Notice to Shareholders of: Amundi SICAV II Euro High Yield Amundi SICAV II Pioneer Flexible Opportunities. (01 October 2018)

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Notice to Shareholders of: Amundi SICAV II Euro High Yield Amundi SICAV II Pioneer Flexible Opportunities (01 October 2018)

Contents 01 Amundi SICAV II Euro High Yield 3 02 Amundi SICAV II - Pioneer Flexible Opportunities 4 2

01 Amundi SICAV II Euro High Yield Name Change As a consequence of the change of name of the Master Sub-Fund Amundi Fund II Euro High Yield to Amundi Funds II Optimal Yield, the name of Amundi SICAV II Euro High Yield will be changed to Amundi SICAV II Optimal Yield, with effect from 31 October 2018. The new name more accurately reflects the flexible investment approach of the Master Sub-Fund. Risk Management Method Change The risk management method of the Master Sub-Fund Amundi Funds II Euro High Yield will be changed from Relative VaR to Absolute VaR, with effect from 31 October 2018. The above mentioned Master Sub-Fund follows a flexible investment strategy and the Absolute VaR approach is deemed more appropriate given the possibility of changes in portfolio allocation. This change will be reflected in the prospectus of Amundi SICAV II. Performance Fee Benchmark Change The performance fee benchmark of the Master Sub-Fund Amundi Funds II Euro High Yield will change from BofA ML Euro High Yield Constrained Index to Euro OverNight Index Average (EONIA) +300 bps, with effect from 31 October 2018. The performance fee benchmark change reflects the return expectation over a market cycle given the investment approach of the Master Sub-Fund. This change will be reflected in the prospectus of Amundi SICAV II. 3

02 Amundi SICAV II Pioneer Flexible Opportunities Investment Policy Amendment The investment policy of the Master Sub-Fund Amundi Funds II Pioneer Flexible Opportunities will be amended in order to allow it to invest up to 20% of its assets in asset-backed and mortgage-related securities with effect from 31 October 2018. As a consequence, the description of the investment policy of the Master Sub-Fund will be adjusted as follows in the prospectus of Amundi SICAV II: Current text The Master Sub-Fund mainly invests in a broad range of securities from around the world, including emerging markets. The mix of securities can include equities, government and corporate bonds, money market securities and investments whose values are linked to commodity prices. The Master Sub-Fund may invest up to 10% of its assets in other UCIs and UCITS. The Master Sub-Fund may use derivatives to reduce various risks, for efficient portfolio management or as a way to gain exposure to various assets, markets or income streams. In particular, the Master Sub-Fund will hold positions in any currency and will use derivatives to manage its currency exposure flexibly. The Master Sub-Fund may use derivatives to gain exposure to loans up to a maximum of 20% of its assets. New text The Master Sub-Fund mainly invests in a broad range of securities from around the world, including emerging markets. The mix of securities can include equities, government and corporate bonds, money market securities and investments whose values are linked to commodity prices. The Master Sub-Fund may invest up to 10% of its assets in other UCIs and UCITS. As of 31 October 2018, the Master Sub-Fund will be able to invest up to 20% of its assets in asset-backed and mortgage-related securities. The Master Sub-Fund may use derivatives to reduce various risks, for efficient portfolio management or as a way to gain exposure to various assets, markets or income streams. In particular, the Master Sub-Fund will hold positions in any currency and will use derivatives to manage its currency exposure flexibly. The Master Sub-Fund may use derivatives to gain exposure to loans up to a maximum of 20% of its assets. The main risks of Amundi SICAV II Pioneer Flexible Opportunities will be revised to reflect the investment in mortgage / asset-backed securities at the level of the Master Sub-Fund. What do you need to do? 1 2 If you are comfortable with the above changes, you do not need to take any action. If you redeem or switch your investment prior to 31 October 2018 no redemption or switch fee (if applicable) will be charged. Please place your dealing instructions as you usually do. However, when switching units into another Amundi SICAV II s sub-fund charging a higher sales charge, a conversion fee equal to the difference between sales charges will apply. Luxembourg, on 01 October 2018. FUND NAME: Amundi SICAV II LEGAL FORM: SICAV REGISTERED OFFICE OF THE MANAGEMENT COMPANY: 5, Allée Scheffer, L - 2520 Luxembourg, Grand Duchy of Luxembourg MANAGEMENT COMPANY: Amundi Luxembourg S.A. LITERATURE: The Prospectus, Key Investor Information Documents and most recent financial reports are available at: www.amundi.lu/amundi-funds 4

CONTACT INFORMATION Amundi Funds II (Fonds commun de placement) 5, Allée Scheffer, L - 2520 Luxembourg, Grand-Duchy of Luxembourg REF-2503