Investment Regulations

Size: px
Start display at page:

Download "Investment Regulations"

Transcription

1 Independent Pension Foundation 3a Zurich Investment Regulations Independent Pension Foundation 3a Zurich

2 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 Art. 12 Art. 13 Art. 14 Purpose General Asset management and investment principles Extended investments Authorised extended investments Extended investment limits per category Investment guideline compliance and monitoring Model portfolios Individual investment strategies for asset management mandates Accounting principles Authoritative language Omissions Amendments Validity Page 2 of 14

3 Investment Regulations Based on Article 6 of the statutes of the Independent Pension Foundation 3a Zurich ( Foundation ), the Foundation Board enacts the following investment regulation. Art. 1 Purpose risk profile and is consistent with his capacity and tolerance for risk. These Regulations set out the rules and principles to be observed in the management and investment of pension assets and regulate the organisation of asset management. The Foundation shall comply with these Regulations at all times. These Regulations shall be reviewed at least once a year and adapted as necessary. 3. Diversification: Risk diversification rules shall be observed at all times and compliance shall be conclusively demonstrated and documented. The debtor risk in collective investments shall correspond to risk of the base value of the collective investment. Art. 2 General Art. 4 Extended investments 1. In addition to account solutions, the Foundation offers the following types of securities solutions: a. "Execution-only": The client invests his pension assets in fund shares or in investment foundation claims. b. "Advisory": The client invests his pension assets in fund shares or in investment foundation claims. The foundation or an affiliated asset manager provides the relevant investment advisory services. The client decides on the implementation of investment recommendations either actively by consent or passively by not objecting. It shall be noted in the benefits agreement whether consent has to be active or passive. c. "Asset management mandate": Pension assets are managed on a discretionary basis by the foundation or by an asset manager pursuant to the provisions of the benefits agreement and those set out in the Annex to these Investment Regulations. 2. Currently available securities are listed (in a nonexhaustive list) in the Annex to these Investment Regulations. The foundation reserves the right to change the selection of securities offered at any time. 3. Compensation for the safekeeping and management of asset investments is presented transparently in the benefits agreement. Feeds are calculated based on a fee schedule. 4. The persons and institutions entrusted with asset management shall meet the requirements stipulated in Art. 48f (2) BVV 2. The foundation requires an annual statement from the persons involved in asset management confirming that the regulations governing the integrity and loyalty of responsible parties have been complied with pursuant to Art. 48f 48l BVV 2. Art. 3 Asset management and investment principles 1. Liquidity: The Foundation must be capable of disbursing promised benefits punctually and at all times. 2. Security: In consultation with the Foundation, the advisor or the asset manager, the client shall decide on an investment strategy which is based on his risk check and 1. Based on Art. 50(4) BVV 2, the Foundation offers the client extended investment options in accordance with Art. 5 and 6 of these Investment Regulations 2. The principles for extended investments shall be defined by the Foundation in agreement with the client, consultant or asset manager within the framework of the client s chosen investment strategy 3. If a client avails himself of the extended investment options, the Foundation, consultant or asset manager shall make him aware of the specific risks inherent in the extended investments and shall also provide advice and guidance. 4. The Foundation shall demonstrate compliance in its financial statements (prepared in accordance with Article 50(4) BVV 2) with the security and risk diversification requirements pursuant to 50(1) to (3) BVV 2. Art. 5 Authorised extended investments The following extended investments are available, subject to compliance with diversification principles, provided that the client s investment strategy and capacity for risk has been established in writing and secured. An assessment of the capacity for risk shall be repeated periodically. 1. Investments in money-market funds in foreign currency without currency hedging: Investments are allowed in Euros, US dollars, Japanese yen, British pounds, Canadian dollars, Australian dollars, New Zealand dollars, Swedish krona and Danish krone. 2. Investments in bond funds in foreign currency without currency hedging: Investments are allowed in Euros, US Dollars, Japanese Yen, British Pounds, Canadian Dollars, Australian Dollars, New Zealand Dollars, Swedish Krona and Danish Crowns. 3. Investments in equity funds without currency hedging: Investments are allowed in Euros, US Dollars, Japanese Yen, British Pounds, Canadian Dollars, Australian Dollars, New Zealand Dollars, Swedish Krona or Danish Crowns. Page 3 of 14

4 4. Investments in real estate: Investment in real estate is restricted to collective investment funds with a net asset value (NAV) calculated on a weekly basis (at least). 5. Alternative investments without additional payment obligations: Alternative investments include hedge funds, commodities, and private equity. Alternative investments are restricted to collective investment funds with a net asset value (NAV) calculated on a weekly basis (at least). Non-diversified collective investments (e.g. gold ETF) may not exceed 50% of a client s assets. strategies offered by the Foundation. The model portfolio shall be checked by the Foundation beforehand with regard to compliance with statutory provisions and with the investment limits defined in these Investment Regulations, and must be approved by the Foundation prior to implementation. Modifications to the model portfolio (including the substitution of securities) also require the prior approval of the Foundation. 2. Client deposits are invested in accordance with the respective current model portfolio, and not according to the value of the respective securities account. 3. Rebalancing is assessed on a quarterly basis and then carried out as necessary. Art. 6 Extended investment limits per category Art. 9 Individual investment strategies for asset management mandates For individual categories of extended investments, the following limits apply, in relation to the available pension assets 1. Investments in diversified foreign currencies (without currency hedging) 50% max. 30% in US dollars and/or Euros; others max. 10% 2. Investments in equity funds, similar shares and other investments a. For asset management mandats 70% b. Otherwise 100% 3. Investments in real estate funds 30 % of which max. one third abroad 4. Alternative investments 20% max. 5% per non-diversified investment 1. If the benefits agreement permits individual investment strategies for asset management mandates, the client may deviate from the model portfolio laid down in the respective investment strategy within the framework of the provisions set out in the benefits agreement (individual portfolio). Model portfolio securities may only be substituted by securities approved for the respective strategy by the Foundation. The Annex to these Regulations contains a (non-exhaustive) list of securities approved by the Foundation. 2. Individual portfolios must adhere to the investment limits stipulated for the respective investment strategy in these Investment Regulations. 3. In the case of individual portfolios, deposits are made in accordance with the individual portfolio, not according to the value of the respective securities account. 4. Rebalancing is assessed on a quarterly basis and then carried out as necessary. Art. 7 Investment guideline compliance and monitoring Art. 10 Accounting principles 1. The Foundation shall ascertain that all investment options offered to the client are consistent with the investment guidelines stipulated in Art. 71(1) BVG, Articles BVV 2 and Art. 5 BVV 3, with the proviso of possible modifications pursuant to Art. 4 ff. of these Investment Regulations. 2. On behalf of the Foundation Board, the persons entrusted with asset management shall ensure that the investment strategies agreed with the client are respected and comply with applicable investment regulations, The Foundation ensures that compliance is periodically checked. If the guidelines are not complied with for any reason, the persons entrusted with asset management shall, of their own accord, promptly restore due legal and contractual compliance. Moreover, the Foundation shall undertake to make any necessary adjustments to the respective portfolio. Art. 8 Model portfolios 1. Cash, time deposits and claims are stated at nominal value; all other investments are stated at market value. 2. The Foundation decides on the price, rate and NAV providers for evaluating securities deposits. Art. 11 Art. 12 Authoritative language Should variations occur between language versions of this regulation, the German language version is considered authoritative. Omissions In the event that this regulation lacks provisions on a specific point, the Foundation Board will adopt a regulation that is appropriate to the purposes of the Foundation. 1. The persons entrusted with asset management shall maintain a model portfolio for each of the investment Page 4 of 14

5 Art. 13 Amendments The Foundation Board may amend this investment regulation at any time. The currently valid version of the regulation is freely available to clients at or can be requested from the Foundation. Art. 14 Validity These regulations enter into force on 1 July 2017 and replaces that of Octobre Zurich, July 2017 Foundation Board, Independent Pension Foundation 3a Zurich Page 5 of 14

6 Appendix to Investment Regulations The following investment funds and investment groups can be offered (non-exhaustive list): Investment foundation/investment fund (short name) Investment fund and investment groups Swiss Life investment foundation (Swiss Life) BVG-Mix 15 LPP Mix 25 LPP Mix 35 LPP Mix 45 LPP Mix 25 P LPP Mix 35 P LPP Mix 45 P UBS investment foundations for pensions (UBS) UBS AST BVG-12 active I-A1 UBS AST BVG-25 active I-A1 UBS AST BVG-25 active IA2 UBS AST BVG-40 active I-A1 UBS AST BVG-12 indexed (hedged in CHF) I-A1 UBS AST BVG-25 indexed (hedged in CHF) I-A1 UBS AST BVG-40 indexed (hedged in CHF) I-A1 Winterthur investment foundation (AWi) AWi BVG 25 andante AWi BVG 35 allegro AWi BVG 45 vivace Bâloise investment foundations for pension funds (Bâloise) BVG-Mix 15 Plus R BVG-Mix 25 Plus R BVG-Mix 40 Plus R Credit Suisse investment foundation (CSA) CSA Mixta-BVG CSA Mixta-BVG Basic CSA Mixta-BVG Basic L2 CSA Mixta-BVG Basic L3 CSA Mixta-BVG Defensive CSA Mixta-BVG Maxi CSA Mixta-BVG Index 25 CSA Mixta-BVG Index 35 CSA Mixta-BVG Index 45 CSA BVG Dynamic Credit Suisse PLF Lienhardt & Partner Core Strategy Fund I - CHF Fortuna Investments AG Fortuna Multiindex 20 Fortuna Multiindex 40 Fortuna Equity Fund Switzerland B Fidelity Fidelity Funds SICAV - Asian Bond Fund Franklin Templeton Franklin Templeton Investment Funds SICAV Franklin European Small-Mid-Cap-Growth-Funds IST investment foundation (IST Mixta) IST2 Mixta Optima 30 J. Safra Sarasin investment foundation (SAST) LPP Yield LPP Income LPP Growth LPP Future LPP Sustainability LPP Sustainability Income Muzinich Muzinich Funds Muzinich Short Duration High Yiel Fund A CHF Muzinich Funds Muzinich Short Duration High Yield Fund S USD Muzinich-Funds Muzinich American yield Fund S USD OLZ& Partners Asset and Liability Management AG (OLZ) OLZ Smart Invest 65 Pictet (Pictet) LPP 25 LPP 40 Pictet Structured Fund Optimal Allocation PvB Pernet von Ballmoos AG (PvB) Fronalpstock Fonds VBVV-BVG (CHF) B Quantex Funds (Quantex) Spectravest 3a Raiffeisen investment foundation (Raiffeisen) Raiffeisen Pension Invest Futura Balanced Raiffeisen Pension Invest Futura Yield Raiffeisen Index Fonds - Pension Growth Swisscanto investment foundation (Swisscanto) BVG 3 PORTFOLIO 10 BVG 3 PORTFOLIO 25 BVG 3 PORTFOLIO 45 Page 6 of 14

7 UBS Vitainvest (UBS) ZKB Swisscanto investment foundation (ZKB Swisscanto) BVG 3 OEKO 45 BVG 3 INDEX 45 BVG 3 DYNAMIC 0-50 BVG 3 LIFE CYCLE 2015 BVG 3 LIFE CYCLE 2020 BVG 3 LIFE CYCLE 2025 BVG PORTFOLIO 10 WT BVG PORTFOLIO25 WT BVG PORTFOLIO 45 WT UBS Vitainvest 12 World UBS Vitainvest 25 World UBS Vitainvest 40 World UBS Vitainvest 50 World UBS Vitainvest 75 World UBS Vitainvest 25 Swiss UBS Vitainvest 50 Swiss UBS Vitainvest 75 Swiss ZKB Swisscanto Vorsorge Fonds 20 passiv ZKB Swisscanto Vorsorge Fonds 45 passiv ZKB Swisscanto BVG 3 Index 45 The following Exchange Traded Funds ( ETF ) can be offered (not exhaustive): Provider Credit Suisse Investment Groups CSIF (CH) Umbrella Bond EUR Index Blue QA CSIF (CH) Umbrella Bond Aggregate EUR Index QA CSIF (CH) Umbrella Bond Corporate EUR Index QA CSIF (CH) Umbrella Bond JPY Index Blue QA CSIF (CH) Umbrella Bond Aggregate JPY Index QA CSIF (CH) Umbrella Bond USD Index Blue QA CSIF (CH) Umbrella Bond Aggregate USD Index QA CSIF (CH) Umbrella Bond Corporate USD Index Blue QA CSIF (CH) Umbrella Bond World ex G4 Local Currencies Index Blue QA CSIF (CH) Umbrella Bond World ex CH Index Blue QA CSIF (CH) Umbrella Bond World ex CHF Fiscal Strength Index Blue QA CSIF (CH) Umbrella Bond World ex CHF Fiscal Strength 1-5Y Index Blue QA CSIF (CH) Umbrella Bond Global Aggregate ex G4 Local Currencies Index QA CSIF (CH) Umbrella Bond Global Aggregate ex CHF Index QA CSIF (CH) Umbrella Bond Global Aggregate ex CHF 1-5Y Index Blue QA CSIF (CH) Umbrella Bond Global Corporate ex CHF Index Blue QA CSIF (Lux) SICAV Government Bonds EUR Blue QB EUR CSIF (Lux) SICAV Aggregate Bonds EUR QB EUR CSIF (CH) Umbrella Switzerland Total Market Index Blue QA CSIF (CH) Umbrella Eurozone Index QA CSIF (CH) Umbrella Europe ex CH Index QA CSIF (CH) Umbrella Europe ex CH Index Blue QA CSIF (CH) Umbrella Canada Index QA CSIF (CH) Umbrella Canada Index Blue QA CSIF (CH) Umbrella US Index Blue QA CSIF (CH) Umbrella Japan Index QA CSIF (CH) Umbrella Japan Index Blue QA CSIF (CH) Umbrella World ex CH Index QA CSIF (CH) Umbrella World ex CH Index Blue QA CSIF (CH) Umbrella World ex CH Small Cap Index Blue QA CSIF (CH) Umbrella Emerging Markets Index Blue QA CSIF (Lux) SICAV Equities EMU QB EUR CSIF (Lux) SICAV Equities Europe Small Caps QB EUR CSIF (Lux) SIVAV Equities Japan QB EUR CSIF (CH) Umbrella Pacific ex Japan Index Blue QA CSIF (Lux) SICAV Equities Emerging Markets QB EUR Page 7 of 14

8 ComStage Deutsche Bank GAM ishares CSIF (CH) Umbrella Switzerland Real Estate Fund Index Blue QA CSIF (CH) Umbrella Europe ex CH Real Estate Index QA CSIF (CH) Umbrella Asia Real Estate Index QA ComStage SICAV ComStage NYSE Arca i BUGS UCITS ETF CHF ComStage SICAV ComStage NYSE Arca Gold BUGS UCITS ETF USD ComStage SICAV ComStage Commerzbank Commodity ex-agriculture EW Index TR UCITS ETF db x-trackers SICAV db x-trackers MSCI EM ASIA INDEX UCITS ETF db x-trackers SICAV db x trackers DAX UCITS ETF (DR) db x-trackers PLC db x-trackers Russel 2000 UCITS ETF (DR) db x-trackers SICAV db x-trackers Swiss Large Cap UCITS ETF (DR) db x-trackers PLC db x-trackers S&P 500 Equal Weight UCITS ETF (DR) GAM Precoius Metal Physical Gold AX USD ishares ETF (CH) ishares Swiss Domestic Government Bond 3-7 ishares ETF (CH) ishares Swiss Domestic Government Bond 7-15 ishares ETF (CH) ishares Core CHF Corporate Bond ishares IV PLC ishares EUR Ultrashort Bond UCITS ETF EUR ishares VII PLC ishares Government Bond 3-7Y UCITS ETF EUR (Acc) ishares ETF (CH) ishares Core CHF Corporate Bond ishares ETF ishares Fallen Angels High Yiel Corporate Bond UCITS ETF USD ishares ETF ishares Global High Yield Corp Bond CHF Hedged UCITS ETF ishares ETF ishares Swiss Domestic ishares ETF ishares J.P. Morgan USD EM Bond UCITS ETF SUD ishares ETF ishares J.P. Morgan USD EM Bond EUR Hedged UCITS ETF ishares ETF ishares USD Corp Bond UCITS ETF USD ishares ETF ishares USD TIPS UCITS ETF USD (Acc) ishares ETF ishares USD Treasury Bond 1-3Y UCITS ETF USD ishares ETF ishares USD Treasury Bond 7-10Y UCITS ETF USD ishares ETF ishares US Aggregate Bond UCITS ETF USD ishares ETF ishares USD Treasury Bond 20+Y UCITS ETF USD ishares PLC ishares Core MSCI EM IMI UCITS ETF ishares PLC ishares MSCI EM UCITS ETF USD ishares ETF ishares MSCI Australia UCITS ETF USD (Acc) ishares ETF ishares MSCI EMU UCITS ETF EUR (Acc) ishares ETF ishares EURO STOXX 50 UCITS ETF EUR ishares ETF ishares Core EURO STOXX 50 UCITS ETF EUR (Acc) ishares ETF ishares Core MSCI World UCITS ETF ishares ETF ishares MSCI World UCITS ETF USD ishares ETF ishares MSCI World CHF Hedged UCITS ETF (Acc) ishares ETF ishares FTSE 100 UCITS ETF GBP (Acc) ishares ETF ishares Core MSCI Japan IMI UCITS ETF USD (Acc) ishares ETF ishares MSCI Japan UCITS ETF USD ishares ETF ishares MSCI Japan CHF Hedged UCITS ETF (Acc) ishares ETF ishares MSCI Japan UCITS ETF USD (Acc) ishares ETF ishares Nikkei 225 UCITS ETF JPY (Acc) Page 8 of 14

9 Lyxor ishares ETF ishares MSCI Canada UCITS ETF USD (Acc) ishares ETF ishares MSCI North America UCITS ETF USD ishares ETF - ishares SMI (CH) ishares ETF ishares Core SPI (CH) ishares ETF ishares SLI (CH) ishares ETF ishares Core S&P 500 UCITS ETF USD (Acc) ishares ETF ishares S&P 500 UCITS ETF USD ishares ETF ishares NASDAQ 100 UCITS ETF USD (Acc) ishares ETF ishares MSCI USA UCITS ETF USD (Acc) ishares ETF ishares Dow Jones Industrial Average UCITS ETF USD (Acc) ishares ETF ishares MSCI AC Far East ex-japan UCITS ETF USD ishares ETF ishares MSCI EM Asia UCITS ETF USD (Acc) ishares ETF ishares Core MSCI Pacific ex-japan UCITS ETF USD (Acc) ishares ETF ishares MSCI Brazil UCITS ETF USD ishares ETF ishares China Large Cap UCITS ETF USD ishares ETF ishares MSCI Korea UCITS ETF USD ishares ETF ishares MSCI Russia ADR/GDR UCITS ETF USD (Acc) ishares ETF ishares Core MSCI EmergingMarkets Investable Market Index UCITS ETF USD (Acc) ishares ETF ishares MSCI Emerging Markets UCITS ETF USD ishares ETF ishares MSCI Emerging Markets UCITS ETF USD (Acc) ishares ETF ishares Asia Pacific Dividend UCITS ETF USD ishares ETF ishares MSCI EMU Small Cap UCITS ETF EUR (Acc) ishares ETF (DE) - ishares EURO STOXX Banks UCITS ETF ishars ETF ishares Edge MSCI Europe Value Factor UCITS ETF EUR (Acc) ishares ETF ishares MSCI EMU Mid Cap UCITS ETF EUR (Acc) ishares ETF ishares Edge MSCI World Momentum Factor UCITS ETF USD (Acc) ishares ETF ishares MSCI Japan Small Cap UCITS ETF USD ishares ETF (CH) ishares SMIM ishares ETF (CH) ishares Swiss Dividend ishares ETF ishares S&P SmallCap 600 UCITS ETF USD ishares ETF ishares MSCI USA Small Cap UCITS ETF USD (Acc) ishares ETF ishares Developed Markets Property Yield UCITS ETF USD ishares ETF ishares Global Infrastructure UCITS ETF USD ishares ETF ishares Automation & Robotics UCITS ETF USD (Acc) ishares ETF ishares Listed Private Equity UCITS ETF USD ishares ETF ishares Global Water UCITS ETF USD ishares ETF ishares Gold Producers UCITS ETF USD (Acc) ishares ETF ishares US Property Yield UCITS ETF USD ishares ETF ishares S&P 500 Financials Sector UCITS ETF USD (Acc) ishares ETF ishares S&P 500 Information Technology Sector UCITS ETF USD (Acc) ishares ETF (CH) ishares Gold CHF Hedged (CH) ishares ETF (CH) ishares Gold (CH) Lyxor Commodities Thomson Reuters/CoreCommodity CRB TR UCITS ETF FCP Page 9 of 14

10 Pimco Powershares Raiffeisen Source State Street Global Advisors Swisscanto UBS Pimco Fixed Income Source ETF PLC Short Term High Yield Corporate Bond Index Source UCITS ETF PowerShares Global Funds Ireland PLC PowerShares EQQQ Nasdaq-100 UCITS ETF Raiffeisen ETF Solid Gold Ounces A USD Source Markets PLC Source Health Care S&P US Select Sector UCITS ETF Source Markets PLC Source Financials S&P US Select Sector UCITS ETF Source Markets PLC Source Consumer Discretionary S&P US Select Sector UCITS ETF Source Markets PLC Source Materials S&P US Select Sector UCITS ETF Source Markets PLC Source Technology S&P US Select Sector UCITS ETF SPDR ETF Europe PLC SPDR Thomson Reuters Global Convertible Bond UCITS ETF SPDR S&P US Energy Select Sector UCITS ETF SPDR S&P US Financials Select Sector UCITS ETF SWISSCANTO (CH) Index Bond Fund CHF SWISSCANTO (LU) Bond Fund Global Corporate DTH CHF UBS ETF SICAV UBS ETF Bloomberg Barclays Euro Area Liquid Corporates 1-5 UCITS ETF (EUR) A-dis UBS ETF SICAV UBS ETF Barclays TIPS 1-10 UCITS ETF (hedged to EUR) A-acc UBS ETF SICAV UBS ETF SBI Foreign AAA-BBB 1-5 UCITS ETF (CHF) A-dis UBS ETF SICAV UBS ETF Bloomberg Barclays US Liquid Corporates UCITS ETF (hedged to EUR) A-acc UBS ETF SICAV UBS ETF Bloomberg Barclays TIPS 1-10 UCITS ETF (USD) A-acc UBS ETF SICAV UBS ETF Bloomberg Barclays US Liquid Corporates 1-5 UCITS ETF (hedged to GBP) A-dis UBS ETF SICAV UBS ETF Bloomberg Barclays US Liquid Corporates 1-5 UCITS ETF (hedged to CHF) A-acc UBS ETF SIVAV UBS ETF Barclays US Liquid Corporates UCITS ETF (hedged to CHF) A-acc UBS ETF SICAV UBS ETF MSCI EMU hedged to CHF UCITS ETF UBS ETF SICAV UBS ETF - FTSE 100 UCITS ETF A UBS ETF SICAV UBS ETF MSCI USA UCITS ETF A UBS ETF SICAV UBS ETF MSCI EMU UCITS ETF (EUR) A- dis UBS ETF SICAV UBS ETF MSCI EMU UCITS ETF (EUR) A- acc UBS ETF SICAV UBS ETF MSCI EMU Value UCITS ETF (EUR) A-dis UBS ETF SICAV UBS ETF EURO STOXX 50 UCITS ETF (EUR) A-dis UBS ETF SICAV UBS ETF MSCI EMU hedged CHF UCITS ETF (CHF) A-acc UBS ETF SICAV UBS ETF MSCI Europe UCITS ETF (EUR) A-dis UBS ETF SICAV UBS ETF MSCI World UCITS ETF (USD) A-dis UBS ETF SICAV UBS ETF MSCI World UCITS ETF (CHF) A-dis UBS ETF SICAV UBS ETF MSCI United Kingdom UCITS ETF (GBP) A-acc UBS ETF SICAV UBS ETF MSCI UK hedged CHF UCITS ETF (CHF) A-acc UBS ETF SICAV UBS ETF MSCI Japan UCITS ETF (JPY) A- dis UBS ETF SICAV UBS ETF MSCI Japan UCITS ETF (CHF) A UBS ETF SICAV UBS ETF MSCI Japan hedged EUR UCITS ETF (EUR) A-acc UBS ETF SICAV UBS ETF MSCI Japan hedged CHF UCITS ETF (CHF) A-acc UBS ETF SICAV UBS ETF MSCI Canada UCITS ETF (CAD) A-dis Page 10 of 14

11 UBS ETF (CH) SMI (CHF) A-dis UBS ETF (CH) SPI (CHF) A-dis UBS ETF (CH) SLI (CHF) A-dis UBS ETF (CH) SLI (R) A UBS ETF (CH) SMIM (R) A UBS ETF (IE) PLC UBS ETF - MSCI USA hedged CHF UCITS ETF (CHF) A-acc UBS ETF SICAV UBS ETF - MSCI USA UCITS ETF (USD) A- dis UBS ETF (IE) PLC UBS ETF - MSCI USA UCITS ETF (USD) A- acc UBS ETF (IE) PLC UBS ETF - MSCI USA UCITS ETF (USD) A- dis UBS ETF SICAV UBS ETF - MSCI Emerging Markets UCITS ETF (USD) A-dis UBS ETF (CH) SMIM (CHF) A-dis UBS ETF (IE) PLC UBS ETF - MSCI USA Value UCITS ETF (USD) A-dis UBS ETF SICAV UBS ETF MSCI EMU Socially Responsible UCITS ETF (EUR) A-dis UBS ETF SICAV UBS ETF MSCI USA Socially Responsible UCITS ETF (USD) A-dis UBS ETF SICAV UBS ETF MSCI Emerging Markets Socially Responsible UCITS ETF (USD) A-dis UBS ETF (CH) SXI Real Estate Funds (CHF) A-dis UBS (CH) Property Fund Swiss Mixed SIMA UBS ETF (CH) SXI Real Estate (R) (CHF) A-dis UBS ETF PLC UBS ETF CMCI Composite SF UCITS ETF (USD) A-acc UBS ETF PLC UBS ETF CMCI Composite SF UCITS ETF (hedged to CHF) A-acc UBS ETF (CH) Gold Ant. (CHF) A dis- UBS ETF (CH) Gold Ant. (USD) A dis- UBS ETF (CH) Gold (CHF) hedged Vanguard ZKB Vanguard Funds PLC Vanguard S&P 500 UCITS ETF Vanguard Funds PLC Vanguard FTSE Emerging Markets UCITS ETF Vanguard USD Emerging Markets Government Bond UCITS ETF ZKB Gold ETF AA USD ZKB Gold ETF AAH CHF ZKB Silver ETF AA CHF ZKB Platinum ETF AA CHF ZKB Silver ETF AA USD Page 11 of 14

12 Shown below is a representation of the target values and margins that apply for the available products. Compliance therewith shall be monitored by the foundation on a regular basis. Insofar as no alternative regulations are expressly stipulated for the target values and/or margins, the following values apply for all products listed below: Investment category minimum maximum Real estate 0% 30 % Alternative investments 0% 15% (commodities, hedge funds, private equity) Foreign currencies 0% 30 % Product category Execution only Only investment funds or investment group claims are used, which is why only the equity share laid down in the prospectus is referenced. Investment category Conservative Balanced Investment funds/investment group claims 0 35% 0 50% Investment category Dynamic Growth Investment funds/investment group claims 0 60% 0 100% Product category Advisory Implementation of investment proposals with active client consent Only investment funds or investment group claims are used, which is why only the equity share laid down in the prospectus is referenced. Investment category Conservative Balanced Investment funds/investment group claims 0 35% Strategic: 15 35% 0 50% Strategic: 30 50% Implementation of investment proposals with passive client consent Only investment funds or investment group claims are used, which is why only the equity share laid down in the prospectus is referenced. Investment category Conservative Balanced Investment funds/investment group claims 0 35% Strategic: 15 35% 0 50% Strategic: 30 50% Product category Asset Management Mandate Management by the Foundation Only investment funds or investment group claims are used, which is why only the equity share laid down in the prospectus is referenced. Investment category Defensive Balanced Growth "Defensive" "Balanced" "Growth" Investment funds/investment group claims 0 20% Strategic: 15% 0 35% Strategic: 30 % 0 50% Strategic: 45% Page 12 of 14

13 Management by asset manager Only investment categories that are explicitly mentioned are permissible. The proportion of the investment portfolio held in foreign currencies is 30% for all strategies. Investment strategies may be covered by collective investments or, if permissible, by direct investments. Conservative Margins BVG restrictions Strategic Min. Target Max. 1. Liquidity Bonds 10% per debtor Shares 5% per investment Commodities Only collective investments without additional payment obligations Non-diversified investments max. 5% per fund Real estate max. 10% realty abroad Only collective investments or listed investment companies with NAV Total Balanced Margins BVG restrictions Strategic Min. Target Max. 1. Liquidity Bonds 10% per debtor Shares 5% per investment Commodities Only collective investments without additional payment obligations Non-diversified investments max. 5% per fund Real estate max. 10% realty abroad Only collective investments or listed investment companies with NAV Total Dynamic Margins BVG restrictions Strategic Min. Target Max. 1. Liquidity Bonds 10% per debtor Shares 5% per investment Commodities Only collective investments without additional payment obligations Non-diversified investments max. 5% per fund Real estate max. 10% realty abroad Only collective investments or listed investment companies with NAV Foreign currencies Total Page 13 of 14

14 FORTUNA WEALTH SELECT Margins BVG restrictions Strategic Min. Target Max. 1. Liquidity Bonds 10% per debtor Shares 5% per investment Commodities Only collective investments without additional payment obligations Non-diversified investments max. 5% per fund Real estate Max. 10% realty abroad Only collective investments or listed investment companies with NAV Foreign currencies Total Page 14 of 14

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

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

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

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

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

Past performance is not a guarantee of future results. Indices are not available for direct investment. Index performance does not reflect the

Past performance is not a guarantee of future results. Indices are not available for direct investment. Index performance does not reflect the Q1 Past performance is not a guarantee of future results. Indices are not available for direct investment. Index performance does not reflect the expenses associated with the management of an actual portfolio.

More information

Managing Director UBS AG Basel and Zurich. Executive Director UBS AG. Managing Director UBS Asset Management (UK) Ltd London

Managing Director UBS AG Basel and Zurich. Executive Director UBS AG. Managing Director UBS Asset Management (UK) Ltd London UBS ETF, Sicav Investment Company under Luxembourg law Sales prospectus 2 February 2016 Shares may be acquired on the basis of this sales prospectus, the latest annual report and, if it has already been

More information

UBS ETF, Sicav. Sales prospectus 12 October Investment Company under Luxembourg law

UBS ETF, Sicav. Sales prospectus 12 October Investment Company under Luxembourg law UBS ETF, Sicav Investment Company under Luxembourg law Sales prospectus 12 October 2017 Shares may be acquired on the basis of this sales prospectus, the latest annual report and, if it has already been

More information

Exchange Traded Funds

Exchange Traded Funds What is changing? Deutsche Asset Management (Deutsche AM) announced last year that it is re-naming its exchange-traded fund () business. This means db x-trackers where it currently exists in fund names

More information

NOTICE TO HOLDERS OF SHARES OR UNITS IN THE FOLLOWING FUNDS

NOTICE TO HOLDERS OF SHARES OR UNITS IN THE FOLLOWING FUNDS NOTICE TO HOLDERS OF SHARES OR UNITS IN THE FOLLOWING FUNDS Dear unit-holder or shareholder, Paris, 18 January 2018 The Management Company has decided to change the names of the funds shown in the table

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

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

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

More information

fund 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

T. Rowe Price Funds SICAV A Luxembourg UCITS

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

More information

Foreign collective investment schemes Changes - May 2016

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

More information

Vanguard funds month-end NAV report

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

More information

Level Two Investments

Level Two Investments Level Two Investments Société d'investissement à Capital Variable SEMI-ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS 30 June 2016 R.C.S. Luxembourg B 187 480 Subscriptions are only valid if made on

More information

db x-trackers Investment Company with Variable Capital (société d'investissement à capital variable)

db x-trackers Investment Company with Variable Capital (société d'investissement à capital variable) db x-trackers Investment Company with Variable Capital (société d'investissement à capital variable) Registered office: 49, avenue J.F. Kennedy, L-1855 Luxembourg R.C.S. Luxembourg B-119.899 (the Company

More information

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

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

More information

Fund Background Range and Information

Fund Background Range and Information Fund Background Range and Information November 2017 generali-worldwide.com INDEX GUARANTEED RETURN FUNDS... 4 US DOLLAR DEPOSIT ADMINISTRATION... 5 EURO DEPOSIT ADMINISTRATION... 6 STERLING DEPOSIT ADMINISTRATION...

More information

Vanguard funds month-end NAV report

Vanguard funds month-end NAV report Vanguard funds month-end NAV report Fund Full Name March 2018 April 2018 NAVs Swing Factor Swing Decision Swung Unswung Swing Decision Swing % Vanguard 20+ Year Euro Treasury Index Fund Institutional EUR

More information

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

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

More information

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

Exchange Traded Product Day

Exchange Traded Product Day Exchange Traded Product Day Lugano, 26 November 2013 Welcome Global ETF and ETP asset growth (as of October 31, 2013) Source: ETFGI, Global ETF and ETP industry insights October 2013 26 November 2013 2

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

IMPORTANT NOTICE TO THE SHAREHOLDERS

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

More information

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

Index Mandates Newsletter No. 7

Index Mandates Newsletter No. 7 Streamlining the CSIF Fund Structure Dr. Valerio Schmitz-Esser Head of Index Mandates Alain Lentz Head of Index Mandates French- Speaking Switzerland When Credit Suisse Institutional Funds (CSIF) was launched

More information

AVIVA INVESTORS LUXEMBOURG SICAV

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

More information

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

Vanguard funds month-end NAV report

Vanguard funds month-end NAV report Vanguard funds month-end NAV report Fund Full Name January 2018 February 2018 NAVs Swing Factor Vanguard 20+ Year Euro Treasury Index Fund Institutional EUR Shares 198.1062 197.7897 0.16% 0.16% 0% Vanguard

More information

Vanguard funds month-end NAV report

Vanguard funds month-end NAV report Vanguard funds month-end NAV report Fund Full Name March 2018 April 2018 NAVs Swing Factor Swing Decision Swung Unswung Swing Decision Swing % Vanguard Investment Series PLC Vanguard 20+ Year Euro Treasury

More information

Active Asset Allocation Growth II

Active Asset Allocation Growth II Marketing Material Active Asset Allocation Growth II Balanced Funds - Flexible May 2018 As at 31/05/2018 Fund Data Investment Policy Active Asset Allocation Growth II aims to generate a positive performanc

More information

ETFs listed on TSE. TOPIX Daiwa ETF-TOPIX JP 0.11 Daiwa AM Jul. 13, 2001

ETFs listed on TSE. TOPIX Daiwa ETF-TOPIX JP 0.11 Daiwa AM Jul. 13, 2001 Indicator Name Code Trading Bloomberg Japanese Equitiy Index (market) TOPIX Daiwa ETF-TOPIX 1305 10 1305 JP 0.11 Daiwa Jul. 13, 2001 TOPIX TOPIX Exchange 1306 10 1306 JP 0.11 Nomura Jul. 13, 2001 TOPIX

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

Investment Regulations

Investment Regulations Investment Regulations Liberty Foundation for Vested Pension Benefits Table of contents Art. 1 Purpose Art. 2 General principles Art. 3 Asset management principles Art. 4 Investments in general Art. 5

More information

Schroders Fund Ranges

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

More information

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

Zurich Flexible Personal Pension (Section 61 plan) Zurich Personal Pension (89 plan) Company sponsored personal pension plans Zurich Flexible Personal Pension (Section 61 plan) Zurich Personal Pension (89 plan) Funds Guide To offer the best value for our customers, we use our global buying

More information

Pursuit is also a strategy. With Exchange Traded Funds

Pursuit is also a strategy. With Exchange Traded Funds Pursuit is also a strategy With Exchange Traded Funds ETF ETF is the abbreviation for Exchange Traded Fund. Learn about the numerous advantages of ETFs and discover the selection that SIX Swiss Exchange

More information

Asset Allocation and Holdings Guide

Asset Allocation and Holdings Guide Asset Allocation and Holdings Guide Quantitative Advantage, LLC, 10400 Yellow Circle Drive, Suite 303, Minnetonka, MN 55343 866-767-8007 toll-free www.qainvest.com QA GLOBAL EQUITY Seeks long-term growth

More information

Templeton Global Macro Group. Franklin Templeton Investment Funds Templeton Global Bond Fund - I (acc) USD. Data as of 28 February 2019

Templeton Global Macro Group. Franklin Templeton Investment Funds Templeton Global Bond Fund - I (acc) USD. Data as of 28 February 2019 Templeton Global Macro Group Data as of 28 February 2019 Franklin Templeton Investment Funds - I (acc) USD Table of Contents Summary...3 What are the Key Risks?...4 Discrete Performance... 5 Historical

More information

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

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

More information

Amundi Funds. A Luxembourg UCITS PROSPECTUS SEPTEMBER >2017

Amundi Funds. A Luxembourg UCITS PROSPECTUS SEPTEMBER >2017 VISA 2017/109213-150-0-PC L'apposition du visa ne peut en aucun cas servir d'argument de publicité Luxembourg, le 2017-09-08 Commission de Surveillance du Secteur Financier PROSPECTUS SEPTEMBER 2017 2017

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

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

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

Annual Market Review Portfolio Management

Annual Market Review Portfolio Management 2016 Annual Market Review 2016 Portfolio Management 2016 Annual Market Review This report features world capital market performance for the past year. Overview: Market Summary World Asset Classes US Stocks

More information

ETF portfolio review, 31st July the ETF investment specialists

ETF portfolio review, 31st July the ETF investment specialists ETF portfolio review, 31st July 2016 the ETF investment specialists market overview The defensive Secure Wealth Management ETF portfolios have performed strongly in 2016, with fixed-income up 7.6%, conservative

More information

Please scroll to find the 2018 and 2019 global fund holiday calendars.

Please scroll to find the 2018 and 2019 global fund holiday calendars. Please scroll to find the 2018 and 2019 global fund holiday calendars. 2018 Exchange-Traded fund holiday Vanguard Ireland-domiciled ETFs Jan Feb Mar Apr May Jun 1 2 5 12 15 25 9 12 14 15 16 19 28 20 29

More information

Market Outlook Considerations Week Beginning March 26, 2018

Market Outlook Considerations Week Beginning March 26, 2018 Market Outlook Considerations Week Beginning March 26, 2018 DISCLAIMER-FOR-EDUCATIONAL-PURPOSES-ONLY Bobby Coats, Ph.D. Professor Economics Department of Agricultural Economics and Agribusiness University

More information

Market Outlook Considerations Week Beginning April 2, 2018

Market Outlook Considerations Week Beginning April 2, 2018 Market Outlook Considerations Week Beginning April 2, 2018 DISCLAIMER-FOR-EDUCATIONAL-PURPOSES-ONLY Bobby Coats, Ph.D. Professor Economics Department of Agricultural Economics and Agribusiness University

More information

WEEKLY MARKET FLASH DATA AS OF FEBRUARY 2, Index definitions available upon request. 1 of 5. Total Return (%)

WEEKLY MARKET FLASH DATA AS OF FEBRUARY 2, Index definitions available upon request. 1 of 5. Total Return (%) WEEKLY MARKET FLASH DATA AS OF FEBRUARY 2, 2018 U.S. Equity Index Level 1 Week MTD QTD YTD 1 Year Global Equity USD 1 Week MTD QTD YTD 1 Year S&P 500 2,762 (3.81) (2.16) 3.44 3.44 23.54 DJIA 25,521 (4.11)

More information

Börsenfeiertage Jours fériés Stock Market Holidays

Börsenfeiertage Jours fériés Stock Market Holidays Börsenfeiertage Jours fériés Stock Market Holidays Oktober Octobre October 2018 Dom Fondsname / nom du fonds / Fund name * DB Closing days CH Obligationenfonds / Fonds en obligations / Bond funds CH Swisscanto

More information

Market Outlook Considerations Week Beginning April 23, 2018

Market Outlook Considerations Week Beginning April 23, 2018 Market Outlook Considerations Week Beginning April 23, 2018 DISCLAIMER-FOR-EDUCATIONAL-PURPOSES-ONLY Bobby Coats, Ph.D. Professor Economics Department of Agricultural Economics and Agribusiness University

More information

Market Outlook Considerations Week Beginning April 30, 2018

Market Outlook Considerations Week Beginning April 30, 2018 Market Outlook Considerations Week Beginning April 30, 2018 DISCLAIMER-FOR-EDUCATIONAL-PURPOSES-ONLY Bobby Coats, Ph.D. Professor Economics Department of Agricultural Economics and Agribusiness University

More information

Market Outlook Considerations Week Beginning May 14, 2018

Market Outlook Considerations Week Beginning May 14, 2018 Market Outlook Considerations Week Beginning May 14, 2018 DISCLAIMER-FOR-EDUCATIONAL-PURPOSES-ONLY Bobby Coats, Ph.D. Professor Economics Department of Agricultural Economics and Agribusiness University

More information

(LF) Fund of Funds A mutual investment fund organised under the laws of the Grand Duchy of Luxembourg

(LF) Fund of Funds A mutual investment fund organised under the laws of the Grand Duchy of Luxembourg (LF) Fund of Funds A mutual investment fund organised under the laws of the Grand Duchy of Luxembourg Semi-Annual Report (Non-Audited) June 30, 2009 No subscription can be received on the basis of financial

More information

2017 Annual Market Review

2017 Annual Market Review 2017 Annual Market Review 19 2017 Annual Market Review This report features world capital market performance for the past year. Overview: Market Summary World Asset Classes US Stocks International Developed

More information

Viewpoint. Monthly market update. August global investment management

Viewpoint. Monthly market update. August global investment management Viewpoint Monthly market update August 2015 global investment management Contents 1. Market commentary 3 2. Market performance 5 3. Asset allocation dashboard 7 Important notes 9 Page 2 of 9 1. Market

More information

Source Markets plc (an umbrella fund with segregated liability between sub-funds)

Source Markets plc (an umbrella fund with segregated liability between sub-funds) Source Markets plc (an umbrella fund with segregated liability between sub-funds) Additional Information for Investors in the Federal Republic of Germany dated 5 September 2017 This document (the "German

More information

November 2018 gold-backed ETF flows. 6 December 2018

November 2018 gold-backed ETF flows. 6 December 2018 November 2018 gold-backed ETF flows 6 December 2018 Global gold-backed ETF flows are now positive in 2018 Holdings in global gold-backed ETFs and similar products rose in November by 21.2 tonnes(t) to

More information

Robotics and Automation - A Growing Trend

Robotics and Automation - A Growing Trend Let's Talk Charts December 6, 2017 Robotics and Automation - A Growing Trend Chart of the Day 160 150 140 130 90 ROBO MSCI ROBO The Global Robotics and Automation ETF has gained 45.10% YTD (as at December

More information

Viewpoint. Monthly market update. March global investment management

Viewpoint. Monthly market update. March global investment management Viewpoint Monthly market update March 2016 global investment management Contents 1. Market commentary 3 2. Market performance 5 3. Asset allocation dashboard 7 Important notes 9 Page 2 of 9 1. Market commentary

More information

EQUITY-FIXED INCOME CURRENCY-COMMODITY

EQUITY-FIXED INCOME CURRENCY-COMMODITY 1 / 5 04/10/2016 USD ETFs 07/04/2017 Absolute Scoring & Ranking EQUITY-FIXED INCOME CURRENCY-COMMODITY Weekly Review www.trendandtiming.com 2/5 Weekly Report USD ETF EQUITIES EQUITY W-1 3-Nov-17 AVG AVG

More information

THE SILVER THATCH PENSION PLAN FINANCIAL STATEMENTS JUNE 30, 2011

THE SILVER THATCH PENSION PLAN FINANCIAL STATEMENTS JUNE 30, 2011 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

Canada's equity market lagging world markets

Canada's equity market lagging world markets Let's Talk Charts August 30, 2017 Canada's equity market lagging world markets Chart of the Day S&P/TSX Composite MSCI World 90 This chart compares the relative performance of the S&P/TSX Composite with

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

Vantage Investment Partners. Quarterly Market Review

Vantage Investment Partners. Quarterly Market Review Vantage Investment Partners Quarterly Market Review First Quarter 2016 Quarterly Market Review First Quarter 2016 This report features world capital market performance and a timeline of events for the

More information

Semi-Annual Report 2015/2016

Semi-Annual Report 2015/2016 Asset management UBS Funds Semi-Annual Report 2015/2016 Investment Fund under Swiss Law with multiple sub-funds (umbrella fund) Unaudited semi-annual report as of 29 February 2016 UBS (CH) Suisse 25 (CHF)

More information

First addendum to the Old Mutual International Investment Choices for the Wealth Management Plan

First addendum to the Old Mutual International Investment Choices for the Wealth Management Plan Ref WMPADD01/2016 First addendum to the Old Mutual International Investment Choices for the Wealth Management Plan This addendum should be read and issued in conjunction with the principal brochure (comprising

More information

J.P. Morgan Structured Investments

J.P. Morgan Structured Investments April 2013 J.P. Morgan Structured Investments T H E J. P. M O R G A N E F F I C I E N T E E M 5 I N D E X S T R A T E G Y G U I D E The J.P. Morgan Efficiente EM 5 Index Strategy Guide Important Information

More information

2015 December Fund Performance at a Glance

2015 December Fund Performance at a Glance IMPORTANT RISK WARNINGS Investment involves risks (including the possibility of loss of the capital invested). Prices of units may rise as well as fall and past performance information presented is not

More information

Investment Regulations Valid with effect from 1 July 2016

Investment Regulations Valid with effect from 1 July 2016 Investment Regulations Valid with effect from 1 July 2016 Table of contents Contents Page A) General 03 Art. 1 Purpose B) Basic Principles of the Management of Pension Assets Art. 2 Basic principles of

More information

2017 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE

2017 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE MD Family of Funds 2017 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE DISCLOSURE This annual management report of fund performance contains financial highlights but does not contain the complete annual

More information

Quarterly Market Review. First Quarter 2015

Quarterly Market Review. First Quarter 2015 Q1 Quarterly Market Review First Quarter 2015 Quarterly Market Review First Quarter 2015 This report features world capital market performance and a timeline of events for the past quarter. It begins with

More information

1. Part: Contract Specifications for Futures Contracts

1. Part: Contract Specifications for Futures Contracts Page 1 ********************************************************************************** AMENDMENTS ARE MARKED AS FOLLOWS: INSERTIONS ARE UNDERLINED DELETIONS ARE CROSSED OUT **********************************************************************************

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

Pension Fund of Credit Suisse Group (Switzerland) Regulations on Investments January 2018

Pension Fund of Credit Suisse Group (Switzerland) Regulations on Investments January 2018 Pension Fund of Credit Suisse Group (Switzerland) Regulations on Investments January 2018 Contents I Organization and Responsibilities 3 1.1 Board of Trustees of the Pension Fund 4 1.2 Investment Committee

More information

Templeton Global Macro. Franklin Templeton Investment Funds Templeton Global Bond Fund - A (Mdis) USD. Data as of March 31, 2018

Templeton Global Macro. Franklin Templeton Investment Funds Templeton Global Bond Fund - A (Mdis) USD. Data as of March 31, 2018 Templeton Global Macro Data as of March 31, 2018 Franklin Templeton Investment Funds - A (Mdis) USD Table of Contents Summary...3 Historical Performance...4 Calendar Year Returns...5 Performance Risk Statistics...

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

Wealth & Investment Management. Celsius Funds PLC. An umbrella fund with segregated liability between Sub-Funds

Wealth & Investment Management. Celsius Funds PLC. An umbrella fund with segregated liability between Sub-Funds Wealth & Investment Management Celsius s PLC An umbrella fund with segregated liability between Sub-s Unaudited Interim Financial Statements for the six months ended 31 December 2013 Celsius s plc Table

More information

Audited Annual Report CS Fund 1

Audited Annual Report CS Fund 1 Audited Annual Report CS Fund 1 Contractual Umbrella Fund under Swiss Law (Type Other Funds for Traditional Investments) December 31, 2015 CS Fund 1 Audited Annual Report as at December 31, 2015 Contents

More information

As Perfect as the Original: Credit Suisse Index Funds

As Perfect as the Original: Credit Suisse Index Funds Switzerland: This product may only be distributed in or from Switzerland, to qualified investors as defined pursuant to the Collective Investment Schemes Act ( CISA ). November 2016 Index Solutions Newsletter

More information

Fund Fact Sheet. Performance Performance Since Inception in Share Class Currency (%) Franklin NextStep Stable Growth Fund A (acc) USD

Fund Fact Sheet. Performance Performance Since Inception in Share Class Currency (%) Franklin NextStep Stable Growth Fund A (acc) USD Franklin Templeton Investment s Franklin NextStep Stable Growth Multi-Asset 31.08.2017 Fact Sheet Management Highlights Simplicity - All-in-one portfolio matched to a targeted level of risk Diversification

More information

Performance Summary in EUR

Performance Summary in EUR Performance Summary in EUR As of 30 April 2018 FRANKLIN TEMPLETON INVESTMENT FUNDS - Equity Franklin Biotechnology Discovery Fund A (acc) USD 03.04.2000 0796-3.71-0.94-5.99-4.38-9.37 142.85-5.65 13.35

More information

Semi-Annual Report 2017/2018

Semi-Annual Report 2017/2018 Asset management UBS Funds Semi-Annual Report 2017/2018 Investment Fund under Swiss Law with multiple sub-funds (umbrella fund) Unaudited semi-annual report as of 28 February 2018 UBS (CH) Suisse 25 (CHF)

More information

Performance Summary in Share Class Currency

Performance Summary in Share Class Currency Performance Summary in Share Class Currency As of 30 April 2018 FRANKLIN TEMPLETON INVESTMENT FUNDS - Equity 3 Yrs 5 Yrs 10 Yrs Franklin Biotechnology Discovery Fund A (acc) USD 03.04.2000 0796-3.07-2.88-8.53-0.87

More information

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

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

More information

2017 Fund holidays for Vanguard Investments Series plc

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

More information

THE SILVER THATCH PENSION PLAN FINANCIAL STATEMENTS JUNE 30, 2012

THE SILVER THATCH PENSION PLAN FINANCIAL STATEMENTS JUNE 30, 2012 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

Luxembourg SICAV UCITS class. Registered office: 33 rue de Gasperich, L-5826 Hesperange Luxembourg Trade and Company Register No.

Luxembourg SICAV UCITS class. Registered office: 33 rue de Gasperich, L-5826 Hesperange Luxembourg Trade and Company Register No. Luxembourg SICAV UCITS class Registered office: 33 rue de Gasperich, L-5826 Hesperange Luxembourg Trade and Company Register No. B 33363 - Notice to Shareholders The following changes will be incorporated

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

2018 SEMI-ANNUAL REPORT (UNAUDITED)

2018 SEMI-ANNUAL REPORT (UNAUDITED) APRIL 30, 2018 2018 SEMI-ANNUAL REPORT (UNAUDITED) ishares Trust ishares 1-3 Year International Treasury Bond ETF ISHG NASDAQ ishares International Treasury Bond ETF IGOV NASDAQ Table of Contents Fund

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

Quarterly Market Review

Quarterly Market Review Quarterly Market Review THEMES FOR THE QUARTER Emerging Markets the Standout in Mixed Q1 Global Equity Returns Developed Markets Positive; Australia and NZ Negative Value Premium Positive in Emerging Markets;

More information

MULTI-ASSET CLASS 1 EQUITIES: DEVELOPED COUNTRIES 1 EQUITY EMERGING COUNTRIES 2

MULTI-ASSET CLASS 1 EQUITIES: DEVELOPED COUNTRIES 1 EQUITY EMERGING COUNTRIES 2 10 2 3 6 8 9 13 14 MULTI-ASSET CLASS 1 EQUITIES: DEVELOPED COUNTRIES 1 EQUITY EMERGING COUNTRIES 2 Alpha Current Previous Alpha Current Previous Alpha Current Previous weight weight weight weight weight

More information

Q2 Quarterly Market Review Second Quarter 2015

Q2 Quarterly Market Review Second Quarter 2015 Q2 Quarterly Market Review Second Quarter 2015 Quarterly Market Review Second Quarter 2015 This report features world capital market performance and a timeline of events for the past quarter. It begins

More information

Summit Strategies Group

Summit Strategies Group As of December 3, 203 US Equity: All Cap Russell 3000 Index 2.64 0.0 33.55 33.55 6.24 8.7 6.50 7.88 7.09 Dow Jones US Total Stock Market Index 2.63 0. 33.47 33.47 6.23 8.86 6.68 8.0 6.90 US Equity: Large

More information

Counsel Managed High Yield portfolio

Counsel Managed High Yield portfolio Counsel Managed High Yield portfolio annual management report of fund performance For the year ended March 31, 2017 Fund Manager Counsel Portfolio Services Inc. Sub-advisor PanAgora Asset Management Inc.

More information

Week in Markets. FTSE Equity Indices Week MTD Mar 17 Feb 17 QTD YTD. MSCI Equity Indices Week MTD Mar 17 Feb 17 QTD YTD

Week in Markets. FTSE Equity Indices Week MTD Mar 17 Feb 17 QTD YTD. MSCI Equity Indices Week MTD Mar 17 Feb 17 QTD YTD Week ending 7 April, 2017 Page 1 of 8 FTSE Equity Indices Week MTD Mar 17 Feb 17 QTD YTD UK FTSE All Share 0.6 0.6 1.2 3.1 0.6 4.7 23.5 FTSE 0.5 0.5 1.1 3.1 0.5 4.2 24.6 FTSE 250 1.5 1.5 1.4 3.5 1.5 7.0

More information