit but has no obligation to insure against loss, theft or damage. There is a risk that some or all of the Bullion could be lost, stolen or damaged and the Fund would not be able to satisfy its obligations in respect of the Units. Bullion may temporarily be held, on a fully allocated basis, by one or more Sub-Custodians appointed by the Custodian until it is transported to the Custodian s London vault, which will be done as soon as reasonably practicable. The Custodian is generally not liable for the acts or omissions of its Sub-Custodians unless it selected them fraudulently, negligently or in bad faith, or failed to satisfy itself on an ongoing basis that they remained suitably qualified and competent. If the Fund s silver is lost or damaged while in the custody of a Sub-Custodian, the Fund may not be able to recover damages from the Custodian or Sub-Custodian. Industrial Demand Risk A relatively high proportion of overall demand for silver is made up of industrial usages. This may cause its price to fluctuate differently to other precious metals, such as gold, for which a larger proportion of overall demand is for investment purposes. Volatility of Silver Risk Silver is seen as an attractive metal by some investors seeking to use it as a hedge against inflation or foreign exchange risks, however a large proportion of demand for silver is also for industrial usage. Silver is therefore exposed to movements in both the investment markets and industrial markets. The price of Units in the ETFS Physical Silver ETF may be more volatile than those of funds investing in other precious metals, such as gold or platinum. Fixing Processes for Silver Risk While the fixing is a fully established benchmark and is widely accepted as the basis for pricing spot transactions and a variety of other transactions, neither the Manager nor the Trustee has any control or supervision over the fixing or the price so fixed. Also, none of the LBMA, The London Silver Market Fixing Limited nor the fixing process for London Fix for silver is subject to the oversight or supervision of any financial regulator. Passive Investment Management As the Fund is not actively managed, the Manager has a lack of discretion to adapt to market changes. The Manager will not attempt to select other commodities or precious metals to take defensive positions in declining markets. As a result, falls in the London Fix for silver will result in falls in the value of the Fund. Limited Operating History and Management Experience Risk Whilst the global ETF Securities group has extensive experience in establishing and operating many kinds of exchange traded funds, particularly in relation to commodities and currencies, the Manager is a new management company in Hong Kong, which has been established in order to offer the Fund to Hong Kong investors. 3

4 Currency Risk As the Fund s base currency and the London Fix for silver is in US dollars, the value of Units in the Fund that are traded on the SEHK in Hong Kong dollars will be affected by changes in the exchange rate between these two currencies. Units created and redeemed directly by the Fund through the Participating Dealers should not be subject to this risk, however. Tracking Error Risk At any time, there is no assurance that the price at which Units of the Fund trade on the SEHK will exactly reflect the price of the silver represented by those Units. Factors such as the fees and expenses of the Fund, rounding of Bullion prices, the valuation of any interests in silver ETFs held by the Fund, and changes to regulatory policies may affect the Manager s ability to achieve close correlation with the London Fix. Unless any extraordinary expenses (if any) are incurred by the Fund, the estimated tracking error, of which the main component is the management fee (paid monthly by the Fund transferring an amount of Bullion to the Manager), is 0.5% per annum of the Fund s Net Asset Value. If the actual tracking error were to be significantly higher than anticipated, for example, because of extreme market fluctuations or extraordinary expenses, the Fund s performance may be adversely affected. Risk of Absence of Active Market Although the Units are to be listed on the SEHK and the Manager aims to ensure that there will always be at least one market maker for the Fund, there can be no assurance that an active trading market in respect of the Units will always exist. If a Unitholder needs to sell its Units at a time when there is no active market for them, the price it will receive for its Units, if it is able to sell them, is likely to be lower than the price it would have received if an active market were to exist. Trading risk Generally, retail investors can only buy or sell Units on the SEHK through an intermediary or stockbroker. Investors pay certain charges (e.g. trading fees and brokerage fees) to buy and sell Units on the SEHK. The trading price of the Units on the SEHK is driven by market factors such as demand and supply of the Units and may be at a premium or discount to the Net Asset Value of the Units. Investors may therefore pay more than the Net Asset Value per Unit when buying a Unit on the SEHK, and may receive less than the Net Asset Value per Unit when selling a Unit on the SEHK. Termination risk The Manager or the Trustee may terminate the Fund early in various circumstances. If any of such circumstances were to happen, termination could occur at a time which was disadvantageous to Unitholders and when Bullion prices were lower than when Unitholders purchased their Units. In such a case, the resulting proceeds for distribution to Unitholders may be less than an investor paid for its Units and the investor would sustain a loss. 4

5 Is there any guarantee? The ETFS Physical Silver ETF does not provide any guarantees. You may not get back the amount of money you invest. What are the fees and charges? Please refer to Schedule 1 of the Prospectus for details of other fees and expenses applicable to the creation or redemption, or dealing in the Units of the ETFS Physical Silver ETF. Charges incurred when trading the ETFS Physical Silver ETF on SEHK Fee What you pay Brokerage fee At each broker s discretion Transaction Ievy 0.003% of the trading price of the Units 1 Trading fee 0.005% of the trading price of the Units 2 Stamp duty Nil 1. Transaction levy of per cent (0.003%) of the price of the Units, payable by the buyer and the seller. 2. Trading fee of per cent (0.005%) of the price of the Units, payable by the buyer and the seller. Ongoing fees payable by the fund The following expenses will be paid out of the ETFS Physical Silver ETF. They affect you because they reduce the Net Asset Value which may affect the trading price. Management fee Extraordinary expenses Annual rate (as a % of the fund s NAV) 0.5%* per annum (inclusive of all ordinary trustee fees, custodian fees and other ordinary expenses of the Fund). Please refer to Schedule 1 of the Prospectus for details of the extraordinary expenses (if any) which may be payable by the ETFS Physical Silver ETF. * The Manager may also, on giving not less than one (1) month s notice to Unitholders, increase the rate of management fee payable in respect of any class of Units of the Fund up to a maximum of 1%. Additional Information You can find the following information of the ETFS Physical Silver ETF on the Manager s website The last published prospectus and its product key facts statement; Latest annual and semi-annual financial reports of the ETFS Physical Silver ETF in English; Public announcements and notices made by the ETFS Physical Silver ETF, including information in relation to the London Fix, notices of the suspension of calculation of Net Asset Value, changes in fees and charges, the suspension and resumption of trading of Units, and notices relating to material alterations or additions to the offering documents or the constitutive documents of the ETFS Physical Silver ETF; 5

6 List of Participating Dealers and Market Makers; Holdings of the ETFS Physical Silver ETF (updated on a daily basis); The near real-time Net Asset Value per Unit (calculated by a third party data vendor, using (i) for Bullion: spot prices quoted by Precious Metal market makers from around the world throughout the day rather than the London Fix and (ii) for interests in other silver ETFs held by the Fund: the realtime net asset value per unit, calculated by reference to the spot prices for Bullion described in (i)); The daily closing Net Asset Value of the ETFS Physical Silver ETF and per Unit (based on the London Fix and the published net asset value per unit of any interests in other silver ETFs). Important If you are in doubt, you should seek professional advice. The SFC takes no responsibility for the contents of this statement and makes no representation as to its accuracy or completeness. 6

PRODUCT KEY FACTS W.I.S.E. - CSI HK 100 Tracker TM

PRODUCT KEY FACTS W.I.S.E. - CSI HK 100 Tracker TM Issuer: BOCI-Prudential Asset Management Limited This is an exchange traded fund. PRODUCT KEY FACTS a sub-fund of the World Index Shares ETFs This statement provides you with key information about this

More information

HKD counter: 1,000 units RMB counter: 1,000 units Fund Manager:

HKD counter: 1,000 units RMB counter: 1,000 units Fund Manager: PRODUCT KEY FACTS CSOP HONG KONG DOLLAR MONEY MARKET ETF a sub-fund of the CSOP ETF Series 3 July 2018 CSOP Asset Management Limited This is an exchange traded fund. This statement provides you with key

More information

Enhanced Investment Products Limited 14 November 2016

Enhanced Investment Products Limited 14 November 2016 Quick facts This is an exchange traded fund. This statement provides you with key information about this product. This statement is a part of the Prospectus. You should not invest in this product based

More information

1.09% Trading currency: Hong Kong Dollars (HK$) -1.09% Exchange listing: SEHK Main Board

1.09% Trading currency: Hong Kong Dollars (HK$) -1.09% Exchange listing: SEHK Main Board Quick facts PRODUCT KEY FACTS Ping An MSCI China Multi-Factor ETF a sub-fund of the Ping An of China Trust (Stock Code: 3163) This is an exchange traded fund. This statement provides you with key information

More information

Vanguard Investments Hong Kong Limited May 2018

Vanguard Investments Hong Kong Limited May 2018 PRODUCT KEY FACTS Vanguard S&P 500 Index ETF Vanguard Investments Hong Kong Limited May 2018 Quick facts Stock code: This is an exchange traded fund. This statement provides you with key information about

More information

PRODUCT KEY FACTS STATEMENT

PRODUCT KEY FACTS STATEMENT Issuer: Hang Seng Investment Management Limited This is an exchange traded fund. 1 PRODUCT KEY FACTS STATEMENT Hang Seng China Enterprises Index ETF 30 April2018 This statement provides you with key information

More information

PRODUCT KEY FACTS STATEMENT

PRODUCT KEY FACTS STATEMENT Issuer: Hang Seng Investment Management Limited This is an exchange traded fund. PRODUCT KEY FACTS STATEMENT Hang Seng FTSE China 50 Index ETF 1 December 2017 This statement provides you with key information

More information

Vanguard Investments Hong Kong Limited May 2018

Vanguard Investments Hong Kong Limited May 2018 PRODUCT KEY FACTS Vanguard Total China Index ETF Vanguard Investments Hong Kong Limited May 2018 Quick facts Stock code: This is an exchange traded fund. This statement provides you with key information

More information

PRODUCT KEY FACTS STATEMENT

PRODUCT KEY FACTS STATEMENT Issuer: Hang Seng Investment Management Limited This is an exchange traded fund. PRODUCT KEY FACTS STATEMENT Hang Seng Index ETF 1 December 2017 This statement provides you with key information about the

More information

PRODUCT HIGHLIGHTS SHEET

PRODUCT HIGHLIGHTS SHEET Prepared on: 14/01/2019 This Product Highlights Sheet is an important document. It highlights the key terms and risks of the SPDR Gold Trust (the "Trust") and complements the Singapore prospectus for the

More information

HSBC Institutional Trust Services (Asia) Limited Ongoing charges over a year*: 0.98% Estimated annual tracking Estimated to be -1.

HSBC Institutional Trust Services (Asia) Limited Ongoing charges over a year*: 0.98% Estimated annual tracking Estimated to be -1. PRODUCT KEY FACTS Mirae Asset Horizons Exchange Traded Funds Series II August 2017 Issuer: Mirae Asset Global Investments (Hong Kong) Limited This is an exchange traded fund. This statement provides you

More information

BMO Global Asset Management (Asia) Limited 20 April 2018

BMO Global Asset Management (Asia) Limited 20 April 2018 Product Key Facts BMO MSCI ASIA PACIFIC REAL ESTATE ETF BMO Global Asset Management (Asia) Limited 20 April 2018 This is an exchange traded fund. This statement provides you with key information about

More information

Dow Jones Emerging ASEAN Titans 100 Index. Premia Partners Company Limited 30 July 2018

Dow Jones Emerging ASEAN Titans 100 Index. Premia Partners Company Limited 30 July 2018 PRODUCT KEY FACTS (a sub-fund of Premia ETF Series) Premia Partners Company Limited 30 July 2018 This is an exchange traded fund. This statement provides you with key information about this product. This

More information

Amundi Hong Kong Limited 22 March 2019

Amundi Hong Kong Limited 22 March 2019 PRODUCT KEY FACTS (a sub-fund of AMUNDI ETF Series) Amundi Hong Kong Limited 22 March 2019 This is an exchange traded fund. This statement provides you with key information about this product. This statement

More information

The Manager does not intend to pay or make any distributions or dividends Financial year end:

The Manager does not intend to pay or make any distributions or dividends Financial year end: Issuer: Mirae Asset Global Investments (Hong Kong) Limited PRODUCT KEY FACTS Mirae Asset Horizons Leveraged and Inverse Series Mirae Asset Horizons Hang Seng China Enterprises Index Daily (2x) Leveraged

More information

PRODUCT KEY FACTS ChinaAMC Direxion Hang Seng Index Daily (-1x) Inverse Product

PRODUCT KEY FACTS ChinaAMC Direxion Hang Seng Index Daily (-1x) Inverse Product Issuer: China Asset Management (Hong Kong) Limited PRODUCT KEY FACTS ChinaAMC Direxion Hang Seng Index Daily (-1x) Inverse Product A product established under the ChinaAMC Leveraged/Inverse Series 28 August

More information

100 Units BOCI-Prudential Asset Management Limited ( the Manager ) BOCI-Prudential Trustee Limited 0.6%

100 Units BOCI-Prudential Asset Management Limited ( the Manager ) BOCI-Prudential Trustee Limited 0.6% Issuer: BOCI-Prudential Asset Management Limited This is an exchange traded fund. PRODUCT KEY FACTS W.I.S.E. - Nasdaq Overseas China New Economy Companies Top 50 Index Tracker a sub-fund of the World Index

More information

CSOP Asset Management Limited

CSOP Asset Management Limited CSOP Asset Management Limited 1 PRODUCT KEY FACTS CSOP MSCI T50 ETF a sub-fund of the CSOP ETF Series This is an exchange traded fund. This statement provides you with key information about this product.

More information

Renminbi ( RMB ) RMB counter Hong Kong dollars ( HKD ) HKD counter

Renminbi ( RMB ) RMB counter Hong Kong dollars ( HKD ) HKD counter PRODUCT KEY FACTS Haitong International Asset Management (HK) Limited April 2018 This is an exchange traded fund. This statement provides you with key information about this product. This statement is

More information

PRODUCT KEY FACTS ChinaAMC Hang Seng Stock Connect Hong Kong SmallCap Index ETF A Sub-fund established under the ChinaAMC Global ETF Series

PRODUCT KEY FACTS ChinaAMC Hang Seng Stock Connect Hong Kong SmallCap Index ETF A Sub-fund established under the ChinaAMC Global ETF Series PRODUCT KEY FACTS ChinaAMC Hang Seng Stock Connect Hong Kong SmallCap Index ETF A Sub-fund established under the ChinaAMC Global ETF Series 3 March 2017 This is an exchange traded fund. This statement

More information

The Manager does not intend to pay or make any distributions or dividends Financial year end:

The Manager does not intend to pay or make any distributions or dividends Financial year end: Issuer: Mirae Asset Global Investments (Hong Kong) Limited PRODUCT KEY FACTS Mirae Asset Horizons Leveraged and Inverse Series Mirae Asset Horizons Hang Seng China Enterprises Index Daily (-1x) Inverse

More information

PRODUCT KEY FACTS W.I.S.E. SSE 50 China Tracker

PRODUCT KEY FACTS W.I.S.E. SSE 50 China Tracker Issuer: BOCI-Prudential Asset Management Limited PRODUCT KEY FACTS a sub-fund of the World Index Shares ETFs This is an exchange traded fund. This statement provides you with key information about this

More information

PRODUCT KEY FACTS Samsung S&P GSCI Crude Oil ER Futures ETF A sub-fund established under the Samsung ETFs Trust

PRODUCT KEY FACTS Samsung S&P GSCI Crude Oil ER Futures ETF A sub-fund established under the Samsung ETFs Trust Issuer: Samsung Asset Management (Hong Kong) Limited 三星資產運用 ( 香港 ) 有限公司 PRODUCT KEY FACTS Samsung S&P GSCI Crude Oil ER Futures ETF A sub-fund established under the Samsung ETFs Trust 30 April 2018 This

More information

PRODUCT KEY FACTS ChinaAMC Direxion NASDAQ-100 Daily (2x) Leveraged Product

PRODUCT KEY FACTS ChinaAMC Direxion NASDAQ-100 Daily (2x) Leveraged Product Issuer: China Asset Management (Hong Kong) Limited PRODUCT KEY FACTS ChinaAMC Direxion NASDAQ-100 Daily (2x) Leveraged Product A product established under the ChinaAMC Leveraged/Inverse Series 10 March

More information

CSOP Asset Management Limited 30 April 2018

CSOP Asset Management Limited 30 April 2018 Product Key Facts CSOP Hang Seng China Enterprises Index Daily (2x) Leveraged Product CSOP Asset Management Limited 30 April 2018 This is a leveraged product. It is different from conventional exchange

More information

PRODUCT KEY FACTS. Quick Facts. What is this product?

PRODUCT KEY FACTS. Quick Facts. What is this product? PRODUCT KEY FACTS Mirae Asset Horizons Exchange Traded Funds Series- September 2018 Issuer: Mirae Asset Global Investments (Hong Kong) Limited This is an exchange traded fund. This statement provides you

More information

The Manager does not intend to pay or make any distributions or dividends Financial year end:

The Manager does not intend to pay or make any distributions or dividends Financial year end: Issuer: Mirae Asset Global Investments (Hong Kong) Limited PRODUCT KEY FACTS Mirae Asset Horizons Leveraged and Inverse Series Mirae Asset Horizons S&P 500 Daily (-1x) Inverse Product* (*This is a synthetic

More information

Citibank N.A., Hong Kong Branch Ongoing charges over a year # : Class A2: 0.72% Tracking difference of the last calendar year: 0.

Citibank N.A., Hong Kong Branch Ongoing charges over a year # : Class A2: 0.72% Tracking difference of the last calendar year: 0. PRODUCT KEY FACTS BlackRock Premier Funds ishares Hong Kong Equity Index Fund December 2017 Quick facts Fund Manager: This statement provides you with key information about this product. This statement

More information

Frequently Asked Questions INVESTING IN GOLD 1. WHAT ARE THE BENEFITS OF INVESTING IN GOLD?

Frequently Asked Questions INVESTING IN GOLD 1. WHAT ARE THE BENEFITS OF INVESTING IN GOLD? Important information SPDR Gold Trust (the Trust ) is an exchange traded fund designed to track the price of gold (net of Trust expenses). Investment involves risks, in particular, investing in one single

More information

The Vanguard Group, Inc. 3 June 2014

The Vanguard Group, Inc. 3 June 2014 PRODUCT KEY FACTS Vanguard FTSE Asia ex Japan High Dividend Yield Index ETF The Vanguard Group, Inc. 3 June 2014 This is an exchange traded fund. This statement provides you with key information about

More information

Premia Partners Company Limited 13 February 2018

Premia Partners Company Limited 13 February 2018 PRODUCT KEY FACTS (a sub-fund of Premia ETF Series) Premia Partners Company Limited 13 February 2018 Quick facts This is an exchange traded fund. This statement provides you with key information about

More information

PRODUCT KEY FACTS Samsung HSCEI Daily (-1x) Inverse Product

PRODUCT KEY FACTS Samsung HSCEI Daily (-1x) Inverse Product Issuer: Samsung Asset Management (Hong Kong) Limited 三星資產運用 ( 香港 ) 有限公司 PRODUCT KEY FACTS Samsung HSCEI Daily (-1x) Inverse Product 10 March 2017 This is an inverse product. It is different from conventional

More information

PRODUCT KEY FACTS ChinaAMC Direxion NASDAQ-100 Daily (-1x) Inverse Product

PRODUCT KEY FACTS ChinaAMC Direxion NASDAQ-100 Daily (-1x) Inverse Product Issuer: China Asset Management (Hong Kong) Limited PRODUCT KEY FACTS ChinaAMC Direxion NASDAQ-100 Daily (-1x) Inverse Product A product established under the ChinaAMC Leveraged/Inverse Series 10 March

More information

Amundi Hong Kong Limited 22 March 2019

Amundi Hong Kong Limited 22 March 2019 PRODUCT KEY FACTS (a sub-fund of AMUNDI ETF Series) Amundi Hong Kong Limited 22 March 2019 This is an exchange traded fund. This statement provides you with key information about this product. This statement

More information

Annually at the Manager s discretion (May in each year) Financial year end of.

Annually at the Manager s discretion (May in each year) Financial year end of. PRODUCT KEY FACTS Mirae Asset Horizons Exchange Traded Funds Series- May 2018 Issuer: Mirae Asset Global Investments (Hong Kong) Limited This is an exchange traded fund. This statement provides you with

More information

PRODUCT KEY FACTS Mirae Asset Horizons Exchange Traded Funds Series- May 2018 Issuer: Mirae Asset Global Investments (Hong Kong) Limited This is an exchange traded fund. This statement provides you with

More information

Hang Seng Investment Index Funds Series II. Hang Seng Index ETF (Stock Code: 2833) (the Fund ) Notice to Unitholders

Hang Seng Investment Index Funds Series II. Hang Seng Index ETF (Stock Code: 2833) (the Fund ) Notice to Unitholders Hang Seng Investment Index Funds Series II Hang Seng Index ETF (Stock Code: 2833) (the Fund ) Notice to Unitholders This document is important and requires your immediate attention. If you are in doubt

More information

BlackRock Asset Management North Asia Limited

BlackRock Asset Management North Asia Limited PRODUCT KEY FACTS BlackRock Premier Funds BlackRock China A-Shares Fund February 2018 This statement provides you with key information about this product. This statement is a part of the Prospectus. You

More information

BlackRock Asset Management North Asia Limited Trustee:

BlackRock Asset Management North Asia Limited Trustee: PRODUCT KEY FACTS BlackRock Premier Funds ishares Asia ex-japan Equity Index Fund November 2018 Quick facts This statement provides you with key information about this product. This statement is a part

More information

Mirae Asset Global Investments (Hong Kong) Limited Trustee:

Mirae Asset Global Investments (Hong Kong) Limited Trustee: PRODUCT KEY FACTS 10 June 2013 This is an exchange traded fund. This statement provides you with key information about this product. This statement is a part of the Prospectus. You should not invest in

More information

ETFS Metal Securities Limited

ETFS Metal Securities Limited 11 December 2009 Bringing Exchange Traded Commodities to the World s Stock Exchanges ETFS Metal Securities Limited (Incorporated and registered in Jersey under the Companies (Jersey) Law 1991 (as amended)

More information

FinEx Gold ETF. FinEx Physically Backed Funds plc

FinEx Gold ETF. FinEx Physically Backed Funds plc FinEx Gold ETF Supplement to the Prospectus This Supplement contains information in relation to the FinEx Gold ETF (the "Fund"), a fund of FinEx Physically Backed Funds plc (the "Company") an umbrella

More information

Hang Seng H-Share Index ETF (stock code : 2828) Hong Kong Offering Document. 19 November Hang Seng Investment Management Limited

Hang Seng H-Share Index ETF (stock code : 2828) Hong Kong Offering Document. 19 November Hang Seng Investment Management Limited Hang Seng H-Share Index ETF (stock code : 2828) Hong Kong Offering Document 19 November 2003 Important If you are in any doubt about the contents of this offering document, you should consult your stockbroker,

More information

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

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

More information

Hang Seng Investment Index Funds Series II Hang Seng Index ETF (Stock Code: 2833) (the Fund ) Notice to Unitholders

Hang Seng Investment Index Funds Series II Hang Seng Index ETF (Stock Code: 2833) (the Fund ) Notice to Unitholders Hang Seng Investment Index Funds Series II Hang Seng Index ETF (Stock Code: 2833) (the Fund ) Notice to Unitholders This document is important and requires your immediate attention. If you are in doubt

More information

PRODUCT KEY FACTS Schroder Balanced Investment Fund

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

More information

STATE STREET GLOBAL ADVISORS

STATE STREET GLOBAL ADVISORS STATE STREET GLOBAL ADVISORS PRODUCT KEY FACTS ABF PAN ASIA BOND INDEX FUND June 2015 Quick facts This is an exchange traded fund. This statement provides you with key information about this product. This

More information

BETASHARES FUNDS PRODUCT DISCLOSURE STATEMENT BETASHARES GOLD BULLION ETF CURRENCY HEDGED ASX CODE: QAU

BETASHARES FUNDS PRODUCT DISCLOSURE STATEMENT BETASHARES GOLD BULLION ETF CURRENCY HEDGED ASX CODE: QAU BETASHARES FUNDS PRODUCT DISCLOSURE STATEMENT BETASHARES GOLD BULLION ETF CURRENCY HEDGED ASX CODE: QAU BetaShares Capital Ltd ABN 78 139 566 868 AFSL 341181 Dated: 29 September 2017 IMPORTANT INFORMATION

More information

Ongoing charges over a year*: 0.75% Tracking difference of the -1.43% last calendar year**: S&P Global Consumer Enterprises Index

Ongoing charges over a year*: 0.75% Tracking difference of the -1.43% last calendar year**: S&P Global Consumer Enterprises Index PRODUCT KEY FACTS Mirae Asset Horizons Exchange Traded Funds Series- May 2018 Issuer: Mirae Asset Global Investments (Hong Kong) Limited This is an exchange traded fund. This statement provides you with

More information

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

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

More information

Designated Market Maker. Index ) N/A Traded Currency Singapore dollars (S$)

Designated Market Maker. Index ) N/A Traded Currency Singapore dollars (S$) Prepared on: 24/09/18 This Product Highlights Sheet is an important document. It highlights the key terms and risks of the Phillip SING Income ETF (the Sub-Fund ), a sub-fund of the Phillip Legacy Funds

More information

PRODUCT KEY FACTS. Quick facts

PRODUCT KEY FACTS. Quick facts PRODUCT KEY FACTS World Gold Trust Services, LLC SPDR Gold Trust October 2017 This is an exchange traded fund ("ETF"). This statement provides you with key information about this product. This statement

More information

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

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

More information

BlackRock Asset Management North Asia Limited Investment Advisers:

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

More information

ETFS Metal Securities Australia Limited A C N Metal Securities comprising:

ETFS Metal Securities Australia Limited A C N Metal Securities comprising: t Bringing Exchange Traded Commodities to the World s Stock Exchanges ETFS Metal Securities Australia Limited A C N 1 0 1 4 6 5 3 8 3 Prospectus for the issue of Metal Securities comprising: Class of Security

More information

Haitong International Asset Management (HK) Limited Trustee:

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

More information

PRODUCT KEY FACTS BOCIP Hong Kong Low Volatility Equity Fund

PRODUCT KEY FACTS BOCIP Hong Kong Low Volatility Equity Fund PRODUCT KEY FACTS BOCIP Hong Kong Low Volatility Equity Fund a sub-fund of the BOCIP Asset Management Investment Funds Issuer: BOCI-Prudential Asset Management Limited 30 April 2018 This statement provides

More information

PRODUCT KEY FACTS Value Partners Greater China High Yield Income Fund

PRODUCT KEY FACTS Value Partners Greater China High Yield Income Fund PRODUCT KEY FACTS Value Partners Greater China High Yield Income Fund Issuer: Value Partners Hong Kong Limited April 2017 This statement provides you with key information about the Value Partners Greater

More information

HSBC MSCI TURKEY UCITS ETF Supplement. 6 October 2014

HSBC MSCI TURKEY UCITS ETF Supplement. 6 October 2014 HSBC MSCI TURKEY UCITS ETF Supplement 6 October 2014 The Company and the Directors of HSBC ETFs PLC (the Directors ) listed in the Prospectus in the Management and Administration section, accept responsibility

More information

PRODUCT KEY FACTS BOCHK China Consumption Growth Fund

PRODUCT KEY FACTS BOCHK China Consumption Growth Fund PRODUCT KEY FACTS BOCHK China Consumption Growth Fund a sub-fund of the BOCHK Investment Funds Issuer: BOCI-Prudential Asset Management Limited 10 June 2015 This statement provides you with key information

More information

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

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

More information

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

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

More information

HSBC MSCI CHINA UCITS ETF Supplement. 17 February 2017

HSBC MSCI CHINA UCITS ETF Supplement. 17 February 2017 HSBC MSCI CHINA UCITS ETF Supplement 17 February 2017 The Company and the Directors of HSBC ETFs PLC (the Directors ) listed in the Prospectus in the Management and Administration section, accept responsibility

More information

(each a Sub-Fund, collectively the Sub-Funds )

(each a Sub-Fund, collectively the Sub-Funds ) THIS ANNOUNCEMENT AND NOTICE IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION AND DOES NOT CONSTITUTE AN INVITATION OR OFFER TO ACQUIRE, PURCHASE OR SUBSCRIBE FOR UNITS OF THE EXCHANGE TRADED FUNDS BELOW

More information

Daily, on every business day in Hong Kong except Saturday

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

More information

State Street Global Advisors Asia Limited State Street Trust (HK) Limited Underlying Index:

State Street Global Advisors Asia Limited State Street Trust (HK) Limited Underlying Index: PRODUCT KEY FACTS SPDR FTSE Greater China ETF a sub-fund of the SPDR ETFs April 2018 This is an exchange traded fund. This statement provides you with key information about this product. This statement

More information

ETFS METAL SECURITIES LIMITED

ETFS METAL SECURITIES LIMITED FINAL TERMS Dated 18 October 2012 ETFS METAL SECURITIES LIMITED (Incorporated and registered in Jersey under the Companies (Jersey) Law 1991 (as amended) with registered number 95996) (the Issuer ) Programme

More information

China Post Global Funds

China Post Global Funds China Post Global Funds PRODUCT KEY FACTS Japan Small Cap Equity Fund ( Sub-Fund ) Issuer: China Post & Capital Global Asset Management Limited Quick facts This statement provides you with key information

More information

HSBC MSCI KOREA UCITS ETF

HSBC MSCI KOREA UCITS ETF The Company and the Directors of HSBC ETFs PLC (the Directors ) listed in the Prospectus in the Management and Administration section, accept responsibility for the information contained in this Supplement.

More information

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

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

More information

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

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

More information

CSOP LEVERAGED AND INVERSE SERIES (An umbrella unit trust established in Hong Kong)

CSOP LEVERAGED AND INVERSE SERIES (An umbrella unit trust established in Hong Kong) CSOP LEVERAGED AND INVERSE SERIES (An umbrella unit trust established in Hong Kong) CSOP HANG SENG INDEX DAILY (-1X) INVERSE PRODUCT (Stock Code: 07300) (A sub-fund of CSOP Leveraged and Inverse Series)

More information

(*This is a synthetic product) (each a Terminating Product, collectively the Terminating Products )

(*This is a synthetic product) (each a Terminating Product, collectively the Terminating Products ) FIRST REMINDER THIS ANNOUNCEMENT AND NOTICE IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION AND DOES NOT CONSTITUTE AN INVITATION OR OFFER TO ACQUIRE, PURCHASE OR SUBSCRIBE FOR UNITS OF THE THREE EXCHANGE

More information

Hang Seng China A Industry Top Index Fund

Hang Seng China A Industry Top Index Fund IMPORTANT RISK WARNINGS/FUND INFORMATION FOR INVESTORS The investment objective of the Hang Seng China A Industry Top Index Fund (the Fund ) is to provide investment results that, before fees and expenses,

More information

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

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

More information

St. James s Place Adventurous Growth Unit Trust

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

More information

Lyxor Asia 10US$(P60) SGX-ST Listing Date 19 October 2006

Lyxor Asia 10US$(P60) SGX-ST Listing Date 19 October 2006 1 Prepared on: 20/03/2012 This Product Highlights Sheet ( PHS ) is an important document. It highlights the key terms and risks of this investment product and complements the prospectus of the Fund dated

More information

ETFS METAL SECURITIES LIMITED

ETFS METAL SECURITIES LIMITED FINAL TERMS Dated 08 March 2016 ETFS METAL SECURITIES LIMITED (Incorporated and registered in Jersey under the Companies (Jersey) Law 1991 (as amended) with registered number 95996) (the Issuer ) Programme

More information

HSBC S&P BRIC 40 UCITS ETF Supplement. 16 March 2016

HSBC S&P BRIC 40 UCITS ETF Supplement. 16 March 2016 HSBC S&P BRIC 40 UCITS ETF Supplement 16 March 2016 The Company and the Directors of HSBC ETFs PLC (the Directors ) listed in the Prospectus in the Management and Administration section, accept responsibility

More information

05/2017. BMO GOLDRs. Client Booklet

05/2017. BMO GOLDRs. Client Booklet 05/2017 BMO GOLDRs Client Booklet Summary BMO GOLDRs, or Gold Deposit Receipts, are registered securities with the U.S. Securities and Exchange Commission (the SEC ) and are DTCeligible. The Vaulted Gold

More information

HSBC MSCI CANADA UCITS ETF Supplement. 17 February 2017

HSBC MSCI CANADA UCITS ETF Supplement. 17 February 2017 HSBC MSCI CANADA UCITS ETF Supplement 17 February 2017 The Company and the Directors of HSBC ETFs PLC (the Directors ) listed in the Prospectus in the Management and Administration section, accept responsibility

More information

Xtrackers MSCI AC World UCITS ETF. Supplement to the Prospectus

Xtrackers MSCI AC World UCITS ETF. Supplement to the Prospectus Xtrackers MSCI AC World UCITS ETF Supplement to the Prospectus This Supplement contains information in relation to Xtrackers MSCI AC World UCITS ETF (the Fund ), a Fund of Xtrackers (IE) plc (the Company

More information

HSBC S&P BRIC 40 ETF Supplement 23 December 2010

HSBC S&P BRIC 40 ETF Supplement 23 December 2010 HSBC S&P BRIC 40 ETF Supplement 23 December 2010 The Company and the Directors of HSBC ETFs PLC (the Directors ) listed in the Prospectus in the Management and Administration section, accept responsibility

More information

PRODUCT KEY FACTS NCB China Equity Fund

PRODUCT KEY FACTS NCB China Equity Fund PRODUCT KEY FACTS a sub-fund of the NCB Investment Funds Issuer: BOCI-Prudential Asset Management Limited 30 April 2018 This statement provides you with key information about this product. This statement

More information

Issuer: Zeal Asset Management Limited November This statement provides you with key information about this product.

Issuer: Zeal Asset Management Limited November This statement provides you with key information about this product. PRODUCT KEY FACTS Issuer: Zeal Asset Management Limited November 2018 This statement provides you with key information about this product. This statement is a part of the Explanatory Memorandum. You should

More information

MAIN\CHWINN\ _1.docx 2

MAIN\CHWINN\ _1.docx 2 THIS ANNOUNCEMENT AND NOTICE IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION AND DOES NOT CONSTITUTE AN INVITATION OR OFFER TO ACQUIRE, PURCHASE OR SUBSCRIBE FOR UNITS OF THE TWO EXCHANGE TRADED FUNDS

More information

(the "Trust") NOTICE OF AMENDMENT TO THE TRUST INDENTURE AND PROPOSAL AND SOLICITATION FOR CONSENT TO AMEND THE TRUST INDENTURE OF THE TRUST

(the Trust) NOTICE OF AMENDMENT TO THE TRUST INDENTURE AND PROPOSAL AND SOLICITATION FOR CONSENT TO AMEND THE TRUST INDENTURE OF THE TRUST IMPORTANT: This document is important and requires your immediate attention. If you are in doubt or have questions about the contents of this document, you should seek independent professional advice.

More information

GFI ETF SERIES (the Trust )

GFI ETF SERIES (the Trust ) IMPORTANT: THIS DOCUMENT IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION AND DOES NOT CONSTITUTE AN INVITATION OR OFFER TO ACQUIRE, PURCHASE OR SUBSCRIBE FOR UNITS OF THE EXCHANGE TRADED FUND NAMED

More information

HSBC MSCI CANADA UCITS ETF

HSBC MSCI CANADA UCITS ETF The Company and the Directors of HSBC ETFs PLC (the Directors ) listed in the Prospectus in the Management and Administration section, accept responsibility for the information contained in this Supplement.

More information

Barings Asia Balanced Fund April 2018

Barings Asia Balanced Fund April 2018 PRODUCT KEY FACTS Barings Global Opportunities Umbrella Fund Barings Asia Balanced Fund April 2018 Baring International Fund Managers (Ireland) Limited This statement provides you with key information

More information

HSBC MULTI FACTOR WORLDWIDE EQUITY UCITS ETF

HSBC MULTI FACTOR WORLDWIDE EQUITY UCITS ETF The Company and the Directors of HSBC ETFs PLC (the Directors ) listed in the Prospectus in the Management and Administration section, accept responsibility for the information contained in this Supplement.

More information

(Offering Class A, Class B1, Class B2, Class B3, Class C1, Class C2, Class C3, Class F, Class S1 and Class S2 Units)

(Offering Class A, Class B1, Class B2, Class B3, Class C1, Class C2, Class C3, Class F, Class S1 and Class S2 Units) BMG FUNDS SIMPLIFIED PROSPECTUS DATED September 5, 2014 BMG BullionFund (Offering Class A, Class B1, Class B2, Class B3, Class C1, Class C2, Class C3, Class F, Class S1 and Class S2 Units) BMG Gold BullionFund

More information

Hang Seng Investment Index Funds Series Hang Seng H-Share Index ETF (Stock Code: 2828) (the Fund ) Notice to Unitholders

Hang Seng Investment Index Funds Series Hang Seng H-Share Index ETF (Stock Code: 2828) (the Fund ) Notice to Unitholders Hang Seng Investment Index Funds Series Hang Seng H-Share Index ETF (Stock Code: 2828) (the Fund ) Notice to Unitholders This document is important and requires your immediate attention. If you are in

More information

BEA Union Investment Capital Growth Fund

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

More information

VANECK VECTORS UCITS ETFs plc. Supplement dated 19 July 2017 for VanEck Vectors Junior Gold Miners UCITS ETF

VANECK VECTORS UCITS ETFs plc. Supplement dated 19 July 2017 for VanEck Vectors Junior Gold Miners UCITS ETF VANECK VECTORS UCITS ETFs plc Supplement dated 19 July 2017 for VanEck Vectors Junior Gold Miners UCITS ETF This Supplement contains specific information in relation to the VanEck Vectors Junior Gold Miners

More information

PRODUCT HIGHLIGHTS SHEET

PRODUCT HIGHLIGHTS SHEET PRODUCT HIGHLIGHTS SHEET Investment Risk Rating: 4 Prepared on: 26 September 2017 Important Notes: Information mentioned in this document is intended to provide you with a general summary of the ILP Sub-Fund

More information

MULTI UNITS FRANCE - LYXOR UCITS ETF MSCI AC ASIA EX JAPAN INFORMATION TECHNOLOGY TR (the Fund )

MULTI UNITS FRANCE - LYXOR UCITS ETF MSCI AC ASIA EX JAPAN INFORMATION TECHNOLOGY TR (the Fund ) 1 Prepared on: 14/02/2014 This Product Highlights Sheet ( PHS ) is an important document. It highlights the key terms and risks of this investment product and complements the prospectus of the Fund dated

More information

PRODUCT KEY FACTS ChinaAMC Select Fund - ChinaAMC Select China New Economy Fund (the Sub-Fund ) September 2016

PRODUCT KEY FACTS ChinaAMC Select Fund - ChinaAMC Select China New Economy Fund (the Sub-Fund ) September 2016 PRODUCT KEY FACTS ChinaAMC Select Fund - ChinaAMC Select China New Economy Fund (the Sub-Fund ) September 2016 This statement provides you with key information about this product. This statement is a part

More information

Product Key Facts PineBridge Global Funds PineBridge Asia Dynamic Asset Allocation Fund

Product Key Facts PineBridge Global Funds PineBridge Asia Dynamic Asset Allocation Fund Product Key Facts PineBridge Global Funds PineBridge Asia Dynamic Asset Allocation Fund Issuer: PineBridge Investments Ireland Limited September 2018 This statement provides you with key information about

More information