SCHRODER INTERNATIONAL SELECTION FUND (the Company ) TERMS AND CONDITIONS FOR THE PUBLIC DISTRIBUTION OF SHARES IN HUNGARY



Hasonló dokumentumok
EN United in diversity EN A8-0206/419. Amendment

HIRDETMÉNY BEFEKTETÉSIJEGY-TULAJDONOSOK RÉSZÉRE

Cashback 2015 Deposit Promotion teljes szabályzat

VI. turnus (Kontaktnapok: szerda) Képzés időtartama: augusztus október 15.

BLACKROCK GLOBAL FUNDS (a továbbiakban: Társaság ) MAGYARORSZÁGI NYILVÁNOS KOLLEKTÍV BEFEKTETÉSI ÉRTÉKPAPÍR- FORGALMAZÁSI FELTÉTELEK

PIACI HIRDETMÉNY / MARKET NOTICE

PIACI HIRDETMÉNY / MARKET NOTICE

TKM Mutatók. Frissítés dátuma: A befektetéssel kombinált megtakarítási jellegű életbiztosítási termékek teljes költségmutatója

A MAGYAR VÁROSOK SZÖVETSÉGÉNEK SZERVEI

TKM Mutatók. Frissítés dátuma: A befektetéssel kombinált megtakarítási jellegű életbiztosítási termékek teljes költségmutatója

GDP/capita 2015: USD 18,002. Capital city: Athens. Telephone code: +30. Language: Area: 2. Currency: Euro. Parliamentary republic.

VALID AS OF 15 th August 2018

Semi-Annual Report 2016

Cut-Off Time for Payment Orders, Incoming Payments And Fulfilment Orders

Irányítószám Település 1011 Budapest 1012 Budapest 1013 Budapest 1014 Budapest 1015 Budapest 1016 Budapest 1021 Budapest 1022 Budapest 1023 Budapest

Investment performance of the Hungarian Private and Voluntary Pension Funds ( )

VALID AS OF 25 th OCTOBER 2017

AZ OTP JELZÁLOGBANK ZRT. INGATLANHITEL AJÁNLÓI PROGRAM RÉSZVÉTELI SZABÁLYZATA

PIACI HIRDETMÉNY / MARKET NOTICE

Lansinoh termékeket forgalmazó Rossmann üzletek

A jövedelem alakulásának vizsgálata az észak-alföldi régióban az évi adatok alapján

Semi-Annual Report 2012

Megbízási szerződés (KP) Agency Agreement (TP) mely létrejött egyrészről a. concluded by and between

Extraordinary announcement of RÁBA Nyrt about coordinated conduct

Sebastián Sáez Senior Trade Economist INTERNATIONAL TRADE DEPARTMENT WORLD BANK

A változások az előző Kondíciós Listához képest aláhúzással, valamint áthúzással láthatók.

PIACI HIRDETMÉNY / MARKET NOTICE

General information for the participants of the GTG Budapest, 2017 meeting

Vállalati kockázatkezelés jelentősége

Az Igazgatóság jelentése a 2008-as évrôl. Semi-Annual Report 2013

IrányítószámTelepülés 1011 Budapest 1012 Budapest 1013 Budapest 1014 Budapest 1015 Budapest 1016 Budapest 1021 Budapest 1022 Budapest 1023 Budapest

EN United in diversity EN A8-0206/482. Amendment

Jogi feltételek Legal conditions MegaEnglish Website Honlap Szolgáltatás Services Tanári Profil Teacher Profile

Semi-Annual Report 2014

Számlakezelés az ELO DocXtraktor modullal

Portfolió jelentés a Hazai Pioneer Alapok befektetői számára

PART A CONTRACTUAL TERMS

... képviseletében aláírásra jogosultak / represented by the undersigned vested with right of signature ...

Semi-Annual Report 2015

Lexington Public Schools 146 Maple Street Lexington, Massachusetts 02420

A készülékeket online és az alábbi boltjainkban tudod megvásárolni:

Alapok nevei Vétel Teljesülés-vétel Eladás Teljesülés-visszaváltás. Aberdeen alapok. T+4 Forgalmazási napon

Alapok nevei Vétel Teljesülés-vétel Eladás Teljesülés-visszaváltás. Aberdeen alapok % T+4 Forgalmazási napon T napi árfolyamon

2. melléklet. Irrevocable Payment Undertaking - Készfizető kezességvállalás

T/3402. számú. törvényjavaslat

Megbízás megadásának Alapok nevei Vétel Teljesülés-vétel Eladás Teljesülés-visszaváltás határideje. Aberdeen alapok.

USA Befektetési Útmutató

Alapok nevei Vétel Teljesülés-vétel Eladás Teljesülés-visszaváltás. Aberdeen alapok % T+4 Forgalmazási napon T napi árfolyamon

Credit Suisse International

KELER KSZF Zrt. bankgarancia-befogadási kondíciói. Hatályos: július 8.

USER MANUAL Guest user

Fót vevőszám vásárlás időpont nyugtaszám 35 14/04/2014 5:54:00 PM 7117

This document has been provided by the International Center for Not-for-Profit Law (ICNL).

7621 Pécs, Apáca u. 6. Baranya Megyei Igazgatóság Állampénztári Iroda. (+36-72)

6500 Baja, Déri Frigyes sétány Budapest, Bajcsy- Zsilinszky Endre út Budapest, Erzsébet krt. 2.

Aberdeen alapok % T+4 Forgalmazási napon T napi árfolyamon. T+4 Forgalmazási napon. T napi árfolyamon. T+4 Forgalmazási napon.

Azonnali átvezetés Terhelés konverzió nélkül december 31. nincs december 31.

1. Issuer: FHB Land Credit and Mortgage Bank Ltd. (FHB Földhitel- és Jelzálogbank Részvénytársaság) H-1132 Budapest Váci út.20.

Alapok nevei Vétel Teljesülés-vétel Eladás Teljesülés-visszaváltás határideje. Aberdeen alapok % T+4 Forgalmazási napon T napi árfolyamon

Portfolió jelentés a CA Alapcsalád befektetői számára

tekintettel az Európai Unió működéséről szóló szerződésre és különösen annak 127. cikke (2) bekezdésének első és negyedik francia bekezdésére,

VEKOP kódszámú Mikro-, kis-, és középvállalkozások versenyképességének növelése Pest megyében Hitelprogramban résztvevő MFB Pontok listája

Schroder International Selection Fund Éves Jelentés

PIONEER FUNDS LUXEMBURGI BEFEKTETÉSI ALAP (FONDS COMMUN DE PLACEMENT) KIBOCSÁTÁSI TÁJÉKOZTATÓ. kelt: augusztus KEZELÉSI SZABÁLYZAT

Áprilisban 14%-kal nőtt a szálláshelyek vendégforgalma Kereskedelmi szálláshelyek forgalma, április

MAGYAR MAGÁNSZEMÉLY IGAZGATÓTANÁCSI TÉRÍTÉSE CIRPUSRÓL

RESOLUTIONS OF THE GENERAL MEETING of Graphisoft Park SE (H-1031 Budapest, Graphisoft Park 1., Záhony u. 7.)

EN United in diversity EN A8-0206/445. Amendment

I. ÜGYFÉLSZÁMLA- ÉS ÉRTÉKPAPÍRSZÁMLA-VEZETÉSI SZOLGÁLTATÁSOK

ELO Digital Office ERP integráció

EN United in diversity EN A8-0206/473. Amendment

Hungary Service Centers / Updated 30/11/2015 Country Hungary Hungary Hungary Hungary Hungary Hungary Hungary Hungary

Hirdetmény Hatályos: október 11-től ÉRTÉKPAPÍR FORGALMAZÁS - BANKSZÜNNAP TÁJÉKOZTATÓ

IRREVOCABLE PAYMENT UNDERTAKING dated 7 July, 2010 Készfizető kezességvállalás július 7.

OLAJOS Péter Európai parlamenti képviselõ (EPP-ED / MDF) Uniós Energiapolitika, közvetlen támogatások a geotermikus energia

ELOECMSzakmai Kongresszus2013

APPLICABLE FINAL TERMS FINAL VERSION APPROVED BY THE ISSUER

Hungary Service Center / Updated 13/12/2016 Country Hungary Hungary Hungary Hungary

SUBMISSIONS and MOTIONS FOR RESOLUTION. to the agenda of the 2019 Annual General Meeting of

INTELLIGENT ENERGY EUROPE PROGRAMME BUILD UP SKILLS TRAINBUD. Quality label system

Új fenomén a magyar biztosítási jogban: a biztosítottak közvetlen perlési joga a viszontbiztosítóval szemben a direkt biztosító csődje esetén

Final Terms. dated 3 May UniCredit Bank AG Issue of HVB USD Express Plus Certificate on the shares of Telefónica S.A. (the "Securities")

XTB LIMITED Risk Disclosure Notice. XTB LIMITED Kockázati Figyelmeztetés

I. INTEREST AND FEES RELATED TO HUF ACCOUNT MANAGEMENT FEES RELATED TO THE MANAGEMENT OF FOREIGN CURRENCY ACCOUNTS, PAYMENT

(2017/587 EU Rendelet); ); A Bizottság (EU) 2017/583 felhatalmazáson

EEA, Eionet and Country visits. Bernt Röndell - SES

1. Forint betéti kamatok / HUF Deposit Interest Rates

Paysera VISA cards are secured with "3-D technology" which ensures safer payments with payment cards online.

MŰANYAGOK ÉS A FENNTARTHATÓ FEJLŐDÉS. Nyéki Anikó, december 7.

2009. május 3-tól az Alapkezelő ( és a Vezető Forgalmazó (

Forintos eszközalapok. Likviditási forint eszközalap befektetési politikája (HUF)

PART A CONTRACTUAL TERMS

Pénzügyi gyorsjelentés 2005

Aberdeen alapok. T napi árfolyamon. T napi árfolyamon. T napi árfolyamon. T napi árfolyamon. T napi árfolyamon. T napi árfolyamon

Helló Magyarország, megérkeztünk! partneri ajánlat

Alapok nevei Vétel Teljesülés-vétel Eladás Teljesülés-visszaváltás. Aberdeen alapok. T napi árfolyamon. T napi árfolyamon.

Final Terms dated 6 July Credit Suisse International. Return Equity-linked Securities due August 2020

Final Terms. dated 23 April UniCredit Bank AG Issue of HVB HUF Express Plus Certificate on the shares of ArcelorMittal S.A. (the "Securities")

Deposits and Withdrawals policy Pénz befizetések és kifizetések szabályzata TeleTrade-DJ International Consulting Ltd

Directors and Officers Liability Insurance Questionnaire Adatlap vezetõ tisztségviselõk és felügyelõbizottsági tagok felelõsségbiztosításához

Átírás:

SCHRODER INTERNATIONAL SELECTION FUND (the Company ) TERMS AND CONDITIONS FOR THE PUBLIC DISTRIBUTION OF SHARES IN HUNGARY INTRODUCTION Schroder International Selection Fund (the Company ) is established as a société anonyme qualifying as a société d'investissement à capital variable (SICAV), incorporated in Luxembourg as an openended investment company with the status of a UCITS (Undertaking for Collective Investment in Transferable Securities) within the provisions of Council Directive No. 85/611/EEC of 20 December 1985 (as amended). The Company operates separate sub-funds (hereinafter referred to as the Funds ) and within each Fund, separate classes of collective investment securities (hereinafter referred to as the Shares ) may be issued. The Company has appointed Schroder Investment Management (Luxembourg) S.A. as its management company (the Management Company ). The Management Company is entrusted with the day-to-day management of the Company, with responsibility for performing directly or by way of delegation all operational functions relating to the Company s investment management and administration, and marketing of the Funds. This addendum sets out the specific terms for the public distribution of the Shares of the Funds in Hungary and should be read in conjunction with the full Prospectus which contains detailed rules concerning the structure and operation of the Company and the Simplified Prospectuses which contain summary information for investors including the procedure for the purchase, sale and/or conversion of Shares. We draw the attention of the investors to the fact that the term Shares used in the Prospectus is used as collective investment securities as defined by the Hungarian Capital Markets Act No CXX of 2001 (hereinafter: the CMA). The term Shares used in accordance with the terms of the Company s jurisdiction shall in neither way deemed as same as the term shares under the Hungarian legal provisions. AUTHORISATION The public distribution of the Shares of the Funds in Hungary was approved by the Company on April 21, 2008. Shares are distributed in accordance with the requirements of the CMA. FORM OF INVESTMENTS The Articles of Association of the Company permit it to invest in transferable securities of any kind and other permitted assets,[a3 AoI] to the full extent permitted by Luxembourg law. The Articles have the effect that, subject to the law, it is at the Directors discretion to determine any restrictions on investment or on borrowing or on pledging of the Company s assets [A16 AoI]. The investment and borrowing restrictions applicable to the Company are set out in full within Appendix I of the full Prospectus. The Directors are responsible for the overall investment policy of the Company. Each of the Funds comprises an investment portfolio which is managed separately and in accordance with the investment objectives and policies for each of the Funds as detailed in the full and simplified prospectuses. A list of the Funds available for distribution in Hungary are detailed in the relevant section below. RISKS ASSOCIATED WITH THE INVESTMENT Potential investors should be aware that an investment in the Funds carries certain risks which may involve the loss of some or all of the capital amount originally subscribed. The price of the Shares in each of the Funds can go down as well as up. An explanation of the risks associated with an investment in the Funds is set out in full in the Risks of Investment section in the full Prospectus and in summary form within Simplified Prospectuses. The Company and its operating practices are governed by Luxembourg law which may be unfamiliar to Hungarian investors. Therefore, should there be any doubt concerning the suitability of an investment in the Funds, or the content of the full or simplified prospectuses, investors are advised to consult a stockbroker, solicitor, accountant or other professional advisor.

FUNDS AVAILABLE FOR PUBLIC DISTRIBUTION IN HUNGARY A schedule of the Funds available for public distribution in Hungary is attached to this addendum. As described in the full Prospectus, the Funds are available for subscription in Euro and other dealing currencies, and in the form of distribution and accumulation Shares. Only Class A1 Shares will be available for public distribution within Hungary with a charging structures as detailed within Section 1 of the full Prospectus and in the Simplified Prospectuses. As described in Section 1and Section 3 of the full Prospectus, the Directors may create additional funds and/or close or merge existing funds where it is deemed to be in the interests of shareholders, subject to the applicable statutory notice periods. The public distribution of the Shares of the Funds in Hungary is co-ordinated through the appointed distributors (the Distributors ) detailed in the relevant section of this addendum Hedged Share classes are available within certain of the Funds. These Funds will, in respect of the hedged Share class, operate a strategy which aims to reduce the risk of currency movements between the base currency and the currency of the hedged Share class. Further information in respect of hedged Share classes is contained within the full Prospectus and simplified prospectuses. DISTRIBUTORS IN HUNGARY The Distributor appointed by the Management Company to offer for sale the Shares of the Funds in Hungary are as follows: CITIBANK, Zrt Registered Seat: Szabadsag Ter 7, H- 1051 Budapest, Hungary Registration Number: CG. 01-10-041029 Citibank branches: Békéscsaba, Munkácsy Mihály u. 3. Nyitva tartás: H-P 8-16 Budapest I. Kerület, Hegyalja út 7-13.Nyitva tartás: H-P 8-16 Budapest III. kerület, Lajos u. 76-80. Nyitva tartás: H,SZ: 8-17.30 K,CS,P: 8-16 Budapest V. kerület, Vörösmarty tér. 4. Nyitva tartás: H-CS: 9-17 P: 9-16 Budapest V. kerület, Báthory u. 12. Nyitva tartás: H,SZ: 8-17.30 K,CS,P: 8-16 Budapest XII. kerület, Alkotás út 11. Nyitva tartás: H P 8-16 Budapest XIII. kerület, Váci út 35. Nyitva tartás: H,SZ: 8-17.30 K,CS,P: 8-16 Debrecen, Piac u. 51. Nyitva tartás: H,SZ: 8-17.30 K,CS,P: 8-16 Eger, Deák Ferenc u. 1. Nyitva tartás: H-P 8-16 Győr, Király u. 14. Nyitva tartás: H-P 8-17 Kaposvár, Fő u. 7. Nyitva tartás: H-P 8-16 Kecskemét, Petőfi S. u. 1. Nyitva tartás: H-P 8-17 Miskolc, Bajcsy-Zsilinszky u. 1-3. Nyitva tartás: H,SZ: 8-17.30 K,CS,P: 8-16 Nyíregyháza, Bethlen Gábor u. 1. Nyitva tartás: H-P 8-17 Pécs, Jókai tér 2. Nyitva tartás: H,SZ: 8-17.30 K,CS,P: 8-16 Szeged, Nagy Jenő u. 1. Nyitva tartás: H,SZ: 8-17.30 K,CS,P: 8-16 Szekszárd, Bezerédj u. 2. Nyitva tartás: H-P 8-16 Székesfehérvár, Liszt Ferenc u. 1. Nyitva tartás: H-P 8-16 Szolnok, Kossuth Lajos u. 7. Nyitva tartás: H-P 8-16 Szombathely, Kossuth Lajos u. 10. Nyitva tartás: H,SZ: 8-17.30 K,CS,P: 8-16 Vác, Káptalan u. 6. Nyitva tartás: H-P 8-16 Veszprém, Brusznyai Árpád u. 6. Nyitva tartás: H-P 8-16 Zalaegerszeg, Kossuth Lajos u. 25-27. Nyitva tartás: H-P 8-16 CitiPhone Banking: 06-40-CITI24 06-40-248424 Plc Registered Seat: Nádor utca 16, Budapest, 1051 Hungary Registration Number: Cg. 01-10-041585

OTP branches: Deák Ferenc u. 7-9. Budapest Nyrt. 1052 Nyrt. 1011 Iskola u.38-42. Budapest Nyrt. 1024 Fény u.11-13. Budapest Nyrt. 1033 Flórián tér 15. Budapest Nyrt. 1113 Bartók B. u.92-94. Budapest Nyrt. 1124 Jagelló u. 20/a. Budapest Nyrt. 1051 Semmelweis u. 11. Budapest Nyrt. 1221 Kossuth L. u. 31. Budapest Nyrt. 1025 Törökvészi út 1/a. Budapest Nyrt. 1051 Nádor u. 6. Budapest Nyrt. 1173 Ferihegyi út 93. Budapest Nyrt. 1163 Jókai u. 1/b. Budapest Nyrt. 1136 Tátra u.10. Budapest Nyrt. 1148 Nagy Lajos kir. u. 21. Budapest Nyrt. 1134 Babér u. 9. Budapest Nyrt. 1095 Tinódi u. 9-11. Budapest Nyrt. 1181 Üllői út 377. Budapest Nyrt. 1204 Kossuth L.utca 44-46. Budapest Nyrt. 1211 Kossuth Lajos út 99. Budapest Nyrt. 1041 Erzsébet u. 50. Budapest Nyrt. 6000 Korona utca 2. Kecskemét Nyrt. 6500 Deák F. u. 1. Baja Nyrt. 5600 Szent István tér 3. Békéscsaba Nyrt. 6720 Takaréktár u. 7. Szeged Nyrt. 5700 Bodoky u.9. Gyula Nyrt. 3530 Uitz Béla u.6. Miskolc Nyrt. 3700 Egressy út 50. Kazincbarcika Nyrt. 3300 Széchenyi u.2. Eger Nyrt. 8001 Ősz u.13. Székesfehérvár 2400 Dózsa György u. 4. Dunaújváros

Nyrt. Nyrt. 8200 Budapest u.4. Veszprém Nyrt. 8500 Fő út 5. Pápa Nyrt. 2800 Fő tér 32. Tatabánya Nyrt. 9021 Teleki L.u.51.. Győr Nyrt. 9700 Fő tér 3-5. Szombathely Nyrt. 9400 Várkerület 96/a. Sopron Nyrt. 8900 Kisfaludy u.15-17. Zalaegerszeg Nyrt. 8800 Deák tér 15. Nagykanizsa Nyrt. 8360 Kossuth u. 38. Keszthely Nyrt. 3100 Rákóczi u.22. Salgótarján Nyrt. 2040 Szabadság u. 131/a. Budaörs Nyrt. 2000 Dumtscha J. 6 Szentendre Nyrt. 7621 Rákóczi u.44. Pécs Nyrt. 7100 Szt. István tér 5-7. Szekszárd Nyrt. 7030 Dózsa György u. 33. Paks Nyrt. 7400 Fő u.12. Kaposvár Nyrt. 8600 Szabadság tér 10/A Siófok Nyrt. 4400 Rákóczi u.1. Nyíregyháza Nyrt. 5000 Szapáry u.31. Szolnok Nyrt. 4025 Hatvan u. 2-4. Debrecen Nyrt. 5100 Lehel Vezér tér 28. Jászberény The Management Company may appoint additional distributors at its discretion whereupon this addendum will be updated accordingly. TERMS OF DISTRIBUTION IN HUNGARY Investors are advised to consult the relevant Distributor concerning the contractual terms under which a subscription, redemption or conversion of Shares in the Funds will be governed, prior to making an investment within the Funds. Investors should note that in additional to the fees and charges payable by the Funds as described within the full Prospectus and simplified prospectuses, there may be additional fees, commissions or other charges levied by the Distributor for account maintenance and/or other services rendered in connection with an investment in the Funds. The Directors policy is normally to deal with any instructions received from the relevant Distributor before 3 p.m. Luxembourg time on any business day, otherwise if received after this time, on the next

business day except for the funds EURO Equity Secure 2010, European Defensive, European Defensive Monthly, European Defensive 6 Monthly and World Defensive 3 Monthly (for further details please refer to Section 2 of the full prospectus). However, the procedure for the receipt and transmission of investor instructions through each Distributor will vary and investors should consult with the relevant Distributor before placing orders in any of the Funds. NET ASSET VALUE The price at which all subscriptions, redemptions and conversions in the Shares of the Funds are transacted are determined by reference to the Net Asset Value per Share of the class of Shares concerned, calculated in the manner described within Appendix B of the full Prospectus, and expressed in the base currency of the relevant fund as detailed in the attached schedule. Prices may include or have added to them, as appropriate: (i) an initial charge; (ii) a distribution charge; (iii) an investment management fee and (iv) in limited circumstances, adjustments to reflect fiscal charges and dealing costs (see paragraph 16(c), Appendix B of the full Prospectus). The fees described in the full Prospectus and simplified prospectuses do not include any maintenance or other charges levied by the Distributors directly. Charges or fees as further described in the full and simplified prospectuses. TAXATION Tax may be payable on income received and/or capital gains realised from an investment in the Funds. Investors should inform themselves of, and when appropriate consult their professional advisers on, the possible tax consequences of subscribing for, buying, holding, redeeming, converting or selling Shares under the laws of their country of citizenship, residence or domicile. Investors should note that the levels and bases of, and relief from, taxation can change. For the Hungarian investors Section 65 of Act CXVII of 1995 on the personal income tax applies - as it is interpreted in connection with the European investment funds by the answers of the Hungarian Tax Authority to the taxation question No. 2002/80 (taxation of incomes on foreign investment units) and taxation question No. 2004/96 (tax payment obligation of incomes on investment units traded in Hungary issued by European investment funds).. ANNOUNCEMENTS AND PUBLICATIONS The Net Asset Value per Share of the Funds distributed in Hungary is published on the Hungarian website of Schroders (www.schroders.hu). The original English language versions and the Hungarian translations of the full Prospectus and simplified prospectuses, as well as the annual and semi-annual reports and further possible disclosures of the Company to the Hungarian investors are available through the Hungarian website or otherwise those are available on request from the registered office of the Company, contact details for which are detailed in the full Prospectus and simplified prospectuses. The audited annual reports will be published no later than four months after the end of the financial year, 31 December. The unaudited semi-annual reports will be published no later than two months after the end of the relevant half-year.

SCHEDULE OF FUNDS The following Funds/ shares classes within Schroder International Selection Fund are offered for public distribution in Hungary: Schroder ISF Absolute Return Bond R1 Schroder ISF Absolute Return Bond R1 EUR Hedged Schroder ISF Absolute Return Bond Schroder ISF Absolute Return Bond EUR Hedged Schroder ISF Asia Pacific Property Securities Schroder ISF Asian Absolute Return Schroder ISF Asian Bond Schroder ISF Asian Bond Schroder ISF Asian Bond EUR Schroder ISF Asian Bond EUR Schroder ISF Asian Bond EUR Hedged Schroder ISF Asian Bond EUR Hedged Schroder ISF Asian Convertible Bond Schroder ISF Asian Convertible Bond EUR Hedged Schroder ISF Asian Equity Alpha Schroder ISF Asian Equity Yield Schroder ISF Asian Equity Yield Schroder ISF Asian Smaller Companies Schroder ISF Brazil, Russia, India, China EUR Schroder ISF BRIC (Brazil, Russia, India, China) Schroder ISF China Opportunities Schroder ISF China Opportunities SGD Hedged Schroder ISF Converging Europe Bond Schroder ISF Converging Europe Bond Schroder ISF Converging Europe Bond USD Schroder ISF Converging Europe Bond USD Schroder ISF Emerging Asia Schroder ISF Emerging Asia EUR Schroder ISF Emerging Europe Schroder ISF Emerging Europe USD Schroder ISF Emerging Markets Schroder ISF Emerging Markets EUR Schroder ISF Emerging Markets Debt Schroder ISF Emerging Markets Debt Schroder ISF Emerging Markets Debt EUR Hedged Schroder ISF Emerging Markets Debt EUR Hedged Schroder ISF EURO Active Value Schroder ISF EURO Bond Schroder ISF EURO Bond USD Schroder ISF EURO Corporate Bond Schroder ISF EURO Dynamic Growth Schroder ISF EURO Equity Schroder ISF EURO Equity Alpha Schroder ISF EURO Equity USD Schroder ISF EURO Liquidity Schroder ISF EURO Short Term Bond Schroder ISF European Equity Schroder ISF European Active Value Schroder ISF European Bond Schroder ISF European Defensive

Schroder ISF European Defensive 6 Monthly Schroder ISF European Defensive Monthly Schroder ISF European Dividend Maximiser Schroder ISF European Dividend Maximiser Schroder ISF European Dynamic Growth Schroder ISF European Equity Alpha Schroder ISF European Equity Yield Schroder ISF European Equity Yield Schroder ISF European Equity Yield USD Schroder ISF European Equity Yield USD Schroder ISF European Large Cap Schroder ISF European Smaller Companies Schroder ISF European Smaller Companies USD Schroder ISF European Special Situations Schroder ISF Global Bond Schroder ISF Global Climate Change Equity Schroder ISF Global Climate Change Equity EUR Schroder ISF Global Climate Change Equity EUR Hedged Schroder ISF Global Corporate Bond Schroder ISF Global Corporate Bond EUR Hedged Schroder ISF Global Emerging Market Opportunities Schroder ISF Global Emerging Market Opportunities EUR Schroder ISF Global Energy Schroder ISF Global Energy EUR Schroder ISF Global Dividend Maximiser Schroder ISF Global Dividend Maximiser Schroder ISF Global Equity Schroder ISF Global Equity Alpha Schroder ISF Global Equity Alpha EUR Schroder ISF Global Equity Sigma Schroder ISF Global Equity Yield Schroder ISF Global Equity Yield Schroder ISF Global Equity Yield EUR Schroder ISF Global High Yield Schroder ISF Global High Yield EUR Hedged Schroder ISF Global Inflation Linked Bond Schroder ISF Global Property Securities Schroder ISF Global Property Securities EUR Hedged Schroder ISF Global Quality Growth Equity Schroder ISF Global Quality Growth Equity EUR Schroder ISF Global Quantitative Active Value Schroder ISF Global Quantitative Active Value EUR Schroder ISF Global Smaller Companies Schroder ISF Global Smaller Companies EUR Schroder ISF Global Technology Schroder ISF Greater China Schroder ISF Hong Kong Dollar Bond Schroder ISF Hong Kong Equity Schroder ISF Indian Equity Schroder ISF Japanese Equity Schroder ISF Japanese Equity EUR Hedged Schroder ISF Japanese Equity USD Schroder ISF Japanese Equity Alpha Schroder ISF Japanese Equity Select

Schroder ISF Japanese Smaller Companies Schroder ISF Japanese Smaller Companies EUR Schroder ISF Japanese Smaller Companies USD Schroder ISF Korean Equity Schroder ISF Latin American Schroder ISF Latin American EUR Schroder ISF Middle East Schroder ISF Middle East EUR Schroder ISF Pacific Equity Schroder ISF Pacific Equity EUR Schroder ISF Strategic Bond Schroder ISF Strategic Bond EUR Hedged Schroder ISF Strategic Credit Schroder ISF Swiss Equity Schroder ISF Swiss Equity Opportunities Schroder ISF Swiss Small & Mid Cap Equity Schroder ISF Taiwanese Equity Schroder ISF Taiwanese Equity Schroder ISF UK Equity Schroder ISF US Dollar Liquidity Schroder ISF US Large Cap Schroder ISF US Large Cap EUR Schroder ISF US Large Cap EUR Hedged Schroder ISF US Large Cap Alpha Schroder ISF US Small & Mid-Cap Equity Schroder ISF US Small & Mid-Cap Equity EUR Schroder ISF US Small & Mid-Cap Equity EUR Hedged Schroder ISF US Smaller Companies Schroder ISF World Defensive 3 Monthly