THIS DOCUMENT IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION. IF IN DOUBT, PLEASE SEEK PROFESSIONAL ADVICE. 28 April 2017.

Similar documents
THIS DOCUMENT IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION. IF IN DOUBT, PLEASE SEEK PROFESSIONAL ADVICE. 31 October 2012

Important Changes to Fidelity Funds Fidelity Funds - China RMB Bond Fund and Fidelity Funds - China High Yield Fund Change of investment objectives

Schroder International Selection Fund Hong Kong Covering Document February 2018 Edition Prospectus June 2017 Edition (Version 1)

Following the change, there will be several new characters at the end of the share class name, to indicate:

"To provide a total return primarily through investment in equity securities of Asia Pacific property companies including Japan and Australasia.

Schroder International Selection Fund (SISF) European Equity Absolute Return (the "Fund")

The purpose of this amendment is to authorise the investment manager of the Fund to implement long and short active currency positions.

GSF. Investec Global Strategy Fund Investment Update

Important Changes to Fidelity Funds Fidelity Funds Korea Fund closure. Key Facts We are closing the Fidelity Funds Korea Fund on 24 August 2017.

Investec Asian Equity Fund

ALLIANZ GLOBAL INVESTORS FUND Société d Investissement à Capital Variable (the Company )

Investec Global Strategy Fund

Schroder Investment Management (Europe) S.A.

Merger Notice to Shareholders THIS DOCUMENT IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION. IF IN DOUBT, PLEASE SEE PROFESSIONAL ADVICE.

BLACKROCK GLOBAL FUNDS

PRODUCT HIGHLIGHTS SHEET

PRODUCT HIGHLIGHTS SHEET

THIS DOCUMENT IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION. IF IN DOUBT, PLEASE SEEK PROFESSIONAL ADVICE

PRODUCT HIGHLIGHTS SHEET

PRODUCT HIGHLIGHTS SHEET

Schroder International Selection Fund Environmental, Social and Governance (ESG) factors

Merger Notice to Shareholders THIS DOCUMENT IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION. IF IN DOUBT, PLEASE SEE PROFESSIONAL ADVICE.

PRODUCT HIGHLIGHTS SHEET

PRODUCT HIGHLIGHTS SHEET

PRODUCT HIGHLIGHTS SHEET

PRODUCT KEY FACTS. BlackRock Global Funds Asian Growth Leaders Fund. April Quick facts

PRODUCT HIGHLIGHTS SHEET

JPMORGAN FUNDS - EMERGING MARKETS LOCAL CURRENCY DEBT FUND Product Type Investment Company Launch Date 24 January 2008 Management

PRODUCT HIGHLIGHTS SHEET

PRODUCT HIGHLIGHTS SHEET

Invesco Funds SICAV 2-4 rue Eugène Ruppert L-2453 Luxembourg Luxembourg Luxembourg, 15 March 2018

PARVEST. An open-ended investment company Incorporated under Luxembourg Law. Prospectus D E C E M B E R 2012

Pictet Prospectus

PRODUCT HIGHLIGHTS SHEET

PRODUCT HIGHLIGHTS SHEET

PRODUCT HIGHLIGHTS SHEET

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

Important changes to the pricing of share classes available in Fidelity Funds SICAV

PRODUCT HIGHLIGHTS SHEET

Expense Ratio for financial year ending 31 December

PRODUCT HIGHLIGHTS SHEET

PRODUCT KEY FACTS. BlackRock Global Funds Latin American Fund. April Quick facts

JPMORGAN FUNDS - JAPAN EQUITY FUND Product Type Investment Company Launch Date 16 November 1988 Management Company JPMorgan Asset Management (Europe)

Alternatively, you may consider the following options and provide us with your instructions by 31 October 2018, before 3pm:

PRODUCT HIGHLIGHTS SHEET

Have you transferred all of your Shares in Invesco Asia Infrastructure Fund, a sub-fund of Invesco Funds?

PRODUCT HIGHLIGHTS SHEET

PRODUCT HIGHLIGHTS SHEET

25 July Dear Business Partner

Xtrackers II. Investment Company with Variable Capital (société d'investissement à capital variable)

Important Changes to Fidelity Funds. Key Points

Important Changes to Fidelity Funds. Changes to the Investment Objectives for certain funds of Fidelity Funds

Subject: Merger of FTIF Franklin Global Growth and Value Fund into FTIF Templeton Global Fund

PRODUCT KEY FACTS. BlackRock Global Funds US Dollar High Yield Bond Fund. April Quick facts

THIS DOCUMENT IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION. IF IN DOUBT, PLEASE SEEK PROFESSIONAL ADVICE

J.P. Morgan Bank Luxembourg S.A. r.l. Investment Manager JPMorgan Asset Management (UK) Depositary. Trustee

PRODUCT HIGHLIGHTS SHEET

UBS ETF MSCI EMU hedged to GBP UCITS ETF, and UBS ETF MSCI EMU UCITS ETF

Fidelity Prospectus for Hong Kong Investors

THIS DOCUMENT IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION. IF IN DOUBT, PLEASE SEEK PROFESSIONAL ADVICE

PRODUCT KEY FACTS. BlackRock Global Funds World Mining Fund. April Quick facts

Shareholder circular: Invesco UK Investment Grade Bond Fund

Invesco Funds Société d investissement à capital variable (SICAV)

PRODUCT HIGHLIGHTS SHEET

Product Key Facts BlackRock Global Funds

Allianz Income and Growth PRODUCT KEY FACTS March 2017

AllianceBernstein (Luxembourg) S.à r.l. Société à responsabilité limitée 2-4, rue Eugène Ruppert L-2453 Luxembourg R.C.S. Luxembourg B

PRODUCT KEY FACTS. BlackRock Global Funds Global Allocation Fund. November 2018

PRODUCT KEY FACTS. BlackRock Global Funds Emerging Markets Local Currency Bond Fund. April Quick facts

Investec Global Strategy Fund. Product Key Facts Statements July 2018

PRODUCT HIGHLIGHTS SHEET

Notice to shareholders of Pictet (the Company )

PRODUCT KEY FACTS. BlackRock Global Funds Asian Tiger Bond Fund. December Quick facts

Schroder International Selection Fund Global Dividend Maximiser (the ''Fund'')

Credit Suisse Fund Management S.A. Société Anonyme, 5, rue Jean Monnet, L-2180 Luxembourg, R.C.S. Luxembourg B

Annual Report 2013/2014

We are writing to you in your capacity as shareholder of the Receiving Sub-Fund.

Composition of Dividend Payment

Schroder International Selection Fund Global Multi-Asset Income (the ''Fund'')

Schroder International Selection Fund Global Dividend Maximiser (the Fund )

Schroder International Selection Fund Global Multi-Asset Income (the Fund )

PRODUCT KEY FACTS. BlackRock Premier Funds Horizon Income Fund. March Quick facts

ARM ASSET-BACKED SECURITIES S.A.

Notice to Shareholders of. Restructuring of the Portfolios of AB FCP I as corresponding identical portfolios of AB SICAV I

Schroder International Selection Fund Global Dividend Maximiser (the ''Fund'')

Dealing Guide for. - Allianz Global Investors Asia Fund - Allianz Global Investors Fund - Allianz Global Investors Opportunities

HENDERSON HORIZON FUND (the Company ) SOCIÉTÉ D'INVESTISSEMENT À CAPITAL VARIABLE (SICAV) LUXEMBOURG RCS B 22847

To: The Unitholders of Baring Global Aggregate Bond Fund (the Fund ), a fund of Baring Global Umbrella Fund

PRODUCT KEY FACTS Eastspring Investments US High Investment Grade Bond Fund

Schroder International Selection Fund

Scheme changes related to amendments/updates to the prospectus, Appendix A and Hong Kong Supplement (for Hong Kong investors) of Invesco Funds, SICAV.

Subject: Merger of FTIF Templeton European Fund into FTIF Templeton Euroland Fund (the Merger )

PRODUCT KEY FACTS Eastspring Investments US Investment Grade Bond Fund

USD Emerging Markets Sovereign Bond UCITS ETF

MERGER OF FTIF - FRANKLIN GLOBAL HIGH INCOME BOND FUND INTO FTIF FRANKLIN HIGH YIELD FUND

Notice to Hong Kong Shareholders of

NN (L) PATRIMONIAL Société d Investissement à Capital Variable. Grand Duchy of Luxembourg R.C.S. Luxembourg - B 24.

FRANKLIN TEMPLETON INVESTMENT FUNDS

PRODUCT KEY FACTS. BlackRock Global Funds Fixed Income Global Opportunities Fund. April Quick facts

Nordea Dedicated Investment Fund, SICAV-FIS Société d Investissement à Capital Variable R.C.S. Luxembourg B NOTICE TO SHAREHOLDERS

Transcription:

Investec Global Strategy Fund Registered office: 49, Avenue J.F. Kennedy L-1855 Luxembourg Grand Duchy of Luxembourg Postal address: Investec Asset Management Hong Kong Limited Suites 2602-06, Tower 2, The Gateway, Harbour City, Tsimshatsui, Kowloon Hong Kong THIS DOCUMENT IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION. IF IN DOUBT, PLEASE SEEK PROFESSIONAL ADVICE. Investec Asset Management Fund Centres Hong Kong T +852 2861 6888 F +852 2861 6861 investec.hk@investecmail.com Singapore T +65 (0)6653 5550 F +65 (0)6653 5551 investec.sg@investecmail.com Taiwan T +886 2 8101 0800 F +886 2 8101 0900 iamtaiwan.iam@investecmail.com South Africa T +0860 500 900 F +0861 500 900 saoffshore@investecmail.com 28 April 2017 All other investors T +44 (0)20 7597 1800 F +352 2460 9923 enquiries@investecmail.com www.investecassetmanagement.com Dear Investor, Appointment of a sub-investment manager We write to you as an investor in one or more of the following sub-funds of the Investec Global Strategy Fund ( GSF ) to inform you that Investec Asset Management Limited (the Investment Manager ) will appoint Investec Asset Management North America, Inc. as a sub-investment manager (the New Sub-Investment Manager ) on 1 June 2017 (the Effective Date ) in respect of the following: Global Franchise Fund, Global High Yield Bond Fund 1, Global Quality Equity Income Fund, and Investment Grade Corporate Bond Fund. (collectively, the Sub-Funds and each, a Sub-Fund ). Currently the Investment Manager acts as investment manager of the Sub-Funds. In addition, the Investment Manager has appointed Investec Asset Management (Pty) Limited (the Existing Sub-Investment Manager ) as a sub-investment manager of the Global Franchise Fund and the Global Quality Equity Income Fund. The appointment of the Existing Sub-Investment Manager is not affected by the appointment of the New Sub- Investment Manager. The New Sub-Investment Manager is established as a Delaware corporation, having its principal place of business at 666 5th Avenue, 37th Floor, New York, NY 10103, USA and is registered as an investment adviser with the U.S. Securities and Exchange Commission under the Investment Advisers Act of 1940. The New Sub-Investment Manager, in common with the Investment Manager and the Existing Sub-Investment Manager, is a member of the Investec Asset Management group. 1 This sub-fund is not authorized by the SFC. Investec Global Strategy Fund, société d investissement à capital variable, is registered with the trade and companies register of the Grand Duchy of Luxembourg under number R.C.S. Luxembourg B139420. Registered address as above. Telephone calls may be recorded for training and quality assurance purposes.

The New Sub-Investment Manager will work together with the Investment Manager and the Existing Sub- Investment Manager (in respect of the Global Franchise Fund and the Global Quality Equity Income Fund) in managing the assets and investments of the relevant Sub-Funds in accordance with their investment policies. The Investment Manager believes the local portfolio management presence of the New Sub-Investment Manager will be beneficial to each Sub-Fund given the significant geographic allocation of each Sub-Fund s assets to North America. The investment policy of each Sub-Fund will remain unchanged and their investment style and investment philosophy will remain the same. In addition, the appointment will not result in any change to the risk profiles of the Sub-Funds and will not prejudice the rights or interests of, or is not intended to have any adverse impact on, investors of the Sub-Funds. Other than the appointment of the New Sub-Investment Manager, there is no change in the operation and the manner in which the Sub-Funds are being managed. There will be no increase in the fees levied on the Sub-Funds as a result of the appointment of the New Sub-Investment Manager. The fees of the New Sub-Investment Manager will be paid by the Investment Manager out of its management fee. The costs associated with implementing the appointment, such as legal and mailing costs, will be paid by GSF pro rata across the range of funds. The Management Company and the Board of Directors of GSF will allocate these costs across the range of GSF funds on a fair and equitable basis. The contribution of each of the Sub-Funds, except the one not authorised by the SFC, is estimated to be approximately within the range between US$510 and US$14,700, which is equivalent to 0.0005% of their relative net asset values (as at 31 March 2017). We are giving you not less than one month s notice of the appointment of the New Sub-Investment Manager. If you are not happy with the appointment of the New Sub-Investment Manager, you may switch your investment into an alternative SFC authorized 2 sub-fund within the GSF range or redeem your investment. If you wish to switch or redeem prior to the Effective Date, your instruction must be received by the Hong Kong Representative, Investec Asset Management Hong Kong Limited, in good order on or before 5:00pm Hong Kong time on 31 May 2017. You will not be charged for any such switch or redemption by the GSF and Investec Asset Management group. The appointment of the New Sub-Investment Manager will be reflected in a revised Prospectus of GSF and the revised Product Key Facts Statements of the Sub-Funds (other than Global High Yield Bond Fund). Copies of the revised Prospectus, the Supplement for Hong Kong Investors to the Prospectus and the revised Product Key Facts Statements of the Sub-Funds (other than Global High Yield Bond Fund) will be available on our website, www.investecassetmanagement.com.hk 3, or may be obtained upon request at the address appearing at the top of this letter free of charge. The appointment of the New Sub-Investment Manager will not change the ISIN or any other codes associated with the share classes of the Sub-Funds. For your information, we have enclosed details of the ISIN for each share class of the Sub-Funds at the end of this letter. 2 SFC authorization is not a recommendation or endorsement of a product nor does it guarantee the commercial merits of a product or its performance. It does not mean the product is suitable for all investors nor is it an endorsement of its suitability for any particular investor or class of investors. 3 The website has not been reviewed by the SFC.

More information If you would like further information regarding the change, please contact your financial or tax advisor in the first instance. Alternatively, our teams are available to help you. Please find their contact details at the top of this letter. For more information on our funds, please visit our website, www.investecassetmanagement.com.hk 3. Thank you for your continued investment. Yours faithfully, Grant Cameron Director John Green Director All defined terms in this letter shall have the same meaning as those defined terms as set out in the Prospectus of GSF, unless the context requires otherwise. The Management Company and Directors of GSF are responsible for the accuracy of the contents of this letter. To the best of the knowledge and belief of the Management Company and Directors of GSF (who have taken all reasonable care to ensure that such is the case) the information contained in this letter is in accordance with the facts and does not omit anything likely to affect the import of such information. The Management Company and Directors of GSF accept responsibility accordingly.

ISINs codes SHARE CLASS NAME Global Franchise Fund, A, Acc, CHF, Hedged (Reference) Global Franchise Fund, A, Acc, EUR Global Franchise Fund, A, Acc, HKD Global Franchise Fund, A, Acc, SGD, Hedged (Reference) Global Franchise Fund, A, Acc, USD Global Franchise Fund, A, Acc, USD, Hedged (Portfolio AC) Global Franchise Fund, A, Inc, EUR 4 Global Franchise Fund, A, Inc, USD Global Franchise Fund, A, Inc-2, AUD, Hedged (IRD) Global Franchise Fund, A, Inc-2, HKD Global Franchise Fund, A, Inc-2, RMB, Hedged (IRD) 4 Global Franchise Fund, A, Inc-2, USD Global Franchise Fund, C, Acc, USD Global Franchise Fund, C, Acc, USD, Hedged (Portfolio AC) 4 Global Franchise Fund, C, Inc, USD Global Franchise Fund, C, Inc-2, AUD, Hedged (IRD) 4 Global Franchise Fund, C, Inc-2, USD 4 Global Franchise Fund, C, Inc-2, ZAR, Hedged (IRD) 4 Global Franchise Fund, F, Acc, USD Global Franchise Fund, F, Acc, USD, Hedged (Portfolio AC) 4 Global Franchise Fund, F, Inc-2, USD 4 Global Franchise Fund, I, Acc, EUR 4 Global Franchise Fund, I, Acc, EUR Hedged (Reference) 4 Global Franchise Fund, I, Acc, GBP, Hedged (Reference) 4 Global Franchise Fund, I, Acc, USD 4 Global Franchise Fund, I, Acc, USD, Hedged (Portfolio AC) 4 Global Franchise Fund, I, Inc, CHF, Hedged (Reference) 4 Global Franchise Fund, I, Inc, USD 4 Global Franchise Fund, IX, Acc, EUR 4 Global Franchise Fund, IX, Acc, USD 4 Global Franchise Fund, IX, Inc, USD 4 ISIN NUMBER LU0869878131 LU0846948197 LU1043141396 LU0855493085 LU0426412945 LU1121112475 LU1194092331 LU0426417589 LU1022646571 LU1043141123 LU1172942267 LU0994945656 LU0440694312 LU1121112558 LU0440694403 LU0996485032 LU0994945730 LU0996484654 LU0426418637 LU1121112632 LU0994945813 LU1516331532 LU1570387966 LU1303224098 LU0426422076 LU1121112715 LU1179364226 LU0426423470 LU1291088513 LU1291088190 LU0846948270 4 This share class is not available to the public of Hong Kong. 5 This sub-fund is not authorized by the SFC.

SHARE CLASS NAME Global Franchise Fund, J, Acc, USD 4 Global Franchise Fund, S, Acc, USD 4 Global High Yield Bond Fund, C, Acc, USD 5 Global High Yield Bond Fund, C, Inc-2, USD 5 Global High Yield Bond Fund, F, Acc, USD 5 Global High Yield Bond Fund, F, Inc-2, USD 5 Global High Yield Bond Fund, S, Inc, USD 5 Global Quality Equity Income Fund, A, Acc, EUR 4 Global Quality Equity Income Fund, A, Acc, EUR, Hedged (Reference) 4 Global Quality Equity Income Fund, A, Acc, USD Global Quality Equity Income Fund, A, Inc, EUR 4 Global Quality Equity Income Fund, A, Inc, USD Global Quality Equity Income Fund, A, Inc-2, USD Global Quality Equity Income Fund, C, Acc, USD Global Quality Equity Income Fund, C, Acc, USD, Hedged (Portfolio AC) 4 Global Quality Equity Income Fund, C, Inc-2, USD Global Quality Equity Income Fund, C, Inc-2, USD, Hedged (Portfolio AC) 4 Global Quality Equity Income Fund, C, Inc-3, USD 4 Global Quality Equity Income Fund, C, Inc-3, USD, Hedged (Portfolio AC) 4 Global Quality Equity Income Fund, F, Acc, USD Global Quality Equity Income Fund, F, Inc-2, USD Global Quality Equity Income Fund, F, Inc-2, USD, Hedged (Portfolio AC) 4 Global Quality Equity Income Fund, I, Acc, EUR 4 Global Quality Equity Income Fund, I, Acc, USD 4 Global Quality Equity Income Fund, I, Inc, USD 4 Global Quality Equity Income Fund, I, Inc-2, USD 4 Global Quality Equity Income Fund, I, Acc, EUR, Hedged (Reference) 4 Global Quality Equity Income Fund, I, Inc-2, USD, Hedged (Portfolio AC) 4 Global Quality Equity Income Fund, IX, Inc, USD 4 Global Quality Equity Income Fund, S, Inc, USD 4 Investment Grade Corporate Bond Fund, A, Acc, USD Investment Grade Corporate Bond Fund, A, Inc-2, EUR, Hedged (Reference) Investment Grade Corporate Bond Fund, A, Inc-2, GBP, Hedged (Reference) ISIN NUMBER LU0944440477 LU0426424361 LU1523164371 LU1554042728 LU1506034393 LU1554042645 LU1283709191 LU1516331458 LU1570387701 LU1228905037 LU1516331375 LU0545562505 LU1228905540 LU1228905110 LU1410565060 LU1228905896 LU1475746738 LU1410565144 LU1410564923 LU1228905201 LU1228906191 LU1475746654 LU1516331292 LU0773335848 LU0545563065 LU1291153945 LU1570387883 LU1475746811 LU0846948510 LU0545563651 LU0345763949 LU0416337789 LU0412230061

SHARE CLASS NAME Investment Grade Corporate Bond Fund, A, Inc-2, USD Investment Grade Corporate Bond Fund, A, Inc-3, HKD Investment Grade Corporate Bond Fund, A, Inc-3, USD Investment Grade Corporate Bond Fund, C, Inc-2, AUD, Hedged (IRD) 4 Investment Grade Corporate Bond Fund, C, Inc-2, EUR, Hedged (Reference) Investment Grade Corporate Bond Fund, C, Inc-2, USD Investment Grade Corporate Bond Fund, C, Inc-2, ZAR, Hedged (IRD) 4 Investment Grade Corporate Bond Fund, D, Inc-2, USD 4 Investment Grade Corporate Bond Fund, F, Acc, USD Investment Grade Corporate Bond Fund, F, Inc-2, USD Investment Grade Corporate Bond Fund, I, Acc, USD 4 Investment Grade Corporate Bond Fund, S, Acc, USD 4 ISIN NUMBER LU0345764244 LU1410565490 LU1410565227 LU0996346184 LU0416337607 LU0345764590 LU0996346341 LU0416338084 LU0345764087 LU0345764673 LU0345764160 LU0430081298