BANQUE CARNEGIE FUND SICAV Société d'investissement à Capital Variable

Size: px
Start display at page:

Download "BANQUE CARNEGIE FUND SICAV Société d'investissement à Capital Variable"

Transcription

1 Société d'investissement à Capital Variable UNAUDITED SEMI-ANNUAL REPORT 30 JUNE 2013 R.C.S. Luxembourg B Subscriptions are only valid if made on the basis of the current prospectus accompanied by the latest annual report and the latest semi-annual report if published after the annual report

2 TABLE OF CONTENTS GENERAL INFORMATION Management and Administration 3 Board of Directors 3 FINANCIAL STATEMENTS Statement of Net Assets 4 Net Asset Value per share 4 Statement of Operations and Changes in Net Assets 5 Statement of Changes in Number of Shares Outstanding 6 SECURITIES PORTFOLIO Banque Carnegie Fund SICAV - Euro Bond Fund 7-8 Banque Carnegie Fund SICAV - High Yield Bond Fund 9-10 NOTES TO THE FINANCIAL STATEMENTS

3 MANAGEMENT AND ADMINISTRATION REGISTERED OFFICE INVESTMENT MANAGER Centre Europe Banque Carnegie Luxembourg S.A. 5, Place de la Gare Centre Europe L-1616 Luxembourg 5, Place de la Gare L-1616 Luxembourg CUSTODIAN BANK LEGAL COUNSEL JP Morgan Bank Luxembourg S.A. Bonn Schmitt Steichen 6, Route de Tréves 22-24, Rives de Clausen L-2633 Senningerberg L-2165 Luxembourg Grand Duchy of Luxembourg FUND ADMINISTRATOR, REGISTRAR AND TRANSFER AGENT Carnegie Fund Services S.A. Centre Europe 5, Place de la Gare L-1616 Luxembourg AUDITOR PricewaterhouseCoopers S.à r.l. 400, Route d'esch L-1471 Luxembourg BOARD OF DIRECTORS CHAIRMAN Bruno FREREJEAN Co-Managing Director Banque Carnegie Luxembourg S.A. DIRECTORS Ann-Charlotte BYSTRÖM EEK Chief Operating Officer Carnegie Investment Bank AB Jean-Marc Delmotte Managing Director Carnegie Fund Services S.A. 3

4 STATEMENT OF NET ASSETS AS AT 30 JUNE 2013 COMBINED EURO BOND FUND HIGH YIELD BOND FUND (EUR) (EUR) (EUR) ASSETS Investments at market value (Note 2.1) 19,381, ,154, ,227, Cash at banks 5,218, ,349, , Interest receivable on bonds 216, , , Other receivables Unrealised gain on forward foreign exchange contracts (Note 5) 48, , , Total Assets 24,864, ,626, ,237, LIABILITIES Payable on investments purchased (505,897.51) 0.00 (505,897.51) Payable on redemptions (28,727.41) (28,727.41) 0.00 Subscription tax payable ("taxe d'abonnement") (3,033.55) (2,073.12) (960.43) Unrealised depreciation on forward foreign exchange contracts (Note 5) (22,400.64) (273.47) (22,127.17) Other Liabilities (10,218.20) (6,970.18) (3,248.02) Total Liabilities (560,059.11) (38,044.18) (532,233.13) NET ASSET VALUE 24,294, ,588, ,705, NET ASSET VALUE PER SHARE AS AT 30 JUNE 2013 EURO BOND FUND (EUR) HIGH YIELD BOND FUND (EUR) Net asset value per share The accompanying notes form an integral part of this financial report 4

5 STATEMENT OF OPERATIONS AND CHANGES IN NET ASSETS FOR THE PERIOD ENDED 30 JUNE 2013 COMBINED EURO BOND FUND HIGH YIELD BOND FUND (EUR) (EUR) (EUR) INCOME Dividends, net (Note 2.4) Interest on bonds, net (Note 2.4) 513, , , Other income Total Income 513, , , EXPENSES Investment management fee (Note 7) (38,459.45) (25,972.53) (12,486.92) Custody and administration fee (Note 5) (22,405.71) (14,056.08) (8,349.63) Taxe d abonnement (Note 4) (6,154.89) (4,219.10) (1,935.79) Bank and interest expenses (2,618.41) (1,428.71) (1,189.70) Total Expenses (69,638.46) (45,676.42) (23,962.04) Net investment income 444, , , Net realised gains/(losses) on investments (Note 2.2) (268,644.02) 38, (307,030.07) Net realised gains/(losses)on forward foreign exchange contracts (Note 2.3) (189,999.49) (138,585.35) (51,414.14) Net realised gains/(losses) for the year (14,402.23) 104, (119,029.51) Change in net unrealised appreciation / (depreciation) on investments (8,472.91) (64,771.82) 56, Change in net unrealised appreciation / (depreciation) on options Change in net unrealised appreciation / (depreciation) on forward foreign exchange contrats 45, , , Result of operations for the year 23, , (46,638.51) Subscriptions 2,420, ,344, ,075, Redemptions (6,832,093.67) (3,070,670.31) (3,761,423.36) Increase / (Decrease) in net assets (4,388,490.37) (1,656,313.04) (2,732,177.33) Net assets at the beginning of the year 28,682, ,245, ,437, NET ASSETS AT THE END OF THE PERIOD 24,294, ,588, ,705, The accompanying notes form an integral part of this financial report 5

6 STATEMENT OF CHANGES IN NUMBER OF SHARES OUTSTANDING FOR THE PERIOD ENDED 30 JUNE 2013 EURO BOND FUND HIGH YIELD BOND FUND Shares outstanding as at 1 January , , Shares issued 9, , Shares redeemed (22, ) (35, ) Shares outstanding as at 30 June , , The accompanying notes form an integral part of this financial report 6

7 - EURO BOND FUND SECURITIES PORTFOLIO AS AT 30 JUNE 2013 NOMINAL SECURITY DESCRIPTION MARKET % VALUE OF NET (EUR) ASSETS Transferable Securities Admitted To An Official Exchange Listing Bonds Germany 500,000 Aviva 6.875% (Variable) 20/05/58 572, ,000,000 Citigroup 0.402% FRN 09/02/16 985, ,000 Dong Energy 5.5% Var. 29/06/15 733, ,000,000 European Investment Bank FRN 09/01/15 1,003, ,000 Sparebanken 40 FRN 23/01/14 900, ,000 Vattenfall Treasury FRN 29/06/15 524, ,720, Ireland 500,000 ELM (Swiss Life) 5.849% (Float) Perpetual 12/04/17 491, , Luxembourg 10,000,000 A.P. Moller - Maersk FRN 16/12/14 1,282, ,000 DNB NOR Bank 4.375% 24/02/21 570, ,000,000 Nykredit Bank FRN 30/01/14 1,009, ,862, Netherlands 500,000 Achmea 5.125% (Float) Perpetual 24/06/15 497, ,000 Rabobank FRN 09/05/35 508, ,000 Tennet Holding 6.655% (Float) Perpetual 01/06/17 546, ,552, Norway 2,000,000 Seadrill FRN 12/03/18 250, , Sweden 4,000,000 Hemsö Fastighets FRN 23/05/15 460, ,000,000 Svensk Fastighetsfinansiering II FRN 21/12/17 572, ,000,000 SBAB Bank 3.432% FRN 01/02/17 478, ,511, United States of America 1,000,000 Eksportfinans 3% 17/11/14 765, , TOTAL BONDS 12,154, TOTAL TRANSFERABLE SECURITIES ADMITTED TO AN OFFICIAL EXCHANGE LISTING 12,154, TOTAL SECURITIES PORTFOLIO 12,154,

8 - EURO BOND FUND INDUSTRY SECTOR ANALYSIS AS AT 30 JUNE 2012 SECTOR DESCRIPTION % OF NET ASSETS Corporate Bonds A statement of changes in the composition of the portfolio is available to Shareholders free of charge on request from the Fund's registered office The accompanying notes form an integral part of this financial report 8

9 - HIGH YIELD BOND FUND SECURITIES PORTFOLIO AS AT 30 JUNE 2013 NOMINAL SECURITY DESCRIPTION MARKET % VALUE OF NET (EUR) ASSETS Transferable Securities Admitted To An Official Exchange Listing Bonds Germany 300,000 Bank of Scotland Lloyds (Float, Perp.) 31/05/15 327, ,000 Direct Line Insurance 9.25% (Variable) 27/04/42 555, , Ireland 545,000 Cloverie Zurich 8.25% (Float) Perpetual 18/01/18 475, , Luxembourg 500,000 Danske Bank 7.125% (Variable) 21/09/37 396, ,000 Swiss Reinsurane 8.25% (Variable) Perpetual 01/09/18 409, , Netherlands 500,000 Rabobank FRN 09/05/35 508, , Norway 4,000,000 Det Norske Oljeselskap FRN 02/07/20 505, ,000,000 Seadrill FRN 12/03/18 752, ,258, Sweden 5,000,000 Svensk Fastighetsfinansiering II FRN 21/12/17 572, , United Kingdom 500,000 Aberdeen 7% Perpetual 01/03/18 382, ,000 Lloyds TSB Bank Perpetual 13% PERPETUAL 423, ,000 Nordea Bank 8.375% (Var.) Perpetual 25/03/15 414, ,000 Prudential 6.5% Perpetual 23/06/49 374, ,000 Santos Finance 8.25% (Float 0917) 22/09/70 566, ,000 Scottish Widows 5.125% (Float) Perpetual 24/09/15 562, ,723, TOTAL BONDS 7,227, TOTAL TRANSFERABLE SECURITIES ADMITTED TO AN OFFICIAL EXCHANGE LISTING 7,227, TOTAL SECURITIES PORTFOLIO 7,227,

10 - HIGH YIELD BOND FUND INDUSTRY SECTOR ANALYSIS AS AT 30 JUNE 2013 SECTOR DESCRIPTION % OF NET ASSETS Corporate Bonds A statement of changes in the composition of the portfolio is available to Shareholders free of charge on request from the Fund's registered office The accompanying notes form an integral part of this financial report 10

11 NOTES TO THE FINANCIAL STATEMENTS 1 GENERAL BANQUE CARNEGIE FUND SICAV, the Company, was incorporated as a Société Anonyme qualifying as a Société d Investissement à Capital Variable with multiple Sub-Funds on 29 June The company is a Part II Fund of the law of 17 December 2010 and does not qualify as an Undertakings for Collective Investment in Transferable Securities. It is established for an undetermined duration from the date of incorporation. The Company presently contains two Sub-Funds: - Banque Carnegie Fund SICAV - Euro Bond Fund, - Banque Carnegie Fund SICAV - High Yield Bond Fund. Banque Carnegie Fund SICAV Nordic Equity Fund has been converted into Carnegie Investment Fund Nordic Equity Fund on January 01, SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES These financial statements are established in accordance with the Luxembourg legal and regulatory requirements concerning undertakings for collective investment. 2.1 Valuation of investments (a) The value of any cash at hand or on deposit, bills and demand notes and accounts receivable, prepaid expenses, dividends and interests declared or due but not yet collected will be deemed to be the full value thereof, unless it is unlikely that such values are received in full, in which case the value thereof will be determined by deducting such amount the Directors consider appropriate to reflect the true value thereof. (b) Securities and money market instruments listed on a stock exchange or traded on any other regulated market will be valued at the last available price on such stock exchange or market. If a security is listed on several stock exchanges or markets, the last available price on the stock exchange or market, which constitutes the main market for such securities, will be determining. (c) Securities and money market instruments not listed on any stock exchange or traded on any regulated market will be valued at their last available market price. (d) Securities for which no price quotation is available or for which the price referred to in (b) and/or (c) is not representative of the fair market value, will be valued prudently, and in good faith on the basis of their reasonable foreseeable sales prices. (e) Contracts for differences are valued at fair value based on the last available price of the underlying security. (f) Investments in investment funds of the open ended type are taken at their latest net asset values reported by the administrator of the relevant investment fund. (g) Financial futures contracts (on securities, interest rates and indices) are valued at the exchange quoted settlement price. While the contracts are open, unrealised gains and losses are recorded on "mark-to market" basis at the valuation date. When a contract is closed, the Fund records a realised gain or loss equal to the difference between the proceeds from, or cost of, the closing transaction and the price at which the contract was originally written. (h) Options contracts (on securities, currencies, interest rates and indices) are valued on the basis of the last available trade price. (i) Forward foreign exchange contracts are valued by reference to the forward rate prevailing at the valuation date. (j) Contracts for which no price quotation is available or for which the price referred to in (g) and/or (h) is not representative of the fair market value, will be valued prudently, and in good faith on the basis of their reasonable foreseeable sales prices. 11

12 NOTES TO THE FINANCIAL STATEMENTS 2 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES (CONTINUED) 2.1 Realised gains and losses on investments Realised gains and losses on sales of investments have been determined on the average cost basis and include transaction costs. 2.2 Foreign currency translation The combined financial statements of the Company are maintained in EUR. The combined financial statements are the sum of the Sub-Funds financial statements equivalent in EUR translated, where applicable, at the rate of exchange ruling as at 30 June The market value of the investments and other assets and liabilities expressed in currencies other than the base currency of the Sub-Fund have been converted at the rates of exchange ruling as at 30 June The cost of investments in currencies other than the base currency of the Sub-Fund is converted at the rates of exchange prevailing at each Net Asset Value calculation date. The realised as unrealised gains and losses on foreign exchange are recognised in the Statement of Operations and Changes in Net Assets. Income and expenses expressed in currencies other than the reference currency are converted at exchange rates ruling at the transaction date. 2.3 Dividend and interest income Dividends are shown net of withholding tax deducted at source, and are recorded as income on the exdividend date. Interest income is accrued on a daily basis. 3 EXCHANGE RATES AS AT 30 JUNE USD = EUR 1 NOK = EUR 1 DKK = EUR 1 SEK = EUR 1 GBP = EUR 4 TAXATION The Company is registered under the Luxembourg law as an investment company (Société d Investissement à Capital Variable SICAV ). Accordingly, no Luxembourg income or capital gains tax is, at present, payable. It is subject, however, to an annual taxe d abonnement calculated at the annual rate of 0.05% of the net asset value of the Company at the end of each quarter, excluding investments in other Luxembourg funds already subject to that tax. This tax is payable quarterly. 5 CUSTODY FEES AND ADMINISTRATION FEES In consideration for its services as Custodian, Banque Carnegie Luxembourg S.A. will receive a fixed fee of 0.1% calculated and accrued on each Valuation Date and payable monthly. In consideration for its services as Administrator, Carnegie Fund Services S.A. will receive a fixed fee of 0.1% calculated and accrued on each Valuation Date and payable monthly. 12

13 NOTES TO THE FINANCIAL STATEMENTS 6 PLEDGES The sub-funds may borrow the equivalent of up to 10% of their total net assets for investment purposes. The assets of the sub-funds are pledged in favour of the Custodian to guarantee the liabilities of the sub-funds. 7 INVESTMENT MANAGEMENT FEE In consideration for its services, the Investment Manager shall be paid a management fee based on the net assets of each Sub-Fund as determined on each valuation date. The fee is accrued daily and payable monthly. The rate of management fee applicable to each Sub-Fund, in % of the total net assets per year, is as follows: - Banque Carnegie Fund SICAV - Euro Bond Fund - Banque Carnegie Fund SICAV - High Yield Bond Fund 0.30% 0.30% 13

Unaudited Semi-Annual Report

Unaudited Semi-Annual Report Société d Investissement à Capital Variable R.C.S. Luxembourg B 165541 Unaudited Semi-Annual Report For the period ended 30 June 2013 Subscriptions cannot be received on the basis of financial reports.

More information

INSINGER DE BEAUFORT MANAGER SELECTION SICAV

INSINGER DE BEAUFORT MANAGER SELECTION SICAV (Société d'investissement à Capital Variable) Semi-annual Report and Unaudited Financial Statements as at June 30, 2010 R.C.S. Luxembourg: B-75 761 No subscription can be received on the basis of financial

More information

Private Bank Funds I. (formerly JPMorgan Private Bank Funds I) Société d Investissement à Capital Variable, Luxembourg. (R.C.S. No.

Private Bank Funds I. (formerly JPMorgan Private Bank Funds I) Société d Investissement à Capital Variable, Luxembourg. (R.C.S. No. Société d Investissement à Capital Variable, Luxembourg (R.C.S. No. B 114 378) UNAUDITED SEMI-ANNUAL REPORT 30 SEPTEMBER 2015 Unaudited Semi-Annual Report Contents Board Directors 1 Management and Administration

More information

SEF SICAV PART II. Unaudited semi-annual report for the period from January 30, 2014 (date of incorporation) to June 30, 2014

SEF SICAV PART II. Unaudited semi-annual report for the period from January 30, 2014 (date of incorporation) to June 30, 2014 Société d Investissement à Capital Variable à compartiments multiples Unaudited semi-annual report for the period from January 30, 2014 (date of incorporation) to June 30, 2014 R.C.S. Luxembourg B 184.721

More information

Unaudited Semi-Annual Report

Unaudited Semi-Annual Report AMREGO I SICAV Société d Investissement à Capital Variable R.C.S. Luxembourg B 165541 Unaudited Semi-Annual Report For the period ended 30 June 2015 Subscriptions cannot be received on the basis of financial

More information

VAM MANAGED FUNDS (LUX)

VAM MANAGED FUNDS (LUX) VAM MANAGED FUNDS (LUX) Société d'investissement à Capital Variable (Investment Company organised under the laws of the Grand Duchy of Luxembourg) SEMI-ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS

More information

INSINGER DE BEAUFORT MANAGER SELECTION SICAV

INSINGER DE BEAUFORT MANAGER SELECTION SICAV (Société d'investissement à Capital Variable) Semi-Annual Report and Unaudited Financial Statements For the period ended June 30, 2014 R.C.S. Luxembourg: B-75.761 No subscription can be received on the

More information

How To Manage A Subfund

How To Manage A Subfund Dexia Equities L Luxembourg Open-ended Investment Company (SICAV) Simplified prospectus September 2005 Dexia Equities L Luxembourg Open-ended Investment Company (SICAV ) 69, route d Esch L-1470 Luxembourg

More information

FIDEURAM FUND. Semi-annual report JUNE 30, 2015

FIDEURAM FUND. Semi-annual report JUNE 30, 2015 FIDEURAM FUND Semiannual report JUNE 30, 2015 No subscriptions can be received on the basis of annual reports. Subscriptions are only valid if made on the basis of the current prospectus accompanied by

More information

PRODUCT HIGHLIGHTS SHEET

PRODUCT HIGHLIGHTS SHEET Prepared on 18 January 2016 This Product Highlights Sheet is an important document. It highlights the key terms and risks of this investment product and complements the Singapore Prospectus 1 ( Prospectus

More information

Investors in the D share class of the Contributing Fund will be moved into the A1 share class of the Receiving Fund

Investors in the D share class of the Contributing Fund will be moved into the A1 share class of the Receiving Fund Schroder Alternative Solutions Société d'investissement à Capital Variable 5, rue Höhenhof, L-1736 Senningerberg Grand Duchy of Luxembourg Tel : (+352) 341 342 202 Fax : (+352) 341 342 342 18 May 2016

More information

Schroder International Selection Fund Emerging Markets Debt Absolute Return (the Fund )

Schroder International Selection Fund Emerging Markets Debt Absolute Return (the Fund ) Prepared on: 9 October 2015 This Product Highlights Sheet is an important document. It highlights the key terms and risks of this investment product and complements the Singapore Prospectus (the Prospectus

More information

JRS SICAV Investment Company (SICAV), Luxembourg

JRS SICAV Investment Company (SICAV), Luxembourg Unaudited semi-annual report JRS SICAV Investment Company (SICAV), Luxembourg R.C.S. Luxembourg B 149 836 Notice The sole legally binding basis for the purchase of shares of the Fund described in this

More information

HSBC International Select Fund MultiAlpha North America Equity

HSBC International Select Fund MultiAlpha North America Equity Simplified Prospectus JUNE 2009 HSBC International Select Fund MultiAlpha North America Equity GEDI:980234v8 GEDI:980234v10 GEDI:980234v13 GEDI:980234v15 VISA 2009/50683-3213-13-PS L'apposition du visa

More information

FMG GLOBAL HEDGE FUND LTD. Financial Statements (With Auditors Report Thereon) March 31, 2010 and 2009

FMG GLOBAL HEDGE FUND LTD. Financial Statements (With Auditors Report Thereon) March 31, 2010 and 2009 Financial Statements (With Auditors Report Thereon) and 2009 KPMG Crown House Telephone 441 295-5063 4 Par-la-Ville Road Fax 441 295-9132 Hamilton HM 08, Bermuda www.kpmg.bm Mailing Address: P.O. Box HM

More information

LONG TERM INVESTMENT FUND (SIA)

LONG TERM INVESTMENT FUND (SIA) November 2010 Simplified Prospectus LONG TERM INVESTMENT FUND (SIA) LONG TERM INVESTMENT FUND (SIA) Natural Resources* Important Information Investment objective Investment policy This simplified prospectus

More information

Simplified Prospectus

Simplified Prospectus October 2007 Simplified Prospectus Robeco Capital Growth Funds Robeco US Premium Equities 1 Important Investment objective and policy This simplified prospectus contains key about the Sub-Fund. If you

More information

Unaudited financial report for the. sixt-month period ended 30 June 2015. Deutsche Bahn Finance B.V. Amsterdam

Unaudited financial report for the. sixt-month period ended 30 June 2015. Deutsche Bahn Finance B.V. Amsterdam Unaudited financial report for the sixt-month period ended 30 June 2015 Deutsche Bahn Finance B.V. Table of contents Annual report of the directors 3 Balance sheet as at 30 June 2015 4 Profit and loss

More information

GUARDIAN CANADIAN BOND FUND

GUARDIAN CANADIAN BOND FUND GUARDIAN CANADIAN BOND FUND FINANCIAL STATEMENTS DECEMBER 31, 2010 March 11, 2011 PricewaterhouseCoopers LLP Chartered Accountants PO Box 82 Royal Trust Tower, Suite 3000 Toronto-Dominion Centre Toronto,

More information

Varius Global Equity Fund

Varius Global Equity Fund Varius Global Equity Fund Supplement to the Prospectus dated 12 May 2016 for Platform Capital UCITS ICAV An umbrella fund with segregated liability between sub-funds This Supplement contains specific information

More information

Roche Finance Europe B.V. - Financial Statements 2013

Roche Finance Europe B.V. - Financial Statements 2013 Roche Finance Europe B.V. - Financial Statements 2013 0 Financial Statements 2011 Roche Finance Europe B.V. Management Report 1. Review of the year ended 31 December 2013 General Roche Finance Europe B.V.,

More information

PROSPECTUS. CARNEGIE Fonder Portfolio II

PROSPECTUS. CARNEGIE Fonder Portfolio II PROSPECTUS CARNEGIE Fonder Portfolio II Société d'investissement à capital variable à compartiments multiples incorporated under the laws of the Grand Duchy of Luxembourg Subscriptions can only be received

More information

CGWM Total Return Bond Fund

CGWM Total Return Bond Fund To us there are no foreign markets. TM CGWM Total Return Bond Fund Supplement dated 6 October 2015 to the Prospectus dated 6 October 2015 This Supplement contains specific information in relation to the

More information

Total Capital International Period from January 1 to March 31, 2014

Total Capital International Period from January 1 to March 31, 2014 KPMG Audit ERNST & YOUNG Audit This is a free translation into English of a report issued in French and it is provided solely for the convenience of English-speaking users. This report should be read in

More information

JULIUS BAER MULTIBOND Société d'investissement à capital variable 25, Grand-Rue, L 1661 Luxembourg R.C.S. Luxembourg B-32.

JULIUS BAER MULTIBOND Société d'investissement à capital variable 25, Grand-Rue, L 1661 Luxembourg R.C.S. Luxembourg B-32. JULIUS BAER MULTIBOND Société d'investissement à capital variable 25, Grand-Rue, L 1661 Luxembourg R.C.S. Luxembourg B-32.187 (the Company ) Notice to the shareholders of the Subfunds ABS FUND, ABSOLUTE

More information

FinEx Funds plc. CONDENSED INTERIM REPORT and UNAUDITED FINANCIAL STATEMENTS. For the 6 month period from 1 October 2012 to 31 March 2013

FinEx Funds plc. CONDENSED INTERIM REPORT and UNAUDITED FINANCIAL STATEMENTS. For the 6 month period from 1 October 2012 to 31 March 2013 CONDENSED INTERIM REPORT and UNAUDITED FINANCIAL STATEMENTS For the Table of Contents Page Organisation 2 Investment Manager s Report 3 Statement of Comphrensive Income 4 Statement of Financial Position

More information

BL A multiple sub-fund SICAV governed by Luxembourg law

BL A multiple sub-fund SICAV governed by Luxembourg law A multiple sub-fund SICAV SIMPLIFIED PROSPECTUS JUNE 2010 Subscriptions may only be effected on the basis of this Prospectus or the complete prospectus, dated JUNE 2010. This Prospectus should be read

More information

Credit Suisse Equity Fund Management Company Société Anonyme, 5, rue Jean Monnet L-2180 Luxembourg, R.C.S. Luxembourg B 44 867 www.credit-suisse.

Credit Suisse Equity Fund Management Company Société Anonyme, 5, rue Jean Monnet L-2180 Luxembourg, R.C.S. Luxembourg B 44 867 www.credit-suisse. Credit Suisse Equity Fund Management Company Société Anonyme, 5, rue Jean Monnet L-2180 Luxembourg, R.C.S. Luxembourg B 44 867 www.credit-suisse.com 6 April 2010 Credit Suisse Equity Fund (Lux) Dear Sirs,

More information

Unaudited financial report for the six-month period ending 30 June 2015. RWE Finance B.V. s-hertogenbosch, the Netherlands

Unaudited financial report for the six-month period ending 30 June 2015. RWE Finance B.V. s-hertogenbosch, the Netherlands Unaudited financial report for the six-month period ending 30 June 2015 RWE Finance B.V. s-hertogenbosch, the Netherlands Content Interim report of the directors 3-5 Interim report of the directors 4-5

More information

31 July 2015 For the period beginning 1 January 2015 and ending 31 July 2015

31 July 2015 For the period beginning 1 January 2015 and ending 31 July 2015 Interim accounts Draft 31 July 2015 Tank International Lux S.à r.l. Société à responsabilité limitée 46A, Avenue J.F. Kennedy L-1855 Luxembourg Luxembourg R.C.S. Luxembourg: B 167432 Share capital: EUR

More information

PROSPECTUS CARNEGIE WEALTH MANAGEMENT FUND SICAV

PROSPECTUS CARNEGIE WEALTH MANAGEMENT FUND SICAV PROSPECTUS CARNEGIE WEALTH MANAGEMENT FUND SICAV Société d'investissement à Capital Variable à compartiments multiples Containing the following Sub-Funds: Carnegie Wealth Management Fund Sicav Shield Fund

More information

NN (L) PATRIMONIAL. Société d'investissement à Capital Variable. Semi-annual report and unaudited financial statements. R.C.S. Luxembourg N B 24 401

NN (L) PATRIMONIAL. Société d'investissement à Capital Variable. Semi-annual report and unaudited financial statements. R.C.S. Luxembourg N B 24 401 NN (L) PATRIMONIAL Société d'investissement à Capital Variable R.C.S. Luxembourg N B 24 401 Semiannual report and unaudited financial statements LUXEMBOURG Semiannual report and unaudited financial statements

More information

HERMES GLOBAL HIGH YIELD BOND FUND. (a sub-fund of Hermes Investment Funds public limited company) SUPPLEMENT

HERMES GLOBAL HIGH YIELD BOND FUND. (a sub-fund of Hermes Investment Funds public limited company) SUPPLEMENT If you are in any doubt about the contents of this Supplement, you should consult your stockbroker, bank manager, solicitor, accountant or other independent financial adviser. The Directors of the Company,

More information

Carnegie Fund V. Nominee Subscription Agreement 1. INVESTMENT DETAILS 2. SUBSCRIPTION PAYMENT DETAILS. Nominee ( Applicant ):

Carnegie Fund V. Nominee Subscription Agreement 1. INVESTMENT DETAILS 2. SUBSCRIPTION PAYMENT DETAILS. Nominee ( Applicant ): To: Nominee ( Applicant ): Carnegie Fund Services S.A Company name Acting as Administrator of Carnegie Fund V 5, place de la Gare 1616 Luxembourg Postcode /City Luxembourg +352 2648 78610 Contact person

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

Notice The sole legally binding basis for the purchase of units of the Funds described in this report is the latest valid Sales Prospectus with its

Notice The sole legally binding basis for the purchase of units of the Funds described in this report is the latest valid Sales Prospectus with its Notice The sole legally binding basis for the purchase of units of the Funds described in this report is the latest valid Sales Prospectus with its terms of contract. Page Additional Information to the

More information

Financial report 2014. Deutsche Bahn Finance B.V. Amsterdam

Financial report 2014. Deutsche Bahn Finance B.V. Amsterdam Financial report 2014 Deutsche Bahn Finance B.V. Table of contents Annual report of the directors 3 Balance sheet as at 31 December 2014 4 Profit and loss account for the year ended 31 December 2014 6

More information

Insinger de Beaufort Equity Income Fund ("Fund D") (Share series Fund D) Supplementary prospectus June 2011

Insinger de Beaufort Equity Income Fund (Fund D) (Share series Fund D) Supplementary prospectus June 2011 Insinger de Beaufort Equity Income Fund ("Fund D") (Share series Fund D) Supplementary prospectus June 2011 This is an English translation of the official Dutch prospectus. Should there be any inconsistencies

More information

Information regarding the change performance fee methodology for the HSBC GIF SICAV

Information regarding the change performance fee methodology for the HSBC GIF SICAV HSBC Global Investment Funds Information regarding the change performance fee methodology for the HSBC GIF SICAV The HSBC Global Investment Funds ( GIF ) Board has decided to amend the calculation methodology

More information

ORBIS SICAV ORBIS SICAV. Introductory ORBIS BOOKLET GLOBAL BALANCED FUND

ORBIS SICAV ORBIS SICAV. Introductory ORBIS BOOKLET GLOBAL BALANCED FUND ORBIS SICAV ORBIS SICAV Introductory BOOKLET ORBIS GLOBAL BALANCED FUND ORBIS SICAV Société d Investissement à Capital Variable, R.C.S. Luxembourg B 90 049 Registered Office Orbis SICAV 31, Z.A. Bourmicht

More information

Roche Capital Market Ltd Financial Statements 2014

Roche Capital Market Ltd Financial Statements 2014 Roche Capital Market Ltd Financial Statements 2014 1 Roche Capital Market Ltd - Financial Statements 2014 Roche Capital Market Ltd, Financial Statements Roche Capital Market Ltd, statement of comprehensive

More information

How To Settle A Fund In European Stock Exchange Trading

How To Settle A Fund In European Stock Exchange Trading Dealing Guide for Distributors and Intermediaries Capital Group Luxembourg funds Last update: November 2015 Table of contents About this document Important information Funds Contact details information

More information

Product Key Facts. PineBridge Global Funds PineBridge Global Emerging Markets Bond Fund. 22 December 2014

Product Key Facts. PineBridge Global Funds PineBridge Global Emerging Markets Bond Fund. 22 December 2014 Issuer: PineBridge Investments Ireland Limited Product Key Facts PineBridge Global Funds PineBridge Global Emerging Markets Bond Fund 22 December 2014 This statement provides you with key information about

More information

All times mentioned are Finnish time, and all banking days mentioned are Finnish banking days.

All times mentioned are Finnish time, and all banking days mentioned are Finnish banking days. Only the original Finnish-language rules have legal validity 1/7 SELIGSON & CO FUND MANAGEMENT COMPANY 18.11.2004 Special Fund Phalanx All times mentioned are Finnish time, and all banking days mentioned

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

CGWM Bond Fund. Supplement dated 11 November 2014 to the Prospectus dated 11 November 2014. Investment Objective. Investment Policy.

CGWM Bond Fund. Supplement dated 11 November 2014 to the Prospectus dated 11 November 2014. Investment Objective. Investment Policy. CGWM Bond Fund To us there are no foreign markets. TM Supplement dated 11 November 2014 to the Prospectus dated 11 November 2014 This Supplement contains specific information in relation to the CGWM Bond

More information

GUIDE TO THE SURVEY FINANCIAL BALANCE STATISTICS

GUIDE TO THE SURVEY FINANCIAL BALANCE STATISTICS 1(16) GUIDE TO THE SURVEY FINANCIAL BALANCE STATISTICS 1 GENERAL INFORMATION... 3 2 DEFINITION OF DATA... 3 2.1 Positions... 3 2.2... 3 2.3... 4 3 DEFINITION OF VARIABLES... 4 3.1 Financial assets... 4

More information

Schroder International Choice Portfolio - Schroder Global High Yield Fund (the Fund )

Schroder International Choice Portfolio - Schroder Global High Yield Fund (the Fund ) This Product Highlights Sheet is an important document. It highlights the key terms and risks of this investment product and complements the Prospectus¹. It is important to read the Prospectus before deciding

More information

db x-trackers II * Société d investissement à capital variable R.C.S. Luxembourg N B-124.284

db x-trackers II * Société d investissement à capital variable R.C.S. Luxembourg N B-124.284 Société d investissement à capital variable R.C.S. Luxembourg N B-124.284 Unaudited Semi-Annual Report For the period from 1 January 2015 to 30 June 2015 No subscription can be accepted on the basis of

More information

NOTICE TO SHAREHOLDERS OF. Nordea 1 Nordic Corporate Bond Fund Euro Hedged AND. Nordea 1 European Cross Credit Fund

NOTICE TO SHAREHOLDERS OF. Nordea 1 Nordic Corporate Bond Fund Euro Hedged AND. Nordea 1 European Cross Credit Fund NOTICE TO SHAREHOLDERS OF Nordea 1 Nordic Corporate Bond Fund Euro Hedged AND Nordea 1 European Cross Credit Fund It is brought to the attention of the shareholders of Nordea 1 Nordic Corporate Bond Fund

More information

GLG INVESTMENTS PLC GLG GLOBAL CONVERTIBLE UCITS FUND SIMPLIFIED PROSPECTUS 6 February 2009

GLG INVESTMENTS PLC GLG GLOBAL CONVERTIBLE UCITS FUND SIMPLIFIED PROSPECTUS 6 February 2009 GLG INVESTMENTS PLC GLG GLOBAL CONVERTIBLE UCITS FUND SIMPLIFIED PROSPECTUS 6 February 2009 This simplified prospectus contains key information in relation to GLG Global Convertible UCITS Fund (the Portfolio

More information

THE NT EUROPE (EX-UK) EQUITY INDEX FUND SUPPLEMENT TO THE PROSPECTUS DATED 17 NOVEMBER 2014 FOR NORTHERN TRUST INVESTMENT FUNDS PLC

THE NT EUROPE (EX-UK) EQUITY INDEX FUND SUPPLEMENT TO THE PROSPECTUS DATED 17 NOVEMBER 2014 FOR NORTHERN TRUST INVESTMENT FUNDS PLC THE NT EUROPE (EX-UK) EQUITY INDEX FUND SUPPLEMENT TO THE PROSPECTUS DATED 17 NOVEMBER 2014 FOR NORTHERN TRUST INVESTMENT FUNDS PLC 1 2 Supplement dated 17 November 2014 to the Prospectus dated 17 November

More information

PRODUCT HIGHLIGHTS SHEET

PRODUCT HIGHLIGHTS SHEET Prepared on 12 November 2015 This Product Highlights Sheet is an important document. It highlights the key terms and risks of the ILP Sub-Fund and complements the Product Summary. It is important to read

More information

SIMPLIFIED PROSPECTUS. PIMCO Funds: Global Investors Series plc CommoditiesPLUS Strategy Fund 9 February, 2010

SIMPLIFIED PROSPECTUS. PIMCO Funds: Global Investors Series plc CommoditiesPLUS Strategy Fund 9 February, 2010 SIMPLIFIED PROSPECTUS PIMCO Funds: Global Investors Series plc CommoditiesPLUS Strategy Fund 9 February, 2010 This Simplified Prospectus sets out information relating to the CommoditiesPLUS Strategy Fund

More information

HERMES US SMID EQUITY FUND. (a sub-fund of Hermes Investment Funds public limited company) SUPPLEMENT

HERMES US SMID EQUITY FUND. (a sub-fund of Hermes Investment Funds public limited company) SUPPLEMENT If you are in any doubt about the contents of this Supplement, you should consult your stockbroker, bank manager, solicitor, accountant or other independent financial adviser. The Directors of the Company,

More information

First quarter report 2013 2

First quarter report 2013 2 highlights... 3 Comments from the President and CEO. 4 Report from the board of directors. 4 Results 4 Balance sheet. 6 Export lending... 6 Local government lending... 6 Securities. 6 Funding.... 6 Liquidity....

More information

MUSCAT CAPITAL IPO FUND Managed by MUSCAT CAPITAL INTERIM CONDENSED FINANCIAL STATEMENTS (Un-Audited) For the period ended from 16 March 2015 to 30

MUSCAT CAPITAL IPO FUND Managed by MUSCAT CAPITAL INTERIM CONDENSED FINANCIAL STATEMENTS (Un-Audited) For the period ended from 16 March 2015 to 30 IPO FUND INTERIM CONDENSED FINANCIAL STATEMENTS (Un-Audited) For the period ended from 16 March 2015 to 30 June 2015 together with the Independent Auditor s Review Report IPO FUND INDEX PAGE Independent

More information

SSgA World Index Equity Fund. SIMPLIFIED PROSPECTUS SECTION A LEGAL

SSgA World Index Equity Fund. SIMPLIFIED PROSPECTUS SECTION A LEGAL Mutual fund in compliance with European regulations SSgA World Index Equity Fund. SIMPLIFIED PROSPECTUS SECTION A LEGAL Summary: Name: SSgA World Index Equity Fund. Legal form: French open-ended investment

More information

HUME EUROPEAN OPPORTUNITIES FUND. SUPPLEMENT TO THE PROSPECTUS FOR EUROPEAN WEALTH INVESTMENT FUND plc

HUME EUROPEAN OPPORTUNITIES FUND. SUPPLEMENT TO THE PROSPECTUS FOR EUROPEAN WEALTH INVESTMENT FUND plc HUME EUROPEAN OPPORTUNITIES FUND SUPPLEMENT TO THE PROSPECTUS FOR EUROPEAN WEALTH INVESTMENT FUND plc This document supplements the current prospectus for European Wealth Investment Fund plc (the Company)

More information

The base currency of the Sub-Fund EUR.

The base currency of the Sub-Fund EUR. UBS ETF SICAV Investment Company with Variable Capital Registered under Part I of the Luxembourg law of December 20, 2002 This simplified prospectus is valid as of 29 September 2009 September 2009 Simplified

More information

Roche Capital Market Ltd Financial Statements 2009

Roche Capital Market Ltd Financial Statements 2009 R Roche Capital Market Ltd Financial Statements 2009 1 Roche Capital Market Ltd, Financial Statements Reference numbers indicate corresponding Notes to the Financial Statements. Roche Capital Market Ltd,

More information

PKO Finance AB (publ) Annual report for the period 1 January 2014 -- 31 December 2014. (Corporate Identity Number 556693-7461)

PKO Finance AB (publ) Annual report for the period 1 January 2014 -- 31 December 2014. (Corporate Identity Number 556693-7461) PKO Finance AB (publ) Annual report for the period 1 January 2014 -- 31 December 2014 (Corporate Identity Number 556693-7461) c/o AB 1909 Corporate Services Norrlandsgatan 18 (Registered offices and headquarters)

More information

Min. Investment Class A Units Initial: USD 1,000 Additional: USD 250

Min. Investment Class A Units Initial: USD 1,000 Additional: USD 250 Issuer: PineBridge Investments Ireland Limited Product Key Facts PineBridge Global Funds PineBridge Global Emerging Markets Bond Fund 22 February 2013 This statement provides you with key information about

More information

Wells Fargo Bank, N.A. Collective Investment Funds. annual report

Wells Fargo Bank, N.A. Collective Investment Funds. annual report Wells Fargo Bank, N.A. Collective Investment Funds 2014 annual report Table of Contents Page Independent Auditors Report 1 Financial Statements: Statement of Operations 3 Statement of Changes in Net Assets

More information

Guide to Balance Statistics towards foreign countries: specification for Balance Statistics 1(14)

Guide to Balance Statistics towards foreign countries: specification for Balance Statistics 1(14) 1(14) Guide to Balance Statistics towards foreign countries: specification for Balance Statistics Deposits (from row 101)... 2 Rest of the world... 2 Allocation among countries... 2 Thousands of SEK...

More information

PRODUCT HIGHLIGHTS SHEET

PRODUCT HIGHLIGHTS SHEET Prepared on: 17 October 2013 This Product Highlights Sheet is an important document. It highlights the key terms and risks of this investment product and complements the Singapore Prospectus 1. It is important

More information

JRS SICAV Investment Company (SICAV), Luxembourg

JRS SICAV Investment Company (SICAV), Luxembourg Unaudited semi-annual report JRS SICAV Investment Company (SICAV), Luxembourg R.C.S. Luxembourg B 149 836 Notice The sole legally binding basis for the purchase of shares of the Fund described in this

More information

DWS (CH) Money Market Umbrella Fund

DWS (CH) Money Market Umbrella Fund DWS (CH) Money Market Umbrella Fund Simplified Prospectus Umbrella fund under Swiss law (Type Other funds for traditional investments ) June 2012 Simplified prospectus as of June 2012 Simplified prospectus

More information

BMO Global Asset Management (Asia) Limited 11 February 2016

BMO Global Asset Management (Asia) Limited 11 February 2016 Product Key Facts BMO MSCI EUROPE QUALITY HEDGED TO USD ETF BMO Global Asset Management (Asia) Limited 11 February 2016 Quick facts This is an exchange traded fund. This statement provides you with key

More information

PRODUCT HIGHLIGHTS SHEET

PRODUCT HIGHLIGHTS SHEET Prepared on: 19 October 2012 This Product Highlights Sheet is an important document. It highlights the key terms and risks of this investment product and complements the Singapore Prospectus 1. It is important

More information

VIII. Parent company financial statements Credit Suisse (Bank) 339 Report of the Statutory Auditors. 340 Financial review. 341 Statements of income

VIII. Parent company financial statements Credit Suisse (Bank) 339 Report of the Statutory Auditors. 340 Financial review. 341 Statements of income VIII Parent company financial statements Credit Suisse (Bank) 339 Report of the Statutory Auditors 340 Financial review 341 Statements of income 342 Balance sheets 343 Off-balance sheet business 344 Notes

More information

GTU Portfolio Trust GTU PORTFOLIO TRUST. Annual Financial Statements

GTU Portfolio Trust GTU PORTFOLIO TRUST. Annual Financial Statements GTU PORTFOLIO TRUST Annual Financial Statements December 31, 2011 MANAGEMENT RESPONSIBILITY FOR FINANCIAL REPORTING The accompanying financial statements have been prepared by Harvest Portfolios Group

More information

db x-trackers S&P 500 UCITS ETF (DR) Supplement to the Prospectus

db x-trackers S&P 500 UCITS ETF (DR) Supplement to the Prospectus db x-trackers S&P 500 UCITS ETF (DR) Supplement to the Prospectus This Supplement contains information in relation to db x-trackers S&P 500 UCITS ETF (DR) (the Fund ), a sub-fund of Concept Fund Solutions

More information

Section N: Cambridge University Endowment Fund: Reports and financial statements to 30 June 2013. Cambridge University Endowment Fund

Section N: Cambridge University Endowment Fund: Reports and financial statements to 30 June 2013. Cambridge University Endowment Fund Section N: Cambridge University Endowment Fund: Reports and financial statements to 30 June 2013 Cambridge University Endowment Fund Reports and financial statements 30 June 2013 IMPORTANT NOTICE The Cambridge

More information

TD Ameritrade Trust Company Collective Investment Funds for Employee Benefit Plans Retire Funds. Financial Reports May 31, 2015

TD Ameritrade Trust Company Collective Investment Funds for Employee Benefit Plans Retire Funds. Financial Reports May 31, 2015 TD Ameritrade Trust Company Collective Investment Funds for Employee Benefit Plans Financial Reports May 31, 2015 Contents Independent Auditor s Report 1-2 Financial Statements Statements of Financial

More information

FRONT STREET STRATEGIC YIELD FUND LTD.

FRONT STREET STRATEGIC YIELD FUND LTD. Financial Statements of FRONT STREET STRATEGIC YIELD FUND LTD. KPMG LLP Telephone (416) 777-8500 Chartered Accountants Fax (416) 777-8818 Bay Adelaide Centre Internet www.kpmg.ca 333 Bay Street Suite 4600

More information

SUPPLEMENT Davy Cautious Growth Fund

SUPPLEMENT Davy Cautious Growth Fund Davy Funds p.l.c. An open-ended umbrella investment company with variable capital and segregated liability between sub-funds incorporated with limited liability in Ireland under the Companies Acts 1963

More information

LAZARD GLOBAL ACTIVE FUNDS PUBLIC LIMITED COMPANY LAZARD PAN EUROPEAN EQUITY FUND. SIMPLIFIED PROSPECTUS DATE 27 August 2009

LAZARD GLOBAL ACTIVE FUNDS PUBLIC LIMITED COMPANY LAZARD PAN EUROPEAN EQUITY FUND. SIMPLIFIED PROSPECTUS DATE 27 August 2009 LAZARD GLOBAL ACTIVE FUNDS PUBLIC LIMITED COMPANY LAZARD PAN EUROPEAN EQUITY FUND SIMPLIFIED PROSPECTUS DATE 27 August 2009 This Simplified Prospectus contains key information in relation to the Lazard

More information

STANDARD LIFE EUROPEAN PRIVATE EQUITY TRUST PLC

STANDARD LIFE EUROPEAN PRIVATE EQUITY TRUST PLC This document is issued by Standard Life European Private Equity Trust PLC (the "Company") and is made available by SL Capital Partners LLP (the AIFM ) solely in order to make certain particular information

More information

Annual statement of accounts. Spesialfondet KLP Alfa Global Energi and Spesialfondet KLP Alfa Global Rente

Annual statement of accounts. Spesialfondet KLP Alfa Global Energi and Spesialfondet KLP Alfa Global Rente Annual statement of accounts Spesialfondet KLP Alfa Global Energi and Spesialfondet KLP Alfa Global Rente 1 Table of contents KLP Alfa Global Energi 3 Income statement 3 Financial position statement 4

More information

Investment Property Subfund and Share Classification

Investment Property Subfund and Share Classification G Fund Open ended investment company with variable capital (Société d Investissement à Capital Variable), Number: 1985 5, allée Scheffer, L 2520 Luxembourg CREATION OF AN OPEN ENDED INVESTMENT COMPANY

More information

Words from the President and CEO 3 Financial highlights 4 Highlights 5 Export lending 5 Local government lending 6 Funding 6 Results 6 Balance sheet

Words from the President and CEO 3 Financial highlights 4 Highlights 5 Export lending 5 Local government lending 6 Funding 6 Results 6 Balance sheet Words from the President and CEO 3 Financial highlights 4 Highlights 5 Export lending 5 Local government lending 6 Funding 6 Results 6 Balance sheet 7 Events after the balance sheet date 8 Income statement

More information

Simplified Prospectus

Simplified Prospectus HSBC Global Investment Funds Euroland Value Creation Simplified Prospectus Information relating to all Sub-Funds Important Information Investment Objectives This simplified prospectus contains key information

More information

Alandsbanken SICAV Société d'investissement à Capital Variable Luxembourg

Alandsbanken SICAV Société d'investissement à Capital Variable Luxembourg Unaudited semi-annual report Alandsbanken SICAV Société d'investissement à Capital Variable Luxembourg R.C.S. Luxembourg B 153 290 Subscriptions may be made only on the basis of the prospectus including

More information

Annual report for the financial year 2014-05-28-2014-12-31

Annual report for the financial year 2014-05-28-2014-12-31 1 PZU Finance AB (publ) Org nr Office translation Annual report for the financial year 2014-05-28-2014-12-31 The Board of Directors presents the following annual report Contents Page - Administration Report

More information

PRINCIPLES FOR PRODUCING AND SUBMITTING REPORTS

PRINCIPLES FOR PRODUCING AND SUBMITTING REPORTS December 2014 PRINCIPLES FOR PRODUCING AND SUBMITTING REPORTS (1) The balance sheet and income statement are in euros, rounded up to integers. Amounts recorded in foreign currencies must be converted into

More information

MGI BALANCED MANAGED FUND MERCER GLOBAL INVESTMENTS MANAGEMENT LIMITED

MGI BALANCED MANAGED FUND MERCER GLOBAL INVESTMENTS MANAGEMENT LIMITED The directors of Mercer PIF Fund plc (the Directors ) listed in the Prospectus under The Company accept responsibility for the information contained in the Prospectus and this Supplement. To the best of

More information

GUARDIAN EQUITY INCOME FUND

GUARDIAN EQUITY INCOME FUND GUARDIAN EQUITY INCOME FUND FINANCIAL STATEMENTS DECEMBER 31, 2013 March 28, 2014 Independent Auditor s Report To the Unitholders and Trustee of Guardian Equity Income Fund (the Fund) We have audited the

More information

ETFX FUND COMPANY PUBLIC LIMITED COMPANY

ETFX FUND COMPANY PUBLIC LIMITED COMPANY The Company and the Directors, whose names appear on page 131 of the Prospectus, are the persons responsible for the information contained in this Fund Supplement and accept responsibility accordingly.

More information

Cover photo: Sturlason

Cover photo: Sturlason Financial highlights 03 Report from the board of directors 04 Results 04 Balance sheet 05 Lending 05 Securities 05 Liquidity 06 Prospects for the second half-year of 2016 07 Events after the balance sheet

More information

ETFS Lombard Odier IM Euro Corporate Bond Fundamental GO UCITS ETF. FUND SUPPLEMENT No.16

ETFS Lombard Odier IM Euro Corporate Bond Fundamental GO UCITS ETF. FUND SUPPLEMENT No.16 ETFS Lombard Odier IM Euro Corporate Bond Fundamental GO UCITS ETF FUND SUPPLEMENT No.16 (A sub-fund of GO UCITS ETF Solutions Plc, an umbrella investment company with variable capital and segregated liability

More information

UNITED CORPORATIONS LIMITED ANNUAL REPORT

UNITED CORPORATIONS LIMITED ANNUAL REPORT ANNUAL REPORT 2010 THE FISCAL YEAR AT A GLANCE Year ended March 31 2010 (1) 2009 (1) Net equity value per Common Share (2)... $ 67.33 $ 54.81 Increase (decrease) in net assets from operations per Common

More information

Roche Capital Market Ltd Financial Statements 2012

Roche Capital Market Ltd Financial Statements 2012 R Roche Capital Market Ltd Financial Statements 2012 1 Roche Capital Market Ltd - Financial Statements 2012 Roche Capital Market Ltd, Financial Statements Reference numbers indicate corresponding Notes

More information

Audited Annual Financial Statements

Audited Annual Financial Statements Audited Annual Financial Statements for the year ended 31 December 2011 Swiss Life (Luxembourg) S.A. 25, route d'arlon L-8009 Strassen A limited company under Luxembourg law authorised by ministerial order

More information

LIFE ASSURANCE BUSINESS - REVENUE ACCOUNT FORM 1. Ark Life Assurance Company Limited. Reporting Institution: Written In Ireland - Irish Risk

LIFE ASSURANCE BUSINESS - REVENUE ACCOUNT FORM 1. Ark Life Assurance Company Limited. Reporting Institution: Written In Ireland - Irish Risk LIFE ASSURANCE BUSINESS - REVENUE ACCOUNT FORM 1 Written In Ireland - Irish Risk Items to be shown net of reinsurance ceded Premiums receivable (less rebates and refunds) 1 114,030 Investment income receivable

More information

Instructions of Criteria for Solvency of Brokerage Companies Operating on the Stock Exchange

Instructions of Criteria for Solvency of Brokerage Companies Operating on the Stock Exchange Instructions of Criteria for Solvency of Brokerage Companies Operating on the Stock Exchange Issued by virtue of the Executive Committee decision No. 2/95, Dated 4/1/1995 Instructions of Criteria for Solvency

More information

FINAL TERMS. The Reference Asset is Dow Jones EURO STOXX Sustainability 40 Index (Priceindex).

FINAL TERMS. The Reference Asset is Dow Jones EURO STOXX Sustainability 40 Index (Priceindex). FINAL TERMS Loan No 4162 A and B Sustainable Development issued under the Swedish Medium-Term Note Programme of Nordea Bank AB (publ) and Nordea Bank Finland Plc 1 The terms and conditions of the loan

More information

TwentyFour Global Investment Funds p.l.c.

TwentyFour Global Investment Funds p.l.c. TwentyFour Global Investment Funds p.l.c. An open-ended umbrella investment company with variable capital and segregated liability between sub-funds incorporated with limited liability in Ireland under

More information