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Fund Announcements
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Mar2022Amundi – Amundi Funds Emerging Europe and Mediterranean Equity – Temporary suspension of the Net Asset Value (NAV) calculationIn Fund AnnouncementsShareholder Notice Please be informed of temporary suspension of the Net Asset Value (NAV) calculation in Amundi Funds Emerging Europe and Mediterranean Equity as from Tuesday 1 March 2022. For the orders with NAV date 01/03: -Subscriptions have been rejected. -Conversions and redemptions have been suspended and will be executed at the first available NAV […]… - 1
Mar2022JPMorgan – Suspension of the calculation of the NAV of JPMorgan Funds – Russia Equity Fund and JPMorgan Funds – Emerging Europe Equity Fund (“the Sub-Funds”)In Fund AnnouncementsNotice to Shareholders The Fund Manager wish to inform you regarding the suspension of the calculation of the NAV of JPMorgan Funds – Russia Equity Fund and JPMorgan Funds – Emerging Europe Equity Fund (“the Sub-Funds”). For more details, please read the shareholder notification letter.… - 28
Feb2022Aberdeen Standard SICAV I – Singapore Recognised Scheme Prospectus and PHSIn Fund AnnouncementsShareholder Notice Please find enclosed latest Aberdeen Standard SICAV I – Singapore Recognised Scheme Prospectus, in connection with the recognition of the Aberdeen Standard SICAV I – Asian Credit Bond Fund, which MAS approved on 10 February 2022. For more details , please refer to the shareholder notice.… - 28
Feb2022LionGlobal Investors – LionGlobal Multi Income Fund – TerminationIn Fund AnnouncementsShareholder Notice This notification is for – LionGlobal Multi Income Fund regarding the termination of fund. For more details, please read the shareholder notification letter. … - 28
Feb2022Schroders – Investor Notification for Notice to shareholders of the sub-fund Schroder International Selection Fund Emerging Europe – Temporary suspension of NAV and dealing in shares in the FundIn Fund AnnouncementsShareholder notification The fund manager would like to inform you regarding the temporary suspension of NAV and dealing in shares in the Fund due to the ongoing crisis in Ukraine. These events have put extreme pressure on the valuation and liquidity of certain instruments held by funds with exposure to Russia. For more details, please […]… - 28
Feb2022UOB – UOBAM Notice to Shareholders – United Choice Portfolios: United Asian Bond Fund, United Asian High Yield Bond Fund, United E-Commerce FundIn Fund AnnouncementsNotice to Shareholders UOBAM would like to inform you of the following changes to the Funds which will take effect from 28 March 2022 (the “Effective Date”). Currently, units in the Funds are classified as Specified Investment Products (“SIPs”) and capital markets products other than prescribed capital markets product. From the Effective Date, units in […]… - 28
Feb2022Schroders – Investor Notification for Schroder International Selection Fund – US Large CapIn Fund AnnouncementsShareholder notification The fund manager would like to inform you that due to an internal restructuring, the Fund’s investment manager will change from Schroder Investment Management Limited to Schroder Investment Management (Europe) S.A. – German Branch with effect from 1 April 2022. For more details, please read the shareholder notification letter.… - 25
Feb2022LionGlobal Investors – LionGlobal Asia Pacific Fund – Inclusion of LionGlobal Asia Pacific Fund SGD ClassIn Fund AnnouncementsShareholder Notice This notification is for LionGlobal Asia Pacific Fund. The fund manager is pleased to inform you that with effect from 14 February 2022, LionGlobal Asia Pacific Fund – SGD Class Units (the “SGD Class Units”) have been included under the CPF Investment Scheme – Ordinary Account List A with the risk classification of “Higher Risk – […]… - 25
Feb2022Phillip Capital Management (PCM) – Phillip Money Market Fund (the “Fund”) – Management Fee RebateIn Fund AnnouncementsIn view of the prevailing low interest rate environment, please be informed that the Management Fee for the Phillip Money Market Fund – Class A (ISINSG9999005987) will remain reduced at 0.25% p.a. for the period, 01 March 2022 to 30 April 2022. For more details , please refer to the shareholder notice.… - 24
Feb2022Schroders – Investor Notification for Schroder Global Emerging Market OpportunitiesIn Fund AnnouncementsShareholder notification The fund manager would like to inform you that Schroder Global Emerging Market Opportunities (the “Fund”) – Change in investment policy of the Underlying Fund For more details, please read the shareholder notification letter.…