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Fund Announcements
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Jun2021HSBC – HSBC Global Investment Funds (HGIF) AGM 2021In Fund AnnouncementsCorporate Action The AGM will be held in the registered office of the Company on 6 AUG 2021. In order to be accepted, the completed Proxy Forms must be received by the Singapore Representative office at 10 Marina Boulevard, Marina Bay Financial Centre, Tower 2 Level 48-01, Singapore 018983, by no later than 4:00pm (Singapore […]… - 21
Jun2021Neuberger Berman Investment Funds Plc- Shareholder Notice (SG) for mid-year end updatesIn Fund AnnouncementsShareholder Notice Please see the attached Shareholder Notice in relation to a number of key changes to the Company and to its sub-funds (the “Portfolios”), which will be reflected in a revised prospectus for the Company and revised supplements for the Portfolios (collectively referred to as the “Documents”), which are expected to be noted by […]… - 17
Jun2021Schroders – Investor Notification for Schroder Asian Equity Yield FundIn Fund AnnouncementsShareholder notification This notification is for Schroder Asian Equity Yield Fund – with effect from 1 July 2021, the Fund’s benchmark will be changed from MSCI AC Pacific ex Japan (the “Current Benchmark”) to MSCI AC Asia Pacific ex Japan (the “New Benchmark”). For more details, please read the shareholder notification letter.… - 17
Jun2021Allianz Global Investors – Dividends 2021 (Global High Payout Funds)In Fund AnnouncementsCorporate Actions Dividend distribution for funds: Allianz Global Investors Premier Funds – Allianz Global High Payout Fund (SGD) Allianz Global Investors Premier Funds – Allianz Global High Payout Fund (USD) Please read the investor notifications for more details: Investor notification for June 2021… - 15
Jun2021DWS Invest Notice to Shareholders – Notice on General changes and changes to the Investment PolicyIn Fund AnnouncementsNotice to Shareholders The fund manager would like to inform on general changes and changes to the investment policy with effect from 15 July 2021. For full details, please refer to the shareholder notification letter.… - 15
Jun2021Legg Mason – Termination of the Legg Mason Western Asset Asian Bond TrustIn Fund AnnouncementsShareholder Notification The fund manager would like to inform you that the Legg Mason Western Asset Asian Bond Trust will be terminated with effect from 15 September 2021. We believe that it is no longer in the interest of the unitholders to keep the Trust open due to the small size and its continuing operational […]… - 15
Jun2021CPF Announcements – Change in FMC/Unit Trust/ETF under CPFISIn Fund AnnouncementsCPF Investment Scheme (“CPFIS”) – Inclusion Of Unit Trust The following Unit Trust will be included under CPFIS with effect from 21 June 2021: Name of Unit Trust Stock Code ISIN Code Included Under Name & Address of FMC Schroder International Selection Fund – Indian Opportunities SGD F Acc U00452 LU2332803993 CPFIS-OA Schroder Investment Management […]… - 14
Jun2021PIMCO Global Investors Series: Benchmark changesIn Fund AnnouncementsShareholder Notification The fund manager is writing to inform you that a number of funds/share classes will be transitioning from their existing IBOR benchmark as part of the upcoming discontinuation of LIBOR. For more details, please refer to the shareholder notice.… - 3
Jun2021Alliance Bernstein (AB) – Notice to Shareholders of OOC Split of AB FCP I and AB SICAV I funds.In Fund AnnouncementsNotice to Shareholders The fund manager would like to inform you on the OOC Split of AB FCP I and AB SICAV I funds. For more details, please read the shareholder notices below. Shareholder Notice – AB FCP I – OOC Split Shareholder Notice – AB SICAV I – OOC Split… - 1
Jun2021Eastspring – Notice to Unitholders – Liquidation of Asian Smaller Companies FundIn Fund AnnouncementsNotice to shareholders Please be informed that that the board of directors of the SICAV (the “Board”) has decided to initiate the liquidation of Eastspring Investments – Asian Smaller Companies Fund (the “Sub-Fund”) as of 1 June 2021 and to compulsory redeem all the shares of the Sub-Fund (the “Shares”) on 8 June 2021 (the […]…
