Allianz Global Investors Europe GmbH

Similar documents
Notice to Unitholders of: Pioneer Funds. (15 January 2018)

Allianz Global Investors Fund II

Information to the Unitholders of

Shareholders, who do not approve the aforementioned changes, may redeem their shares free of redemption or conversion charges until 30 June 2018.

Information to the Unitholders

AMUNDI FUNDS Société d investissement à Capital variable Registered office: 5 Allée Scheffer, L-2520 Luxembourg R.C.S. Luxembourg B 68.

Notice to Unitholders of:

UBS (Lux) Equity SICAV Small Caps Europe

Allianz Global Investors Fund

Prospectus February Amundi Funds II A Luxembourg Investment Fund (Fonds Commun de Placement)

(each a Company and together the Companies )

Prospectus February 2018

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

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

NOTICE TO SHAREHOLDERS OF THE SUB-FUND SPARINVEST SICAV ETHICAL HIGH YIELD VALUE BONDS

INFORMATION FOR UNIT-HOLDERS OF THE Lyxor Stoxx Europe 600 Oil & Gas UCITS ETF FUND

Paris, October 16, 2018 INFORMATION FOR UNITHOLDERS OF THE LYXOR PRIVEX UCITS ETF MUTUAL FUND (FONDS COMMON DE PLACEMENT, HEREINAFTER THE FCP )

Prospectus. January Pioneer Funds A Luxembourg Investment Fund (Fonds Commun de Placement)

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

INFORMATION FOR UNIT-HOLDERS OF THE Lyxor MSCI AC Asia Pacific Ex Japan UCITS ETF FUND

Prospectus 31 May 2018

INFORMATION FOR SHAREHOLDERS OF THE LYXOR IBOXX $ LIQUID EMERGING MARKETS SOVEREIGNS UCITS ETF SUB-FUND

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

SEB Asset Management S.A. Société anonyme. Notice to unitholders of SEB Fund 1 SEB Europe Fund

Allra S.A., SICAV. Société d investissement à capital variable Registered office: 33A, avenue J.F. Kennedy L-1855 Luxembourg

Shareholder Notification

INFORMATION FOR UNIT-HOLDERS OF THE FCP FUND LYXOR MSCI EMU SMALL CAP UCITS ETF

INFORMATION FOR UNIT-HOLDERS OF THE Lyxor MSCI EMU (DR) UCITS ETF

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

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

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

NN (L) Société d Investissement à Capital Variable 3, rue Jean Piret L-2350 Luxembourg Grand Duchy of Luxembourg R.C.S. Luxembourg - B 44.

Information to the Shareholders of

COMMON TERMS OF MERGER

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

ING (L) Liquid. Open-ended Investment Company with Variable Capital (SICAV) SIMPLIFIED PROSPECTUS INVESTMENT MANAGEMENT

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

Swisscanto (LU) Bond Fund. Management regulations of the investment fund June 2018

For the attention of unitholders resident in the United Kingdom of the French mutual fund "BNP PARIBAS EASY LOW CARBON 100 EUROPE UCITS ETF"

Cover letter to the shareholders of the UCITS Robeco All Strategies Funds Robeco Multi Asset Growth

Flossbach von Storch III SICAV

Dear sir or madam. 3. Effects of the Merger on the unitholders/shareholders of the Absorbed FCP and Absorbing Sub-fund

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

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

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

PARTIES GENERAL CHARACTERISTICS

BSI-Multinvest AN INVESTMENT COMPANY WITH VARIABLE CAPITAL UNDER LUXEMBOURG LAW (Société d Investissement à Capital Variable, SICAV) Prospectus

We are pleased to count you as a unitholder in the AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA FCP.

BSI-Multinvest AN INVESTMENT COMPANY WITH VARIABLE CAPITAL UNDER LUXEMBOURG LAW (Société d Investissement à Capital Variable, SICAV) Prospectus

Notice to the shareholders of AND

INFORMATION FOR SHAREHOLDERS of the Lyxor MSCI Select OECD Emerging Markets GDP UCITS ETF sub-fund

SEB Fund 3. Simplified Prospectus

I. Amendment to the investment objective and policy of the Sub-Fund.

NOTICE TO THE SHAREHOLDERS OF THE SUB FUND EUROPEAN VALUE (THE MERGING SUB FUND ) AND OF THE SUB FUND INTERNATIONAL VALUE (THE RECEIVING SUB FUND )

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

INFORMATION FOR SHAREHOLDERS OF THE LYXOR EURO STOXX Banks (DR) UCITS ETF SUB-FUND

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

Cover letter to the shareholders of the UCITS Robeco All Strategies Funds Robeco Multi Asset Income

SIMPLIFIED PROSPECTUS JULY 2010 GENERAL INFORMATION

ATOMO Société d investissement à capital variable Siège social: 41, boulevard Royal, L-2449 Luxembourg RCS Luxembourg n B 76.

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

BPER International SICAV

INFORMATION FOR SHAREHOLDERS OF THE SICAV

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

Amundi Funds II - Emerging Europe and Mediterranean Equity

DELTA LLOYD L Société d'investissement à Capital Variable 9, bd du Prince Henri L-1724 Luxembourg

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

CAAM Funds India. SIMPLIFIED PROSPECTUS - September 2009

Prospectus June 2016

AVIVA INVESTORS LUXEMBOURG SICAV

SF (LUX) SICAV 1. Société d investissement à capital variable SALES PROSPECTUS. Juillet 2009

Morgan Stanley Investment Funds Global Balanced Risk Control Fund of Funds

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

This Circular is important and requires your immediate attention

Luxembourg, 20 August 2018

PARVEST EQUITY GLOBAL BRANDS

CS Investment Funds 13

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

Notice to Unitholders of: Pioneer S.F. (15 January 2018)

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

VG SICAV Société d Investissement à Capital Variable (the «Fund»)

FRANKLIN TEMPLETON INVESTMENT FUNDS

Credit Suisse Fund (Lux) Investment fund under Luxembourg law

LOMBARD ODIER DARIER HENTSCH INVEST NOTICE TO SHAREHOLDERS

Simplified Sales Prospectus. Deka-ConvergenceAktien

Flossbach von Storch II

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

INFORMATION FOR SHAREHOLDERS OF THE LYXOR FTSE USA MINIMUM VARIANCE fund. MULTI UNITS FRANCE Lyxor FTSE USA Minimum Variance

Equity USA Value Merging sub-fund Merger effective as of 15 September 2017 (OTD)

Prospectus. Pioneer Funds. A Luxembourg Investment Fund (Fonds Commun de Placement) dated December 2011 and Management Regulations

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

LETTER TO UNITHOLDERS OF THE AMUNDI ETF MSCI BRAZIL UCITS ETF FCP

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

SF (LUX) SICAV 1. Simplified Prospectus of the Subfund SF (LUX) SICAV 1 BMI Protected Global Growth Fund (USD) November 2009

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

A Message from Your Fund s Board

Prospectus Nordea Fund of Funds, SICAV

Notice to shareholders of the sub-fund: Man Umbrella SICAV Man Convertibles Far East. (the Merging Sub-Fund )

The terms in this letter that begin with uppercase letters are defined in the prospectus.

REYL (Lux) GLOBAL FUNDS Luxembourg SICAV with multiple sub-funds

Transcription:

Allianz Inflationsschutz Merger into Allianz Global Investors Fund Dear Unitholders, You are holding units in the Allianz Inflationsschutz fund in your securities account. The Management Company,, has decided to merge Allianz Inflationsschutz into Allianz Global Investors Fund on 25 November 2014 (the Merger Date ) in accordance with the summary below. Allianz Inflationsschutz Allianz Global Investors Fund - Unit class ISIN / WKN (German securities code) Share class ISIN / WKN (German securities code) A (EUR) LU0202944186 / A0DKRF will be merged into A (EUR) LU0988442017 / A1W7SF The statutory disclosure of the fund merger to investors who are resident in Germany was published in the Börsenzeitung on 2 October 2014. Why is the fund merger taking place? The fund volume of the Merging Fund is decreasing due to net-outflows. By consolidating the assets of the Merging Fund with the ones of the Receiving Sub-Fund it is intended to create a bigger fund by allocating the investment strategy within the global umbrella Allianz Global Investors Fund. Moreover, due to the increased fund volume of the receiving Sub-Fund, after the merger the investment management gains more flexibility in searching attractive investment opportunities within the investment universe in the best interest of the unitholders / shareholders. Comparison of investment policy and risk profile Investment characteristics Allianz Inflationsschutz Allianz Global Investors Fund The fund invests directly or using The fund invests in a diversified derivatives in inflation-indexed portfolio of inflation-indexed bonds bonds or synthetic inflation-linked with differing maturities, which are securities. issued primarily in EUR.,

Permissible asset classes Investment focus Allianz Inflationsschutz Allianz Global Investors Fund Interest-bearing securities Interest-bearing securities, including including zero-coupon bonds, in inflation-linked instruments, floatingrate notes and convertible bonds, particular corporate bonds, asset-backed securities, mortgage-backed securities, assetbacked securities, UCITS or UCI, government bonds, public-sector mortgage bonds, floating-rate deposits, money-market instruments notes, convertible bonds and bonds with warrants, certificates, UCITS and UCI (money-market or bond funds and/or funds pursuing an absolute return approach) Inflation-indexed bonds and synthetic inflation-linked securities Inflation-indexed bonds that are issued or guaranteed by governments and listed companies of an OECD member state or an EU member Guarantee / Capital protection Benchmark Credit rating Investment grade rating Rating of at least BBB- (Standard & Poor s) or BBB- (Fitch) or Baa3 (Moody s), or an equivalent rating Regional orientation Eurozone Eurozone Emerging markets max. 10% of fund assets max. 10% of subfund assets Foreign currencies permissible permissible Target funds max. 10% of fund assets max. 10% of subfund assets Derivative financial instruments Duration (average cash-weighted residual term to maturity) Risk-earnings indicator (measure of how susceptible the fund price is to volatility) permissible permissible 3 to 9 years 0 to 20 years 4 4 Comparison of fees and other characteristics specific to each unit/share class Allianz Inflationsschutz Allianz Global Investors Fund Unit/share class A (EUR) A (EUR) Sales charge 3.00% / 4.00% 3.00% / 5.00% (current / max.) All-in fee p.a. 0.99% / 0.99% 0.99% / 1.40% (current / max.) Performance fee p.a. n.a. n.a. (current / max.) Taxe d abonnement levied in Luxembourg p.a. 0.05% 0.05%,

Allianz Inflationsschutz Allianz Global Investors Fund Total expense ratio 1.04% 1.04% Use of income / distributing / 15 April distributing / 15 December Effective date Minimum investment amount Legal form Fonds Commun de Placement (FCP) Société d Investissement à Capital Variable (SICAV) Rights of unitholders/ shareholders Unitholders do not have any right of co-determination Shareholders hold shares in the Company and have a right of codetermination Fund manager Allianz Global Investors Europe GmbH, France branch Allianz Global Investors Europe GmbH, France branch Custodian bank State Street Bank Luxembourg State Street Bank Luxembourg S.A. S.A. Registrar and Transfer RBC Investor Services Bank RBC Investor Services Bank S.A. Agent S.A. Financial year-end 31 December 30 September Statutory sales documentation The current version of the Key Investor Information for Allianz Global Investors Fund Allianz Euro Inflation-linked Bond is included with this letter. This document contains important information about the investment opportunities and risk profile of Allianz Global Investors Fund Allianz Euro Inflation-linked Bond. You should therefore read the Key Investor Information carefully. The annual report of Allianz Global Investors Fund is available four months after the end of the financial year. The semi-annual report is available two months after the end of the financial half-year. The above-mentioned documents and prospectuses are available from your advisor or can be inspected or obtained free of charge from the registered office of the management company and information agents during normal business hours in any jurisdiction in which the funds are admitted for public distribution. These documents are also accessible on the Internet at www.allianzglobalinvestors.de and www.allianzgiregulatory.eu. The fund merger will be reviewed by an auditor. On request, we will gladly provide you with a copy of the approved merger report, without charge. It will be available approximately four months after the Merger Date (in English only). Changes to the Allianz Inflationsschutz portfolio as a result of the fund merger In view of the fund merger, the portfolio of Allianz Inflationsschutz will be aligned with that of Allianz Global Investors Fund beginning 11 November 2014. All the required reallocations will be implemented in line with the provisions of the current prospectus of Allianz Inflationsschutz. Purchase of further units in Allianz Inflationsschutz The issue of new units in Allianz Inflationsschutz will be discontinued on 2 October 2014. As such, buy orders received by 7:00 a.m. (CEST) on 1 October 2014 will be executed for the last time at the unit price prevailing on 1 October 2014.,

Sale of units in Allianz Inflationsschutz Units in Allianz Inflationsschutz may be redeemed until 7:00 a.m. (CET) on 17 November 2014, free of charge as usual. Sales orders will be executed for the last time at the price determined on 17 November 2014. Redemption of units will be discontinued from 18 October 2014. Sale of Allianz Global Investors Fund shares after the Merger Date Shares in Allianz Global Investors Fund received during the fund merger can be sold once they have been credited to your securities account. Fund merger procedure After the Merger Date, your securities account will be credited automatically and free of any sales or other charge with the number of shares in Allianz Global Investors Fund that corresponds to your previous investment in Allianz Inflationsschutz. This number will be calculated by dividing the value of your Allianz Inflationsschutz units by the price of Allianz Global Investors Fund shares. The resulting shareholding in Allianz Global Investors Fund will subsequently be credited to your securities account. Conversion will be based on the unit/share prices of the two funds as determined on the Merger Date. The Allianz Inflationsschutz fund will distribute any income from the current financial year on the Merger Date. You will not incur any costs in connection with the merger. Tax-neutral fund merger Shares acquired in Allianz Global Investors Fund as a result of the merger with Allianz Inflationsschutz are not considered as new acquisitions from a taxation perspective. As such, in the event of any subsequent sale of the Allianz Global Investors Fund Allianz Euro Inflationlinked Bond shares, the price and time at which the original Allianz Inflationsschutz units were acquired determines whether the capital gains are taxable or not. Please consult your tax advisor if you have any other tax-related questions, particularly with regard to the implications of the fund merger for you personally. This document is a translation of the original document. In the event of discrepancies or ambiguities in interpreting the translation, the original German-language version shall prevail insofar as this does not infringe the local legislation of the relevant jurisdiction. Yours sincerely,,