Change of Name (Investment Products)

Save this PDF as:
 WORD  PNG  TXT  JPG

Size: px
Start display at page:

Download "Change of Name (Investment Products)"

Transcription

1 76 Bulletin Board - Change of Name (Investment Products) Change of Name (Investment Products) Jul 2002 Fidelity Premium Portfolio Service - Sterling Fidelity Funds-Fidelity Portfolio Selector Sterling Growth Fund Growth Fund -! - () (A sub-fund of Fidelity Funds) (A sub-fund of Fidelity Funds) $! $! HSBC 110% Capital Guaranteed Global 10 Fund HSBC 110% Capital Guaranteed Global 10 Fund 110%!10 110%!10 (A sub-fund of HSBC International Investment (A sub-fund of HSBC International Investment Fund (I)) Fund (I)) (I)!" (I)!" Mercury Selected Trust Merrill Lynch International Investment Funds MST Asian Emerging Markets Fund Asian Emerging Markets Fund MST Digital Europe Fund Digital Europe Fund Emerging Europe Fund Emerging Europe Fund Emerging Markets Fund Emerging Markets Fund Euro Global Balanced Fund Euro Global Balanced Fund MST Euro Global Bond Fund Euro Global Bond Fund MST Euro Markets Fund Euro Markets Fund Euro Reserve Fund Euro Reserve Fund Euro Short Term Global Bond Fund Euro Short Term Global Bond Fund MST () Euro Triple A 30 Funds Euro Triple A 30 Funds MST!30 30 Euro Triple A 50 Funds Euro Triple A 50 Funds MST!50 50 Euro Triple A 70 Funds Euro Triple A 70 Funds MST!70 70 European Bond Fund European Bond Fund European Fund European Fund European High Yield Bond Fund European High Yield Bond Fund MST& (

2 - 77 Jul 2002 European Opportunities Fund European Opportunities Fund MST Financial Services Fund World Financials Fund $ $" Global Equity Ex Europe Fund Global Equity Ex Europe Fund () ()*+ Global Equity Fund Global Equity Fund Global High Yield Bond Fund Global High Yield Bond Fund ( ( Global Opportunities Fund Global Opportunities Fund MST Japan Fund Japan Fund Japan Opportunities Fund Japan Opportunities Fund MST ML Latin American Fund Latin American Fund! "#$! "#$ New Energy Fund New Energy Fund $ $ North American Fund North American Fund MST!"!"# North American Opportunities Fund North American Opportunities Fund MST&!"#$%&' QA Global Sector (EURO) Fund QA Global Sectors (Euro) Fund ()*+,- ()*+,- Sterling Reserve Fund Sterling Reserve Fund Technology Fund World Technology Fund United Kingdom Fund United Kingdom Fund US Dollar Global Bond Fund US Dollar Global Bond Fund MST & US Dollar Reserve Fund US Dollar Reserve Fund MST $ US$ Triple A 30 Funds US$ Triple A 30 Funds MST!30!"30 US$ Triple A 50 Funds US$ Triple A 50 Funds MST!50!"50 US$ Triple A 70 Funds US$ Triple A 70 Funds MST!70!"70 USD Global Balanced Fund US Dollar Global Balanced Fund MST & World Energy Fund World Energy Fund World Gold and Mining Fund, The World Gold Fund MST!!"#! $#!" 2002

3 78 Bulletin Board - Change of Name (Investment Products) Jul 2002 World Healthscience Fund World Healthscience Fund MST World Mining Fund World Mining Fund World Telecoms Fund World Telecoms Fund World Utilities Fund World Utilities Fund MST Parvest Continental Europe Parvest Europe Multi Cap $ Parvest Europe Growth Plus Parvest Europe Growth $ (A sub-fund of Parvest) (A sub-fund of Parvest) European Equity - Market Capitalisation European Equity! European Equity - GDP Weighted European Equity Sigma!(GDP Weighted) European High Income EURO Corporate Bond!" Global Bond Global Bond Global Equity Global Equity Sigma Hedged Global Bond Global Corporate Bond US Dollar Portfolio Fund Portfolio (US Dollar) (Sub-funds of Schroder International Selection (Sub-funds of Schroder International Selection Fund) Fund) ("# ("# Aug 2002 Morgan Stanley SICAV European High Yield Bond Morgan Stanley SICAV European Currencies High Fund Yield Bond Fund Morgan Stanley SICAV& Morgan Stanley SICAV (A sub-fund of Morgan Stanley SICAV) (A sub-fund of Morgan Stanley SICAV) MFS Funds - Global Health Sciences Fund MFS Funds - Emerging Markets Debt Fund MFS - MFS - MFS Funds - European Strategic Growth Fund MFS Funds - European Growth Fund MFS - MFS - MFS Funds - Technology Fund MFS Funds - European Value Fund MFS -! MFS - (Sub-funds of MFS Funds) (Sub-funds of MFS Funds) MFS!" MFS!"

4 - 79 Aug 2002 Goldman Sachs US$ Liquid Reserves Fund Goldman Sachs US$ Liquid Reserves Fund Goldman Sachs US$ Enhanced Cash Fund Goldman Sachs US$ Enhanced Cash Fund &% Goldman Sachs Euro Liquid Reserves Fund Goldman Sachs Euro Liquid Reserves Fund Goldman Sachs Euro Core Liquidity Fund Goldman Sachs Euro Core Liquidity Fund Goldman Sachs Sterling Liquid Reserves Fund Goldman Sachs Sterling Liquid Reserves Fund (Sub-funds of Goldman Sachs Funds, Plc.) (Sub-funds of Goldman Sachs Funds, Plc.) Goldman Sachs Asia Portfolio Goldman Sachs Asia Portfolio Goldman Sachs Europe Portfolio Goldman Sachs Europe Portfolio Goldman Sachs European Specialist Portfolio Goldman Sachs European Specialist Portfolio Goldman Sachs Global Emerging Markets Equity Goldman Sachs Global Emerging Markets Equity Portfolio Portfolio () Goldman Sachs Global Equity Portfolio Goldman Sachs Global Equity Portfolio Goldman Sachs Japan Portfolio Goldman Sachs Japan Portfolio Goldman Sachs Japan Small Cap Portfolio Goldman Sachs Japan Small Cap Portfolio Goldman Sachs US Growth Equity Portfolio Goldman Sachs US Growth Equity Portfolio Goldman Sachs US Research SelectSM Portfolio Goldman Sachs US Research SelectSM Portfolio US Research SelectSM Goldman Sachs Europe CORESM Equity Portfolio Goldman Sachs Europe CORESM Equity Portfolio!CORESM! Goldman Sachs US CORESM Equity Portfolio Goldman Sachs US CORESM Equity Portfolio!CORESM! Goldman Sachs Global Consumer Growth Portfolio Goldman Sachs Global Consumer Growth Portfolio Goldman Sachs Global Financial Services Portfolio Goldman Sachs Global Financial Services Portfolio Goldman Sachs Global Health Sciences Portfolio Goldman Sachs Global Health Sciences Portfolio Goldman Sachs Global Infrastructure and Goldman Sachs Global Infrastructure and Resources Resources Portfolio Portfolio ( Goldman Sachs Global Technology Portfolio Goldman Sachs Global Technology Portfolio Goldman Sachs Internet TollkeeperSM Portfolio Goldman Sachs Internet Tollkeeper SM Portfolio Internet Tollkeeper SM!" 2002

5 80 Bulletin Board - Change of Name (Investment Products) Aug 2002 Goldman Sachs Euro Fixed Income Portfolio Goldman Sachs Euro Fixed Income Portfolio Goldman Sachs Global Emerging Markets Debt Goldman Sachs Global Emerging Markets Debt Portfolio Portfolio () Goldman Sachs Global Fixed Income Portfolio Goldman Sachs Global Fixed Income Portfolio Goldman Sachs Global High Yield Portfolio Goldman Sachs Global High Yield Portfolio! "#$ Goldman Sachs US Fixed Income Portfolio Goldman Sachs US Fixed Income Portfolio Goldman Sachs Continental Europe Portfolio Goldman Sachs Continental Europe Portfolio Goldman Sachs UK Equity Portfolio Goldman Sachs UK Equity Portfolio Goldman Sachs US Growth Opportunities Portfolio Goldman Sachs US Growth Opportunities Portfolio Goldman Sachs Global Broad Fixed Income Goldman Sachs Global Broad Fixed Income Portfolio Portfolio &# Goldman Sachs Sterling Broad Fixed Income Goldman Sachs Sterling Broad Fixed Income Portfolio Portfolio &# Goldman Sachs Sterling Fixed Income Portfolio Goldman Sachs Sterling Fixed Income Portfolio (Sub-funds of Goldman Sachs Funds, SICAV) (Sub-funds of Goldman Sachs Funds, SICAV) Sogelux Fund/Equities International Growth Sogelux Fund/Equities International Sogelux / Sogelux /! Sogelux Fund/Equities World Sogelux /! Sogelux Fund/Equities Global Quant Sogelux / (Sub-funds of Sogelux Fund) (Sub-funds of Sogelux Fund) SOGELUX!" SOGELUX!" Sep 2002 Templeton Global Growth Fund Templeton Global Fund () Templeton Global Growth (Euro) Fund Templeton Global (Euro) Fund ()*+ () Templeton Developed Markets Equity Fund Templeton Developed Markets Fund () Templeton EuroMarket Growth Fund Templeton Euromarket Fund () (Sub-funds of Franklin Templeton Investment (Sub-funds of Franklin Templeton Investment Funds) Funds) ()*+'( ()*+'( INVESCO GT European Corporate Bond Fund INVESCO GT Euro High Yield Fund ( ( (A sub-fund of INVESCO GT SICAV) (A sub-fund of INVESCO GT SICAV) $ $

UNIT TRUST Risk Rating

UNIT TRUST Risk Rating 1 * LYXOR ASSET MANAGEMENT ADEQUITY TRUST- LYXOR CHINA A FUND Medium-to-high 2 * LYXOR ASSET MANAGEMENT ADEQUITY TRUST- LYXOR DYNAMIC WATER FUND Medium-to-high 3 * LYXOR ASSET MANAGEMENT ADEQUITY TRUST-

More information

Foreign collective investment schemes Changes - February, 2008

Foreign collective investment schemes Changes - February, 2008 Foreign collective investment schemes Changes - February, 2008 Approved for distribution in or from Switzerland: Cazenove International Fund Plc - The Cazenove Strategic Debt Fund FIRST INDEPENDENT FUND

More information

Introducing Fund Manager Rebates

Introducing Fund Manager Rebates www.davyselect.ie Introducing Fund Manager s (Excluding Exchange Traded Funds) 1ST JULY 2015 In the case of all pension and certain trading accounts, Davy will refund to you 100 of any rebates we receive

More information

TABELLA DELLE VARIAZIONI DI PORTAFOGLIO I 20 MAGGIORI ACQUISTI E VENDITE PER COMPARTO (NON SOTTOPOSTI A REVISIONE CONTABILE) (valori espressi in EUR)

TABELLA DELLE VARIAZIONI DI PORTAFOGLIO I 20 MAGGIORI ACQUISTI E VENDITE PER COMPARTO (NON SOTTOPOSTI A REVISIONE CONTABILE) (valori espressi in EUR) US COLLECTION 03-ott-14 Health Care Select Sector SPDR Fund 4.986.027 27-mar-14 Legg Mason Global Funds PLC - ClearBridge U.S. Aggressive Growth Fund 4.831.202 27-mar-14 Legg Mason Global Funds PLC - Royce

More information

distributie ISIN No. Provider Fundnaam in basispunten in basispunten

distributie ISIN No. Provider Fundnaam in basispunten in basispunten ISIN No. Provider Fundnaam distributie basispunten Managementfee vergoeding in basispunten in LU0119174026 ABERDEEN Aberdeen European High Yield Bond Fund A Inc 125,000 62,500 LU0094547139 ABERDEEN Aberdeen

More information

Quantum. Investment Guide. November 2011

Quantum. Investment Guide. November 2011 Quantum Investment Guide November 2011 Contents 02 Investment choice for your Quantum 02 Risk and return 03 Managed funds 03 A world of investment choice 04 Fund range overview 12 Fund objectives 20 Important

More information

DEGIRO BELEGGINGSFONDSEN KERNSELECTIE

DEGIRO BELEGGINGSFONDSEN KERNSELECTIE DEGIRO BELEGGINGSFONDSEN KERNSELECTIE ISIN Uitgevende instelling Product Valuta LU0837965291 Aberdeen Global Aberdeen Global - Asia Pacific Equity Fund LU0837965457 Aberdeen Global Aberdeen Global - Asia

More information

Quantum. Investment Guide. October 2015

Quantum. Investment Guide. October 2015 Quantum Investment Guide October 2015 Contents 2 Investment choice for your Quantum 2 and return 3 Fund risk s 4 Managed funds 4 A world of investment choice 5 Fund range overview 14 Fund objectives 24

More information

FUND HOUSES List of Funds. Aberdeen International Fund Managers Limited

FUND HOUSES List of Funds. Aberdeen International Fund Managers Limited FUND HOUSES List of Funds Aberdeen International Fund Managers Limited Aberdeen Global - Asia Pacific Equity Fund (USD) A2 Aberdeen Global - Asian Smaller Companies Fund (USD) A2 Aberdeen Global - Chinese

More information

CUMULATIVE. 3 Months. 6 Months

CUMULATIVE. 3 Months. 6 Months All currencies (,,, ) All percentage growth calculated to /0/20 Performance % over one year to end March 20 April 20 Year Years 5 Years 20 205 204 20 202 AMC SFC Managed Solutions available in different

More information

Formerly AIB Grofund International Ltd. ditto minus Sterling International Bond (5) Merged with Global Stock Investments Ltd 19/3/97

Formerly AIB Grofund International Ltd. ditto minus Sterling International Bond (5) Merged with Global Stock Investments Ltd 19/3/97 Fund Name Start Date End Date Location File Ref Comments Sub Funds Institutional International Equity Managed;International Equity Managed;Sterling International Equity Grofund International Ltd 06/04/1990

More information

LifeInvest Protection Plus / RetireInvest Protection Plus

LifeInvest Protection Plus / RetireInvest Protection Plus LifeInvest Protection Plus / RetireInvest Protection Plus Investment choice - performance report Fourth quarter 2015 Important Risk Warning: - The following investment choices are available for LifeInvest

More information

BLACKROCK GLOBAL FUNDS Product Highlights Sheets

BLACKROCK GLOBAL FUNDS Product Highlights Sheets BLACKROCK GLOBAL FUNDS Product Highlights Sheets July 2016 Contents Pages ASEAN Leaders Fund 3 Asia Pacific Equity Income Fund 7 Asian Dragon Fund 11 Asian Growth Leaders Fund 15 Asian Local Bond Fund

More information

Global Investment Centre Fund List

Global Investment Centre Fund List Global Investment Centre Fund List The share classes available on Global Investment Centre are either legacy or clean share classes. Clean share classes will replace legacy share classes on the Global

More information

Investment-linked Fund Prices

Investment-linked Fund Prices Investment-linked Fund Prices June 2011 Investment-linked fund prices as at the last price available on 31 May 2011. This document is to be used in Hong Kong only. Key features and risk Friends Provident

More information

Investimenti collettivi di capitale esteri Mutazioni - Maggio 2016

Investimenti collettivi di capitale esteri Mutazioni - Maggio 2016 Investimenti collettivi di capitale esteri Mutazioni - Maggio 2016 Approvato alla distribuzione in o partire della Svizzera: Allianz Global Investors Fund (F00156112) Allianz Advanced Fixed Income Global

More information

List of Funds not for Subscription via Hang Seng e-banking (as of 23 Dec 2015)

List of Funds not for Subscription via Hang Seng e-banking (as of 23 Dec 2015) IMPORTANT RISK WARNINGS / NOTES Investors should note that investment involves risks (including the possibility of loss of the capital invested), prices of fund units may go up as well as down and past

More information

CUOTAS DE FONDOS MUTUOS EXTRANJEROS APROBADOS

CUOTAS DE FONDOS MUTUOS EXTRANJEROS APROBADOS Al 1º de agosto de 2015 - As of August 1st, 2015-1 CUOTAS DE FONDOS MUTUOS EXTRANJEROS APROBADOS (SHARES OF FOREIGN MUTUAL FUNDS APPROVED) Número de Fondos cuyas cuotas se encuentran aprobadas (Number

More information

BLACKROCK GLOBAL FUNDS

BLACKROCK GLOBAL FUNDS THIS DOCUMENT IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION. If you are in any doubt about the action to be taken you should consult your stockbroker, bank manager, solicitor, accountant, relationship

More information

Fund name. Share Onshore fund

Fund name. Share Onshore fund Fund Code Summary Noted:Below information is prepared for your reference only and is subject to on-going update/review. Version:20110608 Fund Fund Offshore/ Fund Risk Fund Asset Fund House Fund name Share

More information

J.P. Morgan Asset Management

J.P. Morgan Asset Management LU0159059210 LU0117861202 LU0325075579 LU0325075496 LU0289215518 LU0289219007 LU0289215435 LU0572778313 LU0117881226 LU0115097544 LU0278564033 LU0278563068 LU0441853263 LU0441851994 LU0522352607 LU0117867159

More information

Short Fund Guide. Prudential International Investment Bond International Prudence Bond

Short Fund Guide. Prudential International Investment Bond International Prudence Bond Short Fund Guide Prudential International Investment Bond International Prudence Bond Introduction This short fund guide gives you a list of funds you can choose from, an indication of the potential reward

More information

8. desember 2015. Sjóður / Fund Sjóðsdeildir / Subfunds Heimaríki / Home State 1741 Asset Managment Funds SICAV

8. desember 2015. Sjóður / Fund Sjóðsdeildir / Subfunds Heimaríki / Home State 1741 Asset Managment Funds SICAV 8. desember 2015 Erlendir verðbréfasjóðir sem hafa tilkynnt markaðssetningu á Íslandi í samræmi við 43. gr. laga nr. 30/2003 og 14. og 16. gr. reglugerðar nr. 792/2003 Foreign UCITS which have notified

More information

Ausländische kollektive Kapitalanlagen Mutationen - Dezember 2007

Ausländische kollektive Kapitalanlagen Mutationen - Dezember 2007 Ausländische kollektive Kapitalanlagen Mutationen - Dezember 2007 Zum Vertrieb in oder von der Schweiz aus genehmigt: ACMBernstein - US Strategic Value Portfolio BNP PARIBAS SECURITIES SERVICES S.A., Paris,

More information

APPENDIX 8 LIST OF REGISTERED MPF SCHEMES AND CONSTITUENT FUNDS (as at 31 March 2006)

APPENDIX 8 LIST OF REGISTERED MPF SCHEMES AND CONSTITUENT FUNDS (as at 31 March 2006) APPENDIX 8 AIA-JF Comprehensive Retirement Benefit MPF Scheme AIA-JF Mandatory Provident Fund Scheme AIA-JF Premium MPF Scheme Allianz Global Investors MPF Plan Bank Consortium Industry Plan Capital Preservation

More information

Ausländische kollektive Kapitalanlagen Mutationen - Juli 2008

Ausländische kollektive Kapitalanlagen Mutationen - Juli 2008 Ausländische kollektive Kapitalanlagen Mutationen - Juli 2008 Zum Vertrieb in oder von der Schweiz aus genehmigt: Allianz Global Investors Fund - Allianz All Markets Dynamic Allianz Global Investors Fund

More information

Adviser Guide to Investment Options and Fund Choice

Adviser Guide to Investment Options and Fund Choice For Adviser use only not approved for use with clients Adviser Guide Adviser Guide to Investment Options and Fund Choice Including: Life Funds Pension Funds Prudential International Funds Collective Funds

More information

Foreign investment funds Changes - October 2005

Foreign investment funds Changes - October 2005 Foreign investment funds Changes - October 2005 Authorized for the distribution in Switzerland: BiscayneAmericas Funds plc BiscayneAmericas Enhanced Yield Fund BiscayneAmericas Funds plc BiscayneAmericas

More information

Foreign investment funds Changes - December 2005

Foreign investment funds Changes - December 2005 Foreign investment funds Changes - December 2005 Authorized for the distribution in Switzerland: Activest GlobalDepot - Offensiv Activest Investmentgesellschaft Schweiz AG, Bern AQUILA CAPITAL FONDS -

More information

Ausländische Anlagefonds Mutationen - Oktober 2006

Ausländische Anlagefonds Mutationen - Oktober 2006 Ausländische Anlagefonds Mutationen - Oktober 2006 Zum Vertrieb in der Schweiz zugelassen: Archimedes Invest Plus - CHF Archimedes Invest Plus - EUR Archimedes Invest Plus - USD Aquila Investment AG, Zürich

More information

Název fondu ISIN Měna

Název fondu ISIN Měna Název fondu ISIN Měna AM SLSP, Euro Plus Fond D084516 EUR AM SLSP, Eurový dlhopisový fond EUR BNP Paribas L1 Bond Europe Plus LU0010000809 EUR BNP Paribas L1 Diversified World Balanced LU0132151118 EUR

More information

Foreign collective investment schemes Changes - October 2015

Foreign collective investment schemes Changes - October 2015 Foreign collective investment schemes Changes - October 2015 Approved for distribution in or from Switzerland: AB SICAV II Diversified Equity Alpha Portfolio (F01079575) Multi-Strategy Alpha Portfolio

More information

Zurich Investment Bonds. Funds guide

Zurich Investment Bonds. Funds guide Zurich Investment Bonds Funds guide Contents Introduction 3 List of current investment funds by sector 4 Investment choice and flexibility 6 Fund risks 7 Managed funds 8 Multimanaged funds 10 UK equity

More information

IS Název fondu (DON) ISIN Měna

IS Název fondu (DON) ISIN Měna IS Název fondu (DON) ISIN Měna NN NN (L) Asia ex Japan LU0051129079 USD NN NN (L) Latin America Equity LU0051128774 USD NN NN (L) International Czech Equity LU0082087353 CZK NN NN (L) European Equity LU0082087510

More information

Ausländische kollektive Kapitalanlagen Mutationen - Juli 2014

Ausländische kollektive Kapitalanlagen Mutationen - Juli 2014 Ausländische kollektive Kapitalanlagen Mutationen - Juli 2014 Zum Vertrieb in oder von der Schweiz aus genehmigt: ABN AMRO Multi-Manager Funds Aristotle US Equities (F01036687) Pzena European Equities

More information

Sterling Investment Bond. Investment funds guide

Sterling Investment Bond. Investment funds guide Sterling Investment Bond Investment funds guide Contents Introduction 3 List of current investment funds by sector 4 Investment choice and flexibility 10 Fund risks 11 Managed funds 12 Multi-Managed funds

More information

The Edge-Lipper Singapore Awards 2004 24.02.05

The Edge-Lipper Singapore Awards 2004 24.02.05 The Edge-Lipper Singapore Awards 2004 24.02.05 Lipper A Reuters Company Robin Thurston Vice President Global Director of Research, Media, and Marketing Lipper What we believe in Independence Objectivity

More information

Verzeichnis der von der Kursliste der eidg. Steuerverwaltung per 31.12.2014 abweichenden Steuerwerte für die Staatssteuerveranlagung 2014

Verzeichnis der von der Kursliste der eidg. Steuerverwaltung per 31.12.2014 abweichenden Steuerwerte für die Staatssteuerveranlagung 2014 Verzeichnis der von der Kursliste der eidg. Steuerverwaltung per 31.12.2014 abweichenden Steuerwerte für die Staatssteuerveranlagung 2014 gilt nur für natürliche Personen mit Domizil im Kanton Basel-Landschaft

More information

Zurich Investment Bonds. Funds guide

Zurich Investment Bonds. Funds guide Zurich Investment Bonds Funds guide Contents Introduction 3 List of current investment funds by sector 4 Investment choice and flexibility 6 Fund risks 7 Managed funds 8 Multimanaged funds 10 UK equity

More information

Seznam podílových fondů, u kterých lze uplatnit snížené vstupní poplatky (platný ke dni 1. 11. 2011)

Seznam podílových fondů, u kterých lze uplatnit snížené vstupní poplatky (platný ke dni 1. 11. 2011) Seznam podílových fondů, u kterých lze uplatnit snížené vstupní poplatky (platný ke dni 1. 11. 2011) FRANKLIN TEMPLETON Franklin Asian Flex Cap LU0260852503 USD Franklin World Perspectives Fund (EUR) LU0390134954

More information

INVESTMENT SERVICES - PRODUCTS OFFERED - July 2012*

INVESTMENT SERVICES - PRODUCTS OFFERED - July 2012* Mutual Funds We make available to you a choice of over 270 mutual funds offered by more than 15 fund managers. Our endeavour is to provide you suitable investment solutions through wide range of investment

More information

Ausländische Anlagefonds Mutationen - März 2007

Ausländische Anlagefonds Mutationen - März 2007 Ausländische Anlagefonds Mutationen - März 2007 Zum Vertrieb in der Schweiz zugelassen: AVIVA MORLEY - ABSOLUTE BOND FUND [13045] AVIVA MORLEY - ABSOLUTE EMERGING MARKETS OPPORTUNITIES FUND [13323] AVIVA

More information

Namensänderungen Hinweise / Changements de nom Renvois Cambio dei nomi Indicazioni

Namensänderungen Hinweise / Changements de nom Renvois Cambio dei nomi Indicazioni ABN AMRO s Resources Activest Lux Dollar-Geldmarkt Activest Lux Europa Potential Activest Lux EuroProtect Activest Lux EuroRent Flex Activest Lux GlobalSelect Activest Lux GlobalStrategie Dynamik Activest

More information

Investing in Bonds challenges and opportunities in 2015

Investing in Bonds challenges and opportunities in 2015 For Financial Brokers and Advisors Only Investing in Bonds challenges and opportunities in 2015 March 2015 Andy Ivory-Corr, QFA, Grad Dip, CFP Head of Investments New Ireland Assurance What exactly is

More information

TABELLA DELLE VARIAZIONI DI PORTAFOGLIO I 20 MAGGIORI ACQUISTI E VENDITE PER COMPARTO (valori espressi in EUR)

TABELLA DELLE VARIAZIONI DI PORTAFOGLIO I 20 MAGGIORI ACQUISTI E VENDITE PER COMPARTO (valori espressi in EUR) US COLLECTION 15-giu-15 Vulcan Value Equity Fund 19.852.107 16-giu-15 Conventum - Lyrical Fund 19.400.664 15-mag-15 Davis Funds SICAV - Davis Value Fund 13.292.807 18-mag-15 Davis Funds SICAV - Davis Value

More information

Verzeichnis der von der Kursliste der eidg. Steuerverwaltung per 31.12.2013 abweichenden Steuerwerte für die Staatssteuerveranlagung 2013

Verzeichnis der von der Kursliste der eidg. Steuerverwaltung per 31.12.2013 abweichenden Steuerwerte für die Staatssteuerveranlagung 2013 Verzeichnis der von der Kursliste der eidg. Steuerverwaltung per 31.12.2013 abweichenden Steuerwerte für die Staatssteuerveranlagung 2013 gilt nur für natürliche Personen mit Domizil im Kanton Basel-Landschaft

More information

Sterling Investment Bond Fund specific projection rates

Sterling Investment Bond Fund specific projection rates Sterling Investment Bond Fund specific projection rates This document lists the funds available through the Sterling Investment Bond and the fund specific projection rates used in our illustrations. Examples

More information

Collective Investment Undertakings Authorized/Registered By the CBB as of December 2011

Collective Investment Undertakings Authorized/Registered By the CBB as of December 2011 1 R Al Baraka Islamic Bank B.S.C.(c) N/A: KotakShariah Fund Limited-Class A shares 2007 2 R Ahli United Bank Alliance Bernstein Funds: American Growth Portfolio 2001 Biotechnology Portfolio 2001 Global

More information

Presentazione Merrill Lynch International Investment Funds

Presentazione Merrill Lynch International Investment Funds Presentazione Merrill Lynch International Investment Funds MLIIF - Fondi Azionari i Fundamental Equity Small Cap Opportunities Emerging Markets ex Manager James Macmillan Bill Patzer/ Walid Kassem Ian

More information

AUTHORISED UCITS EUROPEAN COMMUNITIES (UNDERTAKINGS FOR COLLECTIVE INVESTMENT IN TRANSFERABLE SECURITIES) REGULATIONS, 2003 1

AUTHORISED UCITS EUROPEAN COMMUNITIES (UNDERTAKINGS FOR COLLECTIVE INVESTMENT IN TRANSFERABLE SECURITIES) REGULATIONS, 2003 1 Under the powers conferred on it by the European Communities (Undertakings for Collective Investment in Transferable Securities) Regulations 2003 (S.I. No. 211of 2003), the following schemes have been

More information

Legal & General Portfolio Bond Funds available through Cofunds

Legal & General Portfolio Bond Funds available through Cofunds L&G Life Aberdeen Asia Pacific & Japan Fund L&G Life Aberdeen Asia Pacific Fund L&G Life Aberdeen Emerging Markets Fund L&G Life Aberdeen Multi-Manager Balanced Managed Fund L&G Life Aberdeen Multi-Manager

More information

Product Risk Level 產 品 風 險 評 級. Code 基 金 編 號. Fund Name 基 金 名 稱. Fund House 基 金 公 司

Product Risk Level 產 品 風 險 評 級. Code 基 金 編 號. Fund Name 基 金 名 稱. Fund House 基 金 公 司 Mutual Funds 互 惠 基 金 Please refer below list of Mutual Funds with product risk rating (as at 03 May 2013): 請 參 考 以 下 互 惠 基 金 之 列 表 (2013 年 05 月 03 日 更 新 ): Fund House 基 金 公 司 NA45 AB AMERICAN GROWTH PORTFOLIO

More information

Fund Guide. Prudential International Investment Bond International Prudence Bond

Fund Guide. Prudential International Investment Bond International Prudence Bond Fund Guide Prudential International Investment Bond International Prudence Bond Introduction to this guide We know that choosing which fund may be best for you isn t easy there are many options and everyone

More information

Deze lijst is samengesteld op 8 december 2014

Deze lijst is samengesteld op 8 december 2014 aanbieder Vergoeding Categorie Naam provisievrij Aberdeen Aberdeen Global - Fund Asia Pacific Equity A2 LU0011963245 1,75% 1,96% 0,88% I Aberdeen Global Asia Pacific Equity Fund X2 USD Cap LU0837965291

More information

Legal & General All Stocks Gilt Index Fund LS5 UK Gilts 0.12% 0.04% 0.16% 0.08%

Legal & General All Stocks Gilt Index Fund LS5 UK Gilts 0.12% 0.04% 0.16% 0.08% SELECT PORTFOLIO bond (WEALTH MANAGERS) FUND DETAILS This document shows the fund charges, Association of British Insurers (ABI) sectors and valuation spreads for the funds available on our Select Portfolio

More information

Elenco dei Fondi esterni

Elenco dei Fondi esterni CREDIT SUISSE LIFE & PENSIONS AG (ITALIAN BRANCH) Via Santa Margherita, 3 Telefono +39 02 88 55 01 20121-Milano Fax +39 02 88 550 450 REA Registro Imprese di Milano n. 1753146 C.F. Part. IVA 04502630967

More information

Sterling Investment Bond. Investment funds guide

Sterling Investment Bond. Investment funds guide Sterling Investment Bond Investment funds guide Contents Introduction 3 List of current investment funds by sector 4 Investment choice and flexibility 10 Fund risks 11 Managed funds 12 Multi-Managed funds

More information

Mutual Funds. INVESTMENT SERVICES - PRODUCTS OFFERED - October 2011*

Mutual Funds. INVESTMENT SERVICES - PRODUCTS OFFERED - October 2011* Mutual Funds We make available to you a choice of over 270 mutual funds offered by more than 15 fund managers. When you invest in mutual funds through us, you can be rest assured that they are "true-to-label",

More information

Verzeichnis der von der Kursliste der eidg. Steuerverwaltung per 31.12.2012 abweichenden Steuerwerte für die Staatssteuerveranlagung 2012

Verzeichnis der von der Kursliste der eidg. Steuerverwaltung per 31.12.2012 abweichenden Steuerwerte für die Staatssteuerveranlagung 2012 Verzeichnis der von der Kursliste der eidg. Steuerverwaltung per 31.12.2012 abweichenden Steuerwerte für die Staatssteuerveranlagung 2012 gilt nur für natürliche Personen mit Domizil im Kanton Basel-Landschaft

More information

RETIREMENT ACCOUNT SCOTTISH WIDOWS PENSION FUND CHARGES

RETIREMENT ACCOUNT SCOTTISH WIDOWS PENSION FUND CHARGES RETIREMENT ACCOUNT SCOTTISH WIDOWS PENSION FUND CHARGES SCOTTISH WIDOWS RETIREMENT ACCOUNT THE SCOTTISH WIDOWS RETIREMENT ACCOUNT COMBINES RETIREMENT PLANNING WITH RETIREMENT INCOME, ALLOWING YOU TO CONSOLIDATE

More information

LU0119176310 LU0119176310 Aberdeen Sel.Euro High Yield Bond LU0837982460 Aberdeen Global - Select Euro High Yield Bond Fund Class X-2

LU0119176310 LU0119176310 Aberdeen Sel.Euro High Yield Bond LU0837982460 Aberdeen Global - Select Euro High Yield Bond Fund Class X-2 Geen handel mogelijk van maandag 15 december 09:30 's ochtends tot dinsdag 23 december 23:00 's avonds. Voor vragen kunt u contact opnemen met ons Service Team. LU0011963831 LU0011963831 Aberdeen American

More information

Investimenti collettivi di capitale esteri Mutazioni - Gennaio 2015

Investimenti collettivi di capitale esteri Mutazioni - Gennaio 2015 Investimenti collettivi di capitale esteri Mutazioni - Gennaio 2015 Approvato alla distribuzione in o partire della Svizzera: 20UGS (UCITS) FUNDS EQUITY OPPORTUNITY (F01053198) Rappresentanti: Société

More information

Liste des produits européens autorisés en France au 05 février 2013 1

Liste des produits européens autorisés en France au 05 février 2013 1 Liste des produits européens autorisés en France au 05 février 2013 1 589 1618 INVESTMENT FUNDS 22/05/2012 SELF-MANAGED INVESTMENT COMPAGNY LUXEMBOURG 1618 INVESTMENT FUNDS - WORLD EQUITY 255 1618 INVESTMENT

More information

Fund volatility and performance

Fund volatility and performance Fund volatility and performance Our funds This guide provides you with details of the past performance and volatility figures for our fund range. These can be used to help you understand the investment

More information

Date of Authorisation Management Company Trustee

Date of Authorisation Management Company Trustee Authorised UCITS European Communities (Undertakings for Collective Investment in Transferable Securities) Regulations 2011 Under the powers conferred on it by the European Communities (Undertakings for

More information

Investment Bond and Portfolio Investment Bond Fund Switch request

Investment Bond and Portfolio Investment Bond Fund Switch request Investment and Portfolio Investment Fund Switch request Name(s) of planholder Plan number Before completing this form, you should read the notes below and overleaf as they give general information about

More information

RiverSource Retirement Advisor 4 Advantage variable annuity

RiverSource Retirement Advisor 4 Advantage variable annuity RiverSource Retirement Advisor 4 Advantage variable annuity Issued by RiverSource Life Insurance Company (RiverSource Life) Performance for Annuities for month ending 07/31/2016 and quarter ending 06/30/2016

More information

Het oude beleggingsfonds met distributievergoeding Het nieuwe beleggingsfonds zonder distributievergoeding

Het oude beleggingsfonds met distributievergoeding Het nieuwe beleggingsfonds zonder distributievergoeding 54150 BARCL ROLL YLD COMMO BARCLAYS ROLL YIELD COMMODITIES ACC 54808 BARCL ROLL YLD COM V BARCLAYS ROLL YIELD COMMODITIES ACC V 54736 BNP BD CONVERT WORLD BNP BOND CONVERTIBLE WORLD DIS 54555 BNP BOND

More information

Seeking a More Efficient Fixed Income Portfolio with Asia Bonds

Seeking a More Efficient Fixed Income Portfolio with Asia Bonds Seeking a More Efficient Fixed Income Portfolio with Asia s Seeking a More Efficient Fixed Income Portfolio with Asia s Drawing upon different drivers for performance, Asia fixed income may improve risk-return

More information

Ratio(%) change 1 RELIANCE GROWTH FUND 31-Jan-13 Refer Note 1 Institutional. Equity

Ratio(%) change 1 RELIANCE GROWTH FUND 31-Jan-13 Refer Note 1 Institutional. Equity Sl. No. Scheme Name Plan Effective Type of Annual Recurring Expense Date of Scheme Ratio(%) change 1 RELIANCE GROWTH FUND 31-Jan-13 Refer Note 1 Institutional Institutional Plan Lower by RELIANCE GROWTH

More information

2006 / 2.12% / 2.38% / 2.48% / 0.79% / 1.24% 2007 / 2.11% / 2.36% / 2.61% / 0.71% / 1.26% UNIVERSAL Fund of Funds (*) 0.32% UNIVERSAL Fund of Funds

2006 / 2.12% / 2.38% / 2.48% / 0.79% / 1.24% 2007 / 2.11% / 2.36% / 2.61% / 0.71% / 1.26% UNIVERSAL Fund of Funds (*) 0.32% UNIVERSAL Fund of Funds 2006 / 2.12% / 2.38% / 2.48% / 0.79% / 1.24% 2007 / 2.11% / 2.36% / 2.61% / 0.71% / 1.26% UNIVERSAL (*) 0.32% UNIVERSAL (*) 0.32% UNIVERSAL (*) 0.32% / (*) 0.53% / (*) 1.10% *! ""#! $%! &'! (! $ 16/01/2007

More information

DWS Invest Semiannual Report 2013

DWS Invest Semiannual Report 2013 Deutsche Asset & Wealth Management DWS Invest Semiannual Report 2013 Investment Company with Variable Capital Incorporated under Luxembourg Law Contents Semiannual report 2013 for the period from January

More information

A Guide to the Private Office Asset Management Ltd Wrap Account

A Guide to the Private Office Asset Management Ltd Wrap Account A Guide to the Private Office Asset Management Ltd Wrap Account Contents 1. Getting Started 2 2. Main Portfolio Screen 3 3. Producing a Valuation of your Portfolio 4 4. Producing Historic Valuations 4

More information

Wealth Solutions Bond Fund Menu

Wealth Solutions Bond Fund Menu Wealth Solutions Bond Menu Choosing the right funds 3 The importance of diversification 3 Investing for income or growth 3 Investing with Friends Life 4 distribution funds 7 Charges and fund risks 8 risk

More information

Markit iboxx Bond Indices

Markit iboxx Bond Indices Markit iboxx Bond Indices Content. Valuations. Processing. Distribution. www.markit.com. Introduction Markit is the leading independent fixed income index provider committed to open and transparent markets.

More information

Evaluating the Australian Outlook through a Global Lens

Evaluating the Australian Outlook through a Global Lens Evaluating the Australian Outlook through a Global Lens Chris Siniakov Managing Director, Fixed Income International Bond Yields 4.00% 2-Year Government Yields as at 15 January 2015 3.00% 2.00% 1.00% 0.00%

More information

Placements collectifs étrangers Mutations - Septembre 2007

Placements collectifs étrangers Mutations - Septembre 2007 Placements collectifs étrangers Mutations - Septembre 2007 Distribution en ou à partir de la Suisse approuvée: ABN AMRO Alternative Investments ABN AMRO Absolute Return Advantage Fund (ausl. Dachfonds

More information

Equity Sell-off Continues, Bonds Affected

Equity Sell-off Continues, Bonds Affected Equity Sell-off Continues, Bonds Affected Executive Summary Portfolio Performance So Far The 1-month performance of all model portfolios have been affected by the recent sell-off in equities, with returns

More information

Short report For the period ended 31 Dec 2015

Short report For the period ended 31 Dec 2015 Short report For the period ended 31 Dec 2015 Short reports Architas Diversified Global Income Fund For the period ended 31 Dec 2015 Investment objective The aim of the Fund is to provide you with an income,

More information

Mutual Funds 互 惠 基 金. Product Risk Level 產 品 風 險 評 級. Code 基 金 編 號. Fund House 基 金 公 司. Fund Name 基 金 名 稱

Mutual Funds 互 惠 基 金. Product Risk Level 產 品 風 險 評 級. Code 基 金 編 號. Fund House 基 金 公 司. Fund Name 基 金 名 稱 Mutual Funds 互 惠 基 金 Please refer below list of Mutual Funds with product risk rating (as at 01 Jun 2015): 請 參 考 以 下 互 惠 基 金 之 列 表 (2015 年 06 月 01 日 更 新 ): Fund House NA01 AB AMERICAN GROWTH PORTFOLIO

More information

DWS Invest Semiannual Report 2014

DWS Invest Semiannual Report 2014 Deutsche Asset & Wealth Management DWS Invest Semiannual Report 2014 Investment Company with Variable Capital Incorporated under Luxembourg Law Contents Semiannual report 2014 for the period from January

More information

HSBC Fund of Funds Limited. Annual Report June 2008

HSBC Fund of Funds Limited. Annual Report June 2008 Annual Report June 2008 Contents Bond Class Manager s Report 1 Equity Class Manager s Report 2 Independent Auditors Report 3 Statements Statements of Assets & Liabilities 4 Statements of Net Assets 5

More information

Franklin Templeton Investment Funds

Franklin Templeton Investment Funds Franklin Templeton Investment Funds Online ID Name CRNCY Description L4058R498 FRANK EUROPEAN GRWTH A ACC EUR The Fund's objective is long term capital appreciation. The Fund invests at least two thirds

More information

Investing 200: Behind the scenes on Western s two largest funds

Investing 200: Behind the scenes on Western s two largest funds Investing 200: Behind the scenes on Western s two largest funds Martin Bélanger Director, Investments November 20, 2015 Human Resources Disclaimer This presentation material was created to educate and

More information

Ausländische kollektive Kapitalanlagen Mutationen - September 2008

Ausländische kollektive Kapitalanlagen Mutationen - September 2008 Ausländische kollektive Kapitalanlagen Mutationen - September 2008 Zum Vertrieb in oder von der Schweiz aus genehmigt: CapitalATWork Umbrella Fund - Fundamental Eurostocks RBC Dexia Investor Services Bank

More information

Fund guide. Flexible Retirement Plan (Personal Pension and Income Drawdown with SIPP Options) Prudential Investment Plan Flexible Investment Plan

Fund guide. Flexible Retirement Plan (Personal Pension and Income Drawdown with SIPP Options) Prudential Investment Plan Flexible Investment Plan A Fund guide Flexible Retirement Plan (Personal Pension and Income Drawdown with SIPP Options) Prudential Investment Plan Flexible Investment Plan Introduction to this guide We know that choosing which

More information

Dynamic Diversified Growth Fund

Dynamic Diversified Growth Fund Dynamic Diversified Growth Fund with BlackRock Investment Management (UK) Limited Customer Brochure BlackRock is a truly global firm that manages assets for clients in Europe, North and South America,

More information

HSBC Global Currency Fund (USD) Overview

HSBC Global Currency Fund (USD) Overview HSBC GLOBAL ASSET MANAGEMENT HSBC Global Currency Fund (USD) Overview September 2009 The Currency Market STRUCTURE Decentralised 'interbank' market Main participants: Central Banks, commercial and investment

More information

Investment alteration form

Investment alteration form Pru Flexible Retirement Plan (Personal Pension and Income Drawdown with SIPP options) Investment alteration form Please use black ink and write in CAPITAL LETTERS or tick as appropriate. Any corrections

More information

Individual Savings Account and Investment Account. Sterling panel funds guide

Individual Savings Account and Investment Account. Sterling panel funds guide Individual Savings Account and Investment Account Sterling panel funds guide Contents Introduction 3 List of current investment funds by sector 4 Investment choice and flexibility 7 Fund risks 8 Managed

More information

Investimenti collettivi di capitale esteri Mutazioni Febbraio 2014

Investimenti collettivi di capitale esteri Mutazioni Febbraio 2014 Investimenti collettivi di capitale esteri Mutazioni Febbraio 2014 Approvato alla distribuzione in o partire della Svizzera: AMUNDI TRESO 12 MOIS (F01027439) Rappresentante: CACEIS (Switzerland) SA, Nyon

More information

Finding the fix for fixed income. John Stopford Co-Head of Multi-Asset, Portfolio Manager

Finding the fix for fixed income. John Stopford Co-Head of Multi-Asset, Portfolio Manager Finding the fix for fixed income John Stopford Co-Head of Multi-Asset, Portfolio Manager The need for income is increasing It s not just a developed market issue Projected demographic changes across male*

More information

Platform Brochure Online Support for Your Platform Account. www.capitalplatforms.com

Platform Brochure Online Support for Your Platform Account. www.capitalplatforms.com Platform Brochure Online Support for Your Platform Account www.capitalplatforms.com Introduction The Fund Platform provides a solution offering access to an unrivalled choice of offshore mutual funds,

More information

Zurich pensions fund guide

Zurich pensions fund guide Zurich pensions fund guide Contents Introduction 3 List of current investment funds by sector 4 Investment choice and flexibility 5 Fund risks 6 Managed funds 7 Multimanaged funds 9 UK equity funds 11

More information

FERI EuroRating Awards 2016 Deutschland

FERI EuroRating Awards 2016 Deutschland FERI EuroRating Awards 2016 Deutschland Fonds Gesellschaft Fonds Gesellschaft Kategorie 1: Aktien Asien Pazifik ex Japan Kategorie 8: Aktien Welt Comgest Growth Asia Pac ex Japan Comgest Goldman Sachs

More information

Global Dynamic Equity Fund

Global Dynamic Equity Fund Global Dynamic Equity Fund half-yearly short report for the period 1 January 2010 to 30 June 2010 Terms in italics are explained in the glossary at the end of this document. fund objective The Fund aims

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 1) Taking into consideration that the assets have reached a level

More information

THE CASE FOR EMERGING MARKET CORPORATE BONDS October 2013

THE CASE FOR EMERGING MARKET CORPORATE BONDS October 2013 THE CASE FOR ERGING MARKET CORPORATE BONDS October 2013 THIS DOCUMENT IS FOR PROFESSIONAL CLIENTS AND INSTITUTIONAL/QUALIFIED INVESTORS ONLY. THE CONTENT IS NOT TO BE VIEWED BY, OR USED WITH, RETAIL INVESTORS.

More information

Investment Strategy for Pensions Actuaries A Multi Asset Class Approach

Investment Strategy for Pensions Actuaries A Multi Asset Class Approach Investment Strategy for Pensions Actuaries A Multi Asset Class Approach 16 January 2007 Representing Schroders: Neil Walton Head of Strategic Solutions Tel: 020 7658 2486 Email: Neil.Walton@Schroders.com

More information

Receiving PARVEST Sub-funds Exchange Main code ISIN Sub-fund Class. Merging BNP Paribas L1 Sub-funds. Sub-fund Category

Receiving PARVEST Sub-funds Exchange Main code ISIN Sub-fund Class. Merging BNP Paribas L1 Sub-funds. Sub-fund Category BP Paribas L1 SCAV under Luxembourg law UCTS class Luxembourg Trade and Companies Register o. B 32.327 otice to shareholders Bond Asia ex-,, Bond Euro High Yield, Bond, Bond World Local, Bond World High

More information