Foreign collective investment schemes Changes - May 2016

Size: px
Start display at page:

Download "Foreign collective investment schemes Changes - May 2016"

Transcription

1 Foreign collective investment schemes Changes - May 2016 Approved for distribution in or from Switzerland: Allianz Global Investors Fund (F ) Allianz Advanced Fixed Income Global Aggregate (F ) Allianz High Dividend Asia Pacific Equity (F ) Berenberg DyMACS Volatility Premium (F ) Representatives: Vescore Fondsleitung AG, St. Gallen Germany CS Investment Funds 12 (F ) Credit Suisse (Lux) Global Allocation Fund USD (F ) Representatives: Credit Suisse Funds AG, Zürich DECALIA SICAV (F ) Active Allocation (F ) Conservative (F ) European Conviction (F ) Millennials (F ) Muse (F ) Representatives: FundPartner Solutions (Suisse) S.A., Genève E.I. Sturdza Funds PLC (F ) Strategic Quality Emerging Bond Fund (F ) Representatives: Banque Eric Sturdza SA, Genève EDM INTERNATIONAL (F ) SPANISH EQUITY (F ) STRATEGY FUND (F ) F & C Portfolios Fund (F ) BMO Global Equity Market Neutral (SICAV) (F ) Representatives: Carnegie Fund Services SA, Genève 6th june /8

2 Fund category: UCITS (Undertakings for Collective Investments in Transferable Securities) Ginjer Actifs 360 (F ) France Heritam SICAV (F ) Equinox Fund (F ) Representatives: FundPartner Solutions (Suisse) S.A., Genève JSS Investmentfonds II (F ) JSS Equity - Asia Pacific ex Japan (F ) Representatives: J. Safra Sarasin Investmentfonds AG, Basel Legg Mason Global Funds Public Limited Company (F ) Legg Mason Western Asset EM Local Currency Debt Fund (F ) Legg Mason Western Asset Multi-Asset Credit Fund (F ) Legg Mason Western Asset Structured Opportunities Fund (F ) Liontrust Global Funds plc (F ) Liontrust GF Special Situations Fund (F ) Representatives: RBC Investor Services Bank S.A., Esch-sur-Alzette, Zweigniederlassung Zürich M&G Investment Funds (12) (F ) M&G Global Recovery Fund (F ) Representatives: Carnegie Fund Services SA, Genève Great Britain Magallanes Value Investors UCITS (F ) European Equity (F ) Iberian Equity (F ) Representatives: FundPartner Solutions (Suisse) S.A., Genève 6th june /8

3 NORDEA 1 (F ) Global Stars Equity Fund (F ) Representatives: Nordea Bank S.A.,, Zweigniederlassung Zürich NORDEA 1 (F ) US Core Plus Bond Fund (F ) Representatives: Nordea Bank S.A.,, Zweigniederlassung Zürich Nordea Fund of Funds (F ) Multi Manager Fund Total Return (F ) Representatives: Nordea Bank S.A.,, Zweigniederlassung Zürich Oddo Compass (F ) Trend Dynamics Europe (F ) Old Mutual Global Investors Series plc (F ) Old Mutual Gold & Silver Fund (F ) SANTANDER SICAV (F ) SANTANDER SELECT DEFENSIVE (F ) SANTANDER SELECT DYNAMIC (F ) SANTANDER SELECT MODERATE (F ) Representatives: Banco Santander (Suisse) SA, Genève Serviced Platform SICAV (F ) Campbell UCITS Managed Futures Fund (F ) SI UCITS ETF (F ) UC Thomson Reuters Balanced European Convertible Bond UCITS ETF (F ) Representatives: RBC Investor Services Bank S.A., Esch-sur-Alzette, Zweigniederlassung Zürich 6th june /8

4 Theam Quant (F ) Multi Asset Diversified (F ) Representatives: BNP Paribas (Suisse) SA, Genève UBS ETFs plc (F ) CMCI Ex-Agriculture SF UCITS ETF (F ) Representatives: UBS Fund Management (Switzerland) AG, Basel Removed from the register: (liquidated, merged, not activated, end of distribution in or from Switzerland, etc.) 4Q-EUROPEAN VALUE FONDS (F ) Germany 4Q-VALUE FONDS (F ) Germany Aberdeen Global II (F ) Sterling Bond Fund (F ) Sterling Credit Bond Fund (F ) Sterling Government Bond Fund (F ) Sterling Index Linked Bond Fund (F ) Sterling Long Dated Credit Bond Fund (F ) Sterling Long Dated Government Bond Fund (F ) AMUNDI ETF EURO CORPORATES UCITS ETF (F ) Representatives: CACEIS (Switzerland) SA, Nyon France AMUNDI ETF MSCI EMU HIGH DIVIDEND UCITS ETF (F ) Representatives: CACEIS (Switzerland) SA, Nyon France AMUNDI ETF MSCI EUROPE HIGH DIVIDEND UCITS ETF (F ) Representatives: CACEIS (Switzerland) SA, Nyon France AVIVA INVESTORS (F ) Asian High Yield Bond Fund (F ) 6th june /8

5 Capital International Portfolios 2 (F ) Capital Group Global Absolute Income Grower (LUX) (F ) Representatives: Capital International Sàrl, Genève ComStage (F ) ComStage iboxx Germany Covered Capped 3-5 TR UCITS ETF (F ) ComStage iboxx Germany Covered Capped 5-7 TR UCITS ETF (F ) ComStage iboxx Germany Covered Capped 7-10 TR UCITS ETF (F ) ComStage iboxx Germany Covered Capped Overall TR UCITS ETF (F ) ComStage iboxx Liquid Sovereigns Diversified TR UCITS ETF (F ) ComStage iboxx Liquid Sovereigns Diversified 1-3 TR UCITS ETF (F ) ComStage iboxx Liquid Sovereigns Diversified 15+ TR UCITS ETF (F ) ComStage iboxx Liquid Sovereigns Diversified 25+ TR UCITS ETF (F ) ComStage iboxx Liquid Sovereigns Diversified 3-5 TR UCITS ETF (F ) ComStage iboxx Liquid Sovereigns Diversified 3m-1 TR UCITS ETF (F ) ComStage iboxx Liquid Sovereigns Diversified 5-7 TR UCITS ETF (F ) ComStage iboxx Liquid Sovereigns Diversified 7-10 TR UCITS ETF (F ) ComStage iboxx Liquid Sovereigns Diversified Overall TR UCITS ETF (F ) ComStage iboxx Sovereigns Germany Capped 10+ TR UCITS ETF (F ) ComStage iboxx Sovereigns Germany Capped 1-5 TR UCITS ETF (F ) ComStage iboxx Sovereigns Germany Capped 3m-2 TR UCITS ETF (F ) ComStage iboxx Sovereigns Germany Capped 5-10 TR UCITS ETF (F ) ComStage iboxx Sovereigns Inflation-Linked Euro-Inflation TR UCITS ETF (F ) Representatives: COMMERZBANK Aktiengesellschaft, Frankfurt am Main, Zweigniederlassung Zürich CS Investment Funds 1 (F ) Credit Suisse (Lux) Emerging Market Local Bond Fund (F ) Representatives: Credit Suisse Funds AG, Zürich DIGITAL FUNDS (F ) DIGITAL FUNDS World Active Allocation (F ) Representatives: Carnegie Fund Services SA, Genève Federated International Funds plc (F ) Federated Emerging Markets Global Debt Fund (F ) Representatives: Société Générale, Paris, Zweigniederlassung Zürich Fidante Partners Investment Funds plc (F ) 6th june /8

6 FRANKLIN TEMPLETON INVESTMENT FUNDS (F ) Franklin Global Allocation Fund (F ) Representatives: Franklin Templeton Switzerland AG, Zürich Goldman Sachs Funds (F ) Goldman Sachs Growth Markets Plus Equity Portfolio (F ) JPMorgan Funds (F ) Asia Local Currency Debt Fund (F ) Representatives: J.P. Morgan (Suisse) SA, Genève JSS Investmentfonds (F ) JSS EmergingSar - New Frontiers (F ) Representatives: J. Safra Sarasin Investmentfonds AG, Basel Julius Baer Multibond (F ) EMERGING BOND FUND (USD) (F ) Representatives: GAM Investment Management (Switzerland) AG, Zürich Legg Mason Global Funds Public Limited Company (F ) Legg Mason Western Asset Global Credit Absolute Return Fund (F ) Merrill Lynch Investment Solutions (F ) APQ EMERGING MARKETS UCITS FUND (F ) Westchester Merger Arbitrage UCITS Fund (F ) Representatives: Société Générale, Paris, Zweigniederlassung Zürich MULTIRANGE SICAV (F ) JULIUS BAER EQUITY SPECIAL VALUE EMERGING MARKETS (F ) Representatives: GAM Investment Management (Switzerland) AG, Zürich NN (L) (F ) Asian Debt (Local Bond) (F ) Representatives: NN Investment Partners Schweiz AG, Zürich OYSTER (F ) US Value (F ) Representatives: SYZ Asset Management (Suisse) SA, Genève 6th june /8

7 Parvest (F ) Parvest Multi-Strategy Medium Vol (F ) Parvest Multi-Strategy Medium Vol (USD) (F ) Representatives: BNP Paribas (Suisse) SA, Genève Parworld (F ) Multi-Strategy High Vol (F ) Representatives: BNP Paribas (Suisse) SA, Genève PIMCO Funds: Global Investors Series plc (F ) US Small Cap StocksPLUS Fund (F ) Private Bank Funds I (F ) Discretionary Fixed Income Government Fund (F ) Representatives: J.P. Morgan (Suisse) SA, Genève Quantex Commodity Fund (F ) Liechtenstein Raiffeisenfonds-Konservativ (F ) Austria TBF Japan Fund (F ) Germany Traditional Funds plc (F ) F&C Macro Global Bond Fund ( ) (F ) Representatives: Carnegie Fund Services SA, Genève TT International Funds plc (F ) TT Euro Zone Equity Fund (F ) UBS (Lux) Equity SICAV (F ) Energy Transformation (USD) (F ) Representatives: UBS Fund Management (Switzerland) AG, Basel 6th june /8

8 UBS ETF (F ) Barclays UK Liquid Corporates 1-5 Year UCITS ETF (F ) Representatives: UBS Fund Management (Switzerland) AG, Basel UBS (Lux) Structured SICAV (F ) [Rogers International Commodity Index ] (CHF) (Fonds mit Performancepartizipation am [Rogers International Commodity Index ] mittels Swap) (F ) [Rogers International Commodity Index ] (EUR) (Fonds mit Performancepartizipation am [Rogers International Commodity Index ] mittels Swap) (F ) [Rogers International Commodity Index ] (USD) (Fonds mit Performancepartizipation am [Rogers International Commodity Index ] mittels Swap) (F ) Representatives: UBS Fund Management (Switzerland) AG, Basel WILLERFUNDS (F ) WILLEREQUITY TRADE WINDS (F ) Representatives: BANQUE MORVAL SA, Genève 6th june /8

Foreign collective investment schemes Changes - July 2014

Foreign collective investment schemes Changes - July 2014 Foreign collective investment schemes Changes - July 2014 Approved for distribution in or from Switzerland: ABN AMRO Multi-Manager Funds Aristotle US Equities (F01036687) Pzena European Equities (F01036688)

More information

Investimenti collettivi di capitale esteri Mutazioni - Marzo 2016

Investimenti collettivi di capitale esteri Mutazioni - Marzo 2016 Investimenti collettivi di capitale esteri Mutazioni - Marzo 2016 Approvato alla distribuzione in o partire della Svizzera: Allianz Global Investors Fund (F00156112) Allianz Dynamic Multi Asset Strategy

More information

Foreign collective investment schemes Changes - January 2016

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

More information

Foreign collective investment schemes Changes - September 2016

Foreign collective investment schemes Changes - September 2016 Foreign collective investment schemes Changes - September 2016 Approved for distribution in or from Switzerland: Absolute Insight Funds plc (F00163881) Insight Broad Opportunities Fund (F01110091) AIM

More information

Foreign collective investment schemes Changes - August, 2008

Foreign collective investment schemes Changes - August, 2008 Foreign collective investment schemes Changes - August, 2008 Approved for distribution in or from Switzerland: AVIVA INVESTORS - AUSTRALIAN RESOURCES FUND AVIVA INVESTORS - GLOBAL EQUITY INCOME FUND AVIVA

More information

Foreign collective investment schemes Changes February 2014

Foreign collective investment schemes Changes February 2014 Foreign collective investment schemes Changes February 2014 Approved for distribution in or from Switzerland: AMUNDI TRESO 12 MOIS (F01027439) Representative: CACEIS (Switzerland) SA, Nyon : UCITS AMUNDI

More information

Ausländische kollektive Kapitalanlagen Mutationen - Juni 2016

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

More information

Ausländische kollektive Kapitalanlagen Mutationen - Oktober 2018

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

More information

Foreign collective investment schemes Changes - May, 2008

Foreign collective investment schemes Changes - May, 2008 Foreign collective investment schemes Changes - May, 2008 Approved for distribution in or from Switzerland: Advance Umbrella Fund plc - Advance Emerging Markets Fund FIRST INDEPENDENT FUND SERVICES, Zürich

More information

Foreign collective investment schemes Changes - June, 2008

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

More information

Foreign collective investment schemes Changes - July 2017

Foreign collective investment schemes Changes - July 2017 Foreign collective investment schemes Changes - July 2017 Approved for distribution in or from Switzerland: American Century SICAV (F00163891) Emerging Markets Debt Total Return (F01180251) ARGOS FUNDS

More information

Foreign collective investment schemes Changes - March, 2008

Foreign collective investment schemes Changes - March, 2008 Foreign collective investment schemes Changes - March, 2008 Approved for distribution in or from Switzerland: Allianz Global Investors Fund - Allianz RCM Asia Pacific Allianz Global Investors Fund - Allianz

More information

Foreign investment funds Changes - July, 2006

Foreign investment funds Changes - July, 2006 Foreign investment funds Changes - July, 2006 Authorized for the distribution in Switzerland: ABN AMRO Funds - Asia Pacific High Dividend Equity Fund ABN AMRO Funds - Brazil Equity Fund ABN AMRO Funds

More information

Foreign investment funds Changes - April 2006

Foreign investment funds Changes - April 2006 Foreign investment funds Changes - April 2006 Authorized for the distribution in Switzerland: AIG MULTILABEL SICAV - AIT Europe Value Equity AIG MULTILABEL SICAV - AIT Switzerland Value Equity AIG MULTILABEL

More information

Foreign investment funds Changes - September 2005

Foreign investment funds Changes - September 2005 Foreign investment funds Changes - September 2005 Authorized for the distribution in Switzerland: Activest GlobalDepot Defensiv Activest GlobalDepot Dynamisch Activest Investmentgesellschaft Schweiz AG,

More information

Foreign collective investment schemes Changes - October, 2008

Foreign collective investment schemes Changes - October, 2008 Foreign collective investment schemes Changes - October, 2008 Approved for distribution in or from Switzerland: APUS - AC Statistical Value Market Neutral 12 Vol Fund Union Investment (Schweiz) AG, Zürich

More information

Foreign investment funds Changes - March, 2005

Foreign investment funds Changes - March, 2005 Foreign investment funds Changes - March, 2005 Authorized for the distribution in Switzerland: ADIG Total Return Protect Commerzbank (Schweiz) AG, Zürich BLUEBAY FUNDS - BlueBay Emerging Market Bond Fund

More information

Foreign investment funds Changes - June, 2005

Foreign investment funds Changes - June, 2005 Foreign investment funds Changes - June, 2005 Authorized for the distribution in Switzerland: ABN AMRO Funds Absolute Return Bond Fund (Euro) ABN AMRO Funds Denmark Bond Fund ABN AMRO Funds Denmark Fund

More information

Introducing Fund Manager Rebates

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

More information

LIPPER FUND AWARDS UNITED KINGDOM WINNER LIST Wednesday, 12 March 2014

LIPPER FUND AWARDS UNITED KINGDOM WINNER LIST Wednesday, 12 March 2014 LIPPER FUND AWARDS 2014 UNITED KINGDOM WINNER LIST Wednesday, 12 March 2014 GROUP AWARD SIZE BEST GROUP COMPANY Bond Large 3 Years AXA Bond Small 3 Years Marlborough Equity Large 3 Years Cazenove Equity

More information

ETF Quarterly Statistics

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

More information

LIPPER FUND AWARDS 2015 UK WINNER LIST

LIPPER FUND AWARDS 2015 UK WINNER LIST LIPPER FUND AWARDS 2015 UK WINNER LIST GROUP AWARD SIZE COMPANY Bond Large Legal & General Bond Small T Rowe Price Equity Large Robeco Equity Small River and Mercantile Mixed Assets Large Legg Mason Mixed

More information

Investment Regulations

Investment Regulations Independent Pension Foundation 3a Zurich Investment Regulations Independent Pension Foundation 3a Zurich Table of Contents Art. 1 Art. 2 Art. 3 Art. 4 Art. 5 Art. 6 Art. 7 Art. 8 Art. 9 Art. 10 Art. 11

More information

Quantum Fund List Performance as at 31 March 2010

Quantum Fund List Performance as at 31 March 2010 Launch 3 Months 6 Months 1 Year 5 Year 10 Year 5 Year Standard Commodity & Energy BGF World Energy EUR 06/04/01 6.43 16.48 40.52-1.52 37.32-6.55 26.09 LU0171301533 BGF World Energy USD 06/04/01 0.13 7.84

More information

AUGUST Emerging Markets. Pacific ex Japan. Global Property. UK Property BRIC

AUGUST Emerging Markets. Pacific ex Japan. Global Property. UK Property BRIC INDICATOR HOW TO USE INDICATOR The indicator provides investors with a 2-month stock market outlook from a selection of fund groups linked to Old Mutual International. We provided the fund groups with

More information

Foreign investment funds Changes - Mai 2005

Foreign investment funds Changes - Mai 2005 Foreign investment funds Changes - Mai 2005 Authorized for the distribution in Switzerland: Activest-Commodities Activest Investmentgesellschaft Schweiz AG, Bern AMC FUND AMC Classical (CHF) AMC FUND AMC

More information

NETHERLANDS WINNER LIST

NETHERLANDS WINNER LIST NETHERLANDS WINNER LIST GROUP AWARD SIZE COMPANY Bond Large Company BlackRock 2016 THOMSON REUTERS LIPPER FUND AWARDS Bond Small Company T Rowe Price Equity Large Company Comgest Equity Small Company Mirae

More information

Foreign investment funds Changes - April, 2005

Foreign investment funds Changes - April, 2005 Foreign investment funds Changes - April, 2005 Authorized for the distribution in Switzerland: Capital @ Work Umbrella Fund - Bonds @ Work Capital @ Work Umbrella Fund - Inflation @ Work CENTRALE ACTIONS

More information

ETF Quarterly Statistics

ETF Quarterly Statistics ETF Quarterly Statistics 3 rd quarter 2016 Development of the ETF segment of SIX Swiss Exchange in the 3 rd quarter of 2016 In the third quarter of 2016, the Swiss Exchange recorded an ETF trading turnover

More information

Foreign collective investment schemes Changes - August, 2007

Foreign collective investment schemes Changes - August, 2007 Foreign collective investment schemes Changes - August, 2007 Approved for distribution in or from Switzerland: ACMBernstein SICAV - Global Real Estate Securities Portfolio BNP PARIBAS SECURITIES SERVICES

More information

ETF Quarterly Statistics

ETF Quarterly Statistics ETF Quarterly Statistics 4 th quarter 2014 Development of the ETF segment of SIX Swiss Exchange in the 4 th quarter of 2014 In 2014 the Swiss stock exchange saw CHF 90.8 billion of trading volume in ETFs.

More information

Representation of Foreign Collective Investment Schemes in Switzerland

Representation of Foreign Collective Investment Schemes in Switzerland Representation of Foreign Collective Investment Schemes in Switzerland Lugano Fund Forum 24 November Agenda BNP Paribas Group BNP Paribas Securities Services Distribution Terms Legal Consequences Examples

More information

fund range For financial advisers only November 2015

fund range For financial advisers only November 2015 Flexible Investment Account fund range November 2015 For financial advisers only This document was last reviewed in November 2015. Please confirm with your financial adviser that this is the most up-to-date

More information

ETF Quarterly Statistics

ETF Quarterly Statistics ETF Quarterly Statistics 2 nd quarter 2015 Development of the ETF segment of SIX Swiss Exchange in the 2 nd quarter of 2015 In the second quarter of 2015, the Swiss stock exchange saw a trading volume

More information

old mutual international IM

old mutual international IM All currencies (,,, ) All percentage growth calculated to 0/0/207 Performance % over one year to end June 207 June 207 Year Years 5 Years 20 205 204 20 202 AMC SFC Managed Solutions available in different

More information

old mutual international IM

old mutual international IM All currencies (,,, ) All percentage growth calculated to /08/207 Performance % over one year to end August 207 August 207 Year Years 5 Years 20 205 204 20 202 AMC SFC Managed Solutions available in different

More information

OLD MUTUAL INTERNATIONAL IM

OLD MUTUAL INTERNATIONAL IM ALL CURRENCIES (,,, ) All percentage growth calculated to 28/2/208 Performance % over one year to end February 208 FEBRUARY 208 Year Years 5 Years 208 207 20 205 204 AMC SFC Managed Solutions available

More information

6. maí Sjóður / Fund Sjóðsdeildir / Subfunds Heimaríki / Home State 1741 Asset Managment Funds SICAV

6. maí Sjóður / Fund Sjóðsdeildir / Subfunds Heimaríki / Home State 1741 Asset Managment Funds SICAV 6. maí 2016 Erlendir verðbréfasjóðir sem hafa tilkynnt markaðssetningu á Íslandi í samræmi við 43. gr. laga nr. 30/2003 og 14. og 16. gr. reglugerðar nr. 792/2003 Foreign UCITS which have notified their

More information

LifePlan Policyholder Fund Performance Bulletin as at end of Q3 2016

LifePlan Policyholder Fund Performance Bulletin as at end of Q3 2016 Commodity & Energy Pictet Water EUR LU0104884860 5 23/07/90 16.29 7.93 15.46 12.15 22.74 167.66 Pictet Water USD LU0255980327 5 23/07/90 17.07-4.63 7.70 17.75 18.62 78.37 Currency/Money Market Aberdeen

More information

OLD MUTUAL INTERNATIONAL IM

OLD MUTUAL INTERNATIONAL IM ALL CURRENCIES (,,, ) All percentage growth calculated to /8/208 Performance % over one year to end August 208 AUGUST 208 Year Years 5 Years 208 207 20 205 204 AMC SFC Managed Solutions available in different

More information

Quantum Fund List Performance as at 28 February 2011 (for policies taken out after 6 April 2010)

Quantum Fund List Performance as at 28 February 2011 (for policies taken out after 6 April 2010) Commodity & Energy BGF World Energy EUR LU0171301533 06/04/01 14.24 33.80 31.88 5.92 17.42-3.26 6.64 24.61 BGF World Energy USD LU0122376428 06/04/01 21.37 45.44 34.27-3.54 36.72-6.46 11.43 28.36 BGF World

More information

OLD MUTUAL INTERNATIONAL IM

OLD MUTUAL INTERNATIONAL IM ALL CURRENCIES (,,, ) All percentage growth calculated to 0/4/208 Performance % over one year to end April 208 APRIL 208 Year Years 5 Years 208 207 20 205 204 AMC SFC Managed Solutions available in different

More information

OLD MUTUAL INTERNATIONAL IM

OLD MUTUAL INTERNATIONAL IM ALL CURRENCIES (,,, ) All percentage growth calculated to //208 Performance % over one year to end January 208 JANUARY 208 Year Years 5 Years 208 207 20 205 204 AMC SFC Managed Solutions available in different

More information

OLD MUTUAL INTERNATIONAL IM

OLD MUTUAL INTERNATIONAL IM ALL CURRENCIES (,,, ) All percentage growth calculated to //208 Performance % over one year to end March 208 MARCH 208 Year Years 5 Years 208 207 20 205 204 AMC SFC Managed Solutions available in different

More information

OLD MUTUAL INTERNATIONAL IM

OLD MUTUAL INTERNATIONAL IM ALL CURRENCIES (,,, ) All percentage growth calculated to /5/208 Performance % over one year to end May 208 MAY 208 Year Years 5 Years 208 207 20 205 204 AMC SFC Managed Solutions available in different

More information

Start of Data. 3 Months % 6 Months %

Start of Data. 3 Months % 6 Months % Source - Financial Express. Performance is cumulative percentage growth, except for p.a. & p.a. figures which are annualised growth. Figures are on a gross return, bid to bid basis and in the fund currency.

More information

CUMULATIVE. 3 Months. 6 Months

CUMULATIVE. 3 Months. 6 Months Base November 20 All percentage growth calculated to /0/ Year Years 5 Years 20 202 20 200 2009 Managed Solutions available in different risk profiles, providing a high level of diversification across multiple

More information

LIPPER GLOBAL CLASSIFICATION BEST FUND FUND NAME FUND MANAGEMENT COMPANY FUND COUNT

LIPPER GLOBAL CLASSIFICATION BEST FUND FUND NAME FUND MANAGEMENT COMPANY FUND COUNT JAPAN WINNER LIST GROUP AWARD SIZE PROMOTER 2017 THOMSON REUTERS LIPPER FUND AWARDS Bond Equity Mixed Assets Overall AllianceBernstein Sparx Asset Management Russell Investments Fidelity LIPPER GLOBAL

More information

Morningstar Rating Analysis

Morningstar Rating Analysis Morningstar Research January 2018 Morningstar Rating Analysis of European Investment Funds Authors: Nikolaj Holdt Mikkelsen, CFA, CIPM Ali Masarwah Content Morningstar European Rating Analysis of Investment

More information

May, 19th UCITS IV to UCITS V

May, 19th UCITS IV to UCITS V London, 19 May 2011 May, 19th 2011 UCITS IV to UCITS V London roadshow 2011 Panel discussion moderated by: UCITS IV to UCITS V Thomas Seale, CEO, European Fund Administration, and Vice Chairman, ALFI Panelists:

More information

10. júlí Sjóður / Fund Sjóðsdeildir / Subfunds Heimaríki / Home State

10. júlí Sjóður / Fund Sjóðsdeildir / Subfunds Heimaríki / Home State 10. júlí 2018 Erlendir verðbréfasjóðir sem hafa tilkynnt markaðssetningu á Íslandi í samræmi við 43. gr. laga nr. 30/2003 og 14. og 16. gr. reglugerðar nr. 792/2003 Foreign UCITS which have notified their

More information

Morningstar Rating Analysis

Morningstar Rating Analysis Morningstar Research October 2016 Morningstar Rating Analysis of European Investment Funds Authors: Nikolaj Holdt Mikkelsen, CFA, CIPM Ali Masarwah Content Morningstar European Rating Analysis of Investment

More information

Foreign collective investment schemes Changes - May, 2007

Foreign collective investment schemes Changes - May, 2007 Foreign collective investment schemes Changes - May, 2007 Approved for distribution in or from Switzerland: Alger SICAV - China-US Growth Fund - Fonds zur Anlage in Wertpapieren, die an einer Börse der

More information

Regular Savings Plan. Fund Performance Booklet. Performance Data. Risk Rating

Regular Savings Plan. Fund Performance Booklet. Performance Data. Risk Rating Performance Data This booklet contains a number of different performance measures and time periods to help you assess the fund range. The data used to arrive at the figures shown is provided by Morningstar.

More information

OLD MUTUAL INTERNATIONAL IM

OLD MUTUAL INTERNATIONAL IM s s Year Years 5 Years 208 207 20 205 204 AMC SFC Managed Solutions available in different risk profiles, providing a high level of diversification across multiple asset classes 98570 4 Compass Portfolio

More information

30. janúar Sjóður / Fund Sjóðsdeildir / Subfunds Heimaríki / Home State 1741 Asset Managment Funds SICAV

30. janúar Sjóður / Fund Sjóðsdeildir / Subfunds Heimaríki / Home State 1741 Asset Managment Funds SICAV 30. janúar 2018 Erlendir verðbréfasjóðir sem hafa tilkynnt markaðssetningu á Íslandi í samræmi við 43. gr. laga nr. 30/2003 og 14. og 16. gr. reglugerðar nr. 792/2003 Foreign UCITS which have notified

More information

Fund Announcement: 19 April Contents:

Fund Announcement: 19 April Contents: Fund Announcement: 19 April 2013 Contents: 1. Termination of BNP Paribas Agriculture (SGD) Fund 2. BNP Paribas L1 - Notice of Statutory General Meeting 3. Notice to Shareholders of BNPPL1 Equity Europe

More information

Start of Data. 1 Mth % 3 Mth %

Start of Data. 1 Mth % 3 Mth % Source - Financial Express. Performance is cumulative percentage growth, except for 5 Year p.a. & p.a. figures which are annualised growth. Figures are on a bid to bid, gross total return basis (i.e. all

More information

THOMSON REUTERS LIPPER

THOMSON REUTERS LIPPER THOMSON REUTERS LIPPER EUROPEAN FUND FLOWS REPORT: February 2017 Please attribute the content to Detlef Glow, Head of EMEA Research at Thomson Reuters Lipper and the author of this report. EXECUTIVE SUMMARY

More information

Performance of Foreign Mutual Funds marketed in Portugal

Performance of Foreign Mutual Funds marketed in Portugal 10 21 30 31 42 47 48 49 51 73 74 85 75 76 77 79 86 Performance of Foreign Mutual Funds marketed in Portugal Date: 02/09/2016 DISCLAIMER The information contained in this file has been drawn up in accordance

More information

Elenco dei Prodotti, degli Strumenti Finanziari, delle Attività e Servizi offerti nella prestazione del Servizio di Collocamento

Elenco dei Prodotti, degli Strumenti Finanziari, delle Attività e Servizi offerti nella prestazione del Servizio di Collocamento Elenco dei Prodotti, degli Strumenti Finanziari, delle Attività e Servizi offerti nella prestazione del Servizio di Collocamento Questo documento è consegnato al Cliente alla sottoscrizione del Contratto

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

Understanding Financial Interconnectedness

Understanding Financial Interconnectedness Understanding Financial Interconnectedness Key Messages Utility Bilateral surveillance Multilateral surveillance Macro-prudential policies Swap Lines England ECB Switzerland United States JAPAN Swap Lines

More information

THOMSON REUTERS LIPPER

THOMSON REUTERS LIPPER THOMSON REUTERS LIPPER EUROPEAN FUND INDUSTRY REVIEW H1-2017 Please attribute the content to Detlef Glow, Head of EMEA Research at Thomson Reuters Lipper and the author of this report. EXECUTIVE SUMMARY

More information

Quantum. Investment Guide. March 2013

Quantum. Investment Guide. March 2013 Quantum Investment Guide March 2013 Contents 02 Investment choice for your Quantum 02 and return 03 Fund risk s 04 Managed funds 04 A world of investment choice 05 Fund range overview 13 Fund objectives

More information

LIPPER GLOBAL CLASSIFICATION BEST FUND FUND NAME COMPANY FUND COUNT

LIPPER GLOBAL CLASSIFICATION BEST FUND FUND NAME COMPANY FUND COUNT AUSTRIA WINNER LIST GROUP AWARD SIZE COMPANY Bond Large Company BlackRock 2016 THOMSON REUTERS LIPPER FUND AWARDS Bond Small Company T Rowe Price Equity Large Company Comgest Equity Small Company Seilern

More information

Observatory for Management Companies 2018 Barometer

Observatory for Management Companies 2018 Barometer www.pwc.lu/management-companies Observatory for Management Companies 2018 Barometer Asset & Wealth Management Community 2 Table of contents Luxembourg Management Companies snapshots...3 PwC ManCo Index...4

More information

Morningstar Rating Analysis

Morningstar Rating Analysis Morningstar Research February 2016 Morningstar Rating Analysis of European Investment Funds Authors: Nikolaj Holdt Mikkelsen, CFA Ali Masarwah Content Morningstar European Rating Analysis of Investment

More information

Start of Data. 1 Mth % 3 Mth %

Start of Data. 1 Mth % 3 Mth % Source - Financial Express. Performance is cumulative percentage growth, except for 5 Year p.a. & p.a. figures which are annualised growth. Figures are on a bid to bid, gross total return basis (i.e. all

More information

Harmonisation of Fortis L Fund and Parvest For professional investors

Harmonisation of Fortis L Fund and Parvest For professional investors Harmonisation of Fortis L Fund and Parvest For professional investors 1 HARMONISATION OF FORTIS L FUND AND PARVEST Following the merger of BNP Paribas Investment Partners and Fortis Investments on April

More information

PROTECTION FUND GUIDE

PROTECTION FUND GUIDE PROTECTION FUND GUIDE FEBRUARY 2019 TABLE OF CONTENTS 01 INTRODUCTION 02 CHOOSING YOUR FUNDS 03 ASSESSING RISK 04 MAKE YOUR SELECTION 05 FUND RANGE FOR LIFEPLAN 11 FUND RANGE FOR PROTECTED LIFESTYLE 16

More information

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

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

More information

First State Investments Annual Order Execution Report Year Ending April 2018

First State Investments Annual Order Execution Report Year Ending April 2018 First State Investments Annual Order Execution Report Year Ending 2017 April 2018 Introduction References to First State Investments in this report is a reference to First State Investments International

More information

THOMSON REUTERS LIPPER

THOMSON REUTERS LIPPER THOMSON REUTERS LIPPER EUROPEAN FUND FLOWS REPORT: June 2017 Please attribute the content to Detlef Glow, Head of EMEA Research at Thomson Reuters Lipper and the author of this report. EXECUTIVE SUMMARY

More information

THOMSON REUTERS LIPPER

THOMSON REUTERS LIPPER THOMSON REUTERS LIPPER EUROPEAN FUND FLOWS REPORT: March 2017 Please attribute the content to Detlef Glow, Head of EMEA Research at Thomson Reuters Lipper and the author of this report. EXECUTIVE SUMMARY

More information

CUSIP SECURITY DESCRIPTION % of Total

CUSIP SECURITY DESCRIPTION % of Total 36191E870 GUIDEMARK GLOBAL REAL RETURN INST 3.97% 36191K207 GUIDEMARK LARGE CAP GROWTH INST 7.04% 36191K405 GUIDEMARK LARGE CAP VALUE INST 7.63% 36191K603 GUIDEMARK SMALL/MID CAP CORE INST 9.24% 36191K801

More information

How is Brexit Going to Affect European Financial Markets?

How is Brexit Going to Affect European Financial Markets? How is Brexit Going to Affect European Financial Markets? Milan Simacek Czech National Bank 27- th Economic Forum Krynica Zdrój, Poland, September 5 7, 2017 1 United Kingdom versus European Union What

More information

MSA EMEA ETP Report. Full year 2016 review of ETP trade volumes. February 2017

MSA EMEA ETP Report. Full year 2016 review of ETP trade volumes. February 2017 MSA EMEA ETP Report Full year 2016 review of ETP trade volumes February 2017 2 Market Share Analysis (MSA) Markit s Trading Analytics platform delivers a full suite of tools to facilitate the measurement

More information

THE INDOSUEZ FUNDS RANGE

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

More information

THE SILVER THATCH PENSION PLAN FINANCIAL STATEMENTS JUNE 30, 2014

THE SILVER THATCH PENSION PLAN FINANCIAL STATEMENTS JUNE 30, 2014 FINANCIAL STATEMENTS Independent Auditor's Report To the Trustees of the Silver Thatch Pension Plan We have audited the accompanying financial statements of The Silver Thatch Pension Plan (the Plan ),

More information

Performance Nom ISIN / Valeur Style / Distr. YTD 1 an 3 ans HSBC GIF India Fixed Income AC (USD)

Performance Nom ISIN / Valeur Style / Distr. YTD 1 an 3 ans HSBC GIF India Fixed Income AC (USD) Recherche dun fonds Fund Lab Votre recherche a donné 252 fonds avec 970 tranches http://fundlab.credit-suisse.com/ Suisse - Retail Investor 28.12.2017 08:11 Nom ISIN / Valeur Style / Distr. YTD 1 an 3

More information

Annual Report 2013/2014

Annual Report 2013/2014 ab Asset management UBS Funds Annual Report 2013/2014 Investment Company under Luxembourg Law (SICAV) R.C.S. Luxembourg N B 135 728 Audited annual report as of 31 July 2014 Active Allocation Portfolio

More information

JB EF Special Value-EUR

JB EF Special Value-EUR Julius Baer Multistock - Julius Baer Equity Fund Special Value JB EF Special Value-EUR Share class B / Currency EUR 31.08.2011 Investment focus and suitability The fund invests worldwide in companies with

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

Unaudited Semi-Annual Report for the period from March 1, 2011 to August 31, 2011

Unaudited Semi-Annual Report for the period from March 1, 2011 to August 31, 2011 Investment company under Luxembourg law with variable capital and multiple Sub-Funds Unaudited Semi-Annual Report for the period from March 1, 2011 to August 31, 2011 This extract of the semi-annual report

More information

19. september Sjóður / Fund Sjóðsdeildir / Subfunds Heimaríki / Home State

19. september Sjóður / Fund Sjóðsdeildir / Subfunds Heimaríki / Home State 19. september 2017 Erlendir verðbréfasjóðir sem hafa tilkynnt markaðssetningu á Íslandi í samræmi við 43. gr. laga nr. 30/2003 og 14. og 16. gr. reglugerðar nr. 792/2003 Foreign UCITS which have notified

More information

Eurizon MultiManager Stars Fund

Eurizon MultiManager Stars Fund Eurizon MultiManager Stars Fund A Mutual Fund ( Fonds Commun de Placement ) governed by the Law of Luxembourg Subscriptions cannot be accepted on the basis of this financial report. Subscriptions are only

More information

JB Strategy Income-EUR

JB Strategy Income-EUR Julius Baer Multicooperation - Julius Baer Strategy Income (EUR) JB Strategy Income-EUR Share class A / Currency EUR 31.08.2011 Investment focus and suitability The asset allocation corresponds to Bank

More information

LIPPER FUND AWARDS 2015 AUSTRIA WINNER LIST

LIPPER FUND AWARDS 2015 AUSTRIA WINNER LIST LIPPER FUND AWARDS 2015 AUSTRIA WINNER LIST GROUP AWARD SIZE COMPANY Bond Large BlackRock Bond Small T Rowe Price Equity Large Standard Life Investments Equity Small Charlemagne Capital Mixed Assets Large

More information

Paragon. Fund Performance Booklet. Performance Data. Risk Rating

Paragon. Fund Performance Booklet. Performance Data. Risk Rating Performance Data This booklet contains a number of different performance measures and time periods to help you assess the Paragon fund range. The data used to arrive at the figures shown is provided by

More information

PARVEST Luxembourg SICAV UCITS category Registered office: 10 rue Edward Steichen, L-2540 Luxembourg Luxembourg Trade and Companies Register n B 33363

PARVEST Luxembourg SICAV UCITS category Registered office: 10 rue Edward Steichen, L-2540 Luxembourg Luxembourg Trade and Companies Register n B 33363 PARVEST Luxembourg SICAV UCITS category Registered office: 10 rue Edward Steichen, L-2540 Luxembourg Luxembourg Trade and Companies Register n B 33363 Notice to shareholders Luxembourg, March 09, 2018

More information

Quantum. Fund Performance Booklet for policies taken out after 6 April Performance Data. Risk Rating

Quantum. Fund Performance Booklet for policies taken out after 6 April Performance Data. Risk Rating Performance Data This booklet contains a number of different performance measures and time periods to help you assess the Quantum fund range. The data used to arrive at the figures shown is provided by

More information

THOMSON REUTERS LIPPER

THOMSON REUTERS LIPPER THOMSON REUTERS LIPPER EUROPEAN FUND INDUSTRY REVIEW Q1-2018 Please attribute the content to Detlef Glow, Head of EMEA Research at Thomson Reuters Lipper and the author of this report. EXECUTIVE SUMMARY

More information

LifePlan. Investment Guide. September 2016

LifePlan. Investment Guide. September 2016 LifePlan Investment Guide September 2016 Contents 2 Investment choice for your LifePlan 2 Balancing risk 3 Fund risk s 4 Selecting your funds 5 Fund range overview 10 Fund objectives 15 Important information

More information

fund prices Isle of Man funds June 2016

fund prices Isle of Man funds June 2016 fund prices Isle of Man funds June 2016 Fund s as at the last price available on 31 May 2016. Access to these funds is only available through the Isle of Man product range. This leaflet is for information

More information

REPORT AND UNAUDITED CONDENSED FINANCIAL STATEMENTS

REPORT AND UNAUDITED CONDENSED FINANCIAL STATEMENTS An umbrella type open-ended investment company with variable capital and segregated liability between Sub-Funds INTERIM REPORT AND UNAUDITED CONDENSED FINANCIAL STATEMENTS FOR THE FINANCIAL PERIOD ENDED

More information

MM Navigator Return Focused Range MM Lifestyle Risk Targeted Range

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

More information

Annual Charges. Annual Charges - Underlying Funds. May 2011

Annual Charges. Annual Charges - Underlying Funds. May 2011 Annual Charges May 2011 Annual Charges - Underlying Funds This document is to be used in Hong Kong only and should be issued and read in conjunction with the Principal Brochure, which consists of the Annual

More information

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

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

More information

Change of Investment Manager (Appendix 5 of the Prospectus) - Allianz Global Investors GmbH - Allianz Global Investors U.S. LLC

Change of Investment Manager (Appendix 5 of the Prospectus) - Allianz Global Investors GmbH - Allianz Global Investors U.S. LLC Allianz Global Investors Fund Société d`investissement à Capital Variable Registered office: 6 A, route de Trèves, L-2633 Senningerberg R.C.S. Luxembourg B 71.182 Shareholder Notification The Board of

More information