Solo per clientela al dettaglio
Accedendo a questo sito web, l'utente accetta i seguenti termini e condizioni, con le pagine, i prodotti, servizi, informazioni, strumenti e materiali in esso contenuti o sopra indicati.
Informazioni fornite
Il presente documento è stato realizzato da Credit Suisse con la maggiore cura possibile e al meglio delle proprie conoscenze. Credit Suisse non fornisce comunque alcuna garanzia relativamente al suo contenuto e alla sua completezza e declina qualsiasi responsabilità per le perdite che dovessero derivare dall’utilizzo delle informazioni in esso riportate. Nel documento vengono espresse le opinioni di Credit Suisse all’atto della redazione, che sono soggette a modifica in qualsiasi momento senza preavviso. Salvo indicazioni contrarie, tutti i dati non sono certificati. Il documento viene fornito a solo scopo informativo ad uso esclusivo del destinatario. Esso non costituisce un’offerta né una raccomandazione per l’acquisto o la vendita di strumenti finanziari o servizi bancari e non esonera il ricevente dal fare le proprie valutazioni. Al destinatario si raccomanda in particolare di controllare che tutte le informazioni fornite siano in linea con le proprie circostanze per quanto riguarda le conseguenze legali, regolamentari, fiscali o di altro tipo, ricorrendo se necessario all’ausilio di consulenti professionali
Restrizioni delle vendite e documenti del fondo
Il presente documento non può essere riprodotto neppure parzialmente senza l’autorizzazione scritta di Credit Suisse. Esso è espressamente non indirizzato alle persone che, in ragione della loro nazionalità o luogo di residenza, non sono autorizzate ad accedere a tali informazioni in base alle leggi locali. Né il presente documento né alcuna copia di esso possono essere inviati, portati o distribuiti negli Stati Uniti o a persone US (ai sensi della Regulation S - US Securities Act del 1933 e successivi emendamenti).
Il fondo d’investimento menzionato in questa pagina può essere acquistato unicamente sulla base di prospetti informativi attuali, dei KIID e dalla relazione dell’ultimo annuale esercizio finanziario (o, se più aggiornata, dall’ultima relazione semestrale).Il prospetto informativo, il KIID, le condizioni contrattuali e la relazione annuale o semestrale sono disponibili gratuitamente presso Credit Suisse Funds AG, Zurich, presso Credit Suisse (Schweiz) AG o dalle affilate di Credit Suisse AG in Svizerra
Qualunque offerta, di marketing o sottoscrizione, deve essere regolata in conformità con i diritti svizzeri.
Considerazioni sui rischi
Tutti gli investimenti comportano rischi, in particolare per quanto riguarda le fluttuazioni del valore e del rendimento. Gli investimenti in valuta estera comportano il rischio aggiuntivo che tale moneta possa perdere valore rispetto alla moneta di riferimento dell’investitore. I dati storici sulla performance e gli scenari dei mercati finanziari non costituiscono un indicatore affidabile per i redditi attuali o futuri. I dati relativi alla performance non tengono conto delle commissioni e dei costi applicati al momento dell’emissione e del riscatto delle quote. Inoltre, non può essere garantito che l’andamento dell’indice di riferimento («benchmark») sarà raggiunto od oltrepassato. Alcuni prodotti finanziari includono investimenti in mercati emergenti. I mercati emergenti sono situati in paesi che presentano una o più delle seguenti caratteristiche: un certo grado di instabilità politica, mercati finanziari e modelli di crescita economica difficilmente prevedibili, mercato finanziario ancora in fase di sviluppo o economia debole. Gli investimenti in mercati emergenti comportano solitamente rischi più elevati come rischi politici, rischi economici, rischi di credito, rischi monetari, rischi di liquidità del mercato, rischi legali, rischi di regolamento, rischi di mercato, rischi dell'azionista e del creditore)Gli investitori dovranno essere in grado di accettare i vari gradi di rischi economici che possono derivare dagli investimenti descritti nel sito. Gli investimenti in materie prime e in derivati o indici degli stessi sono soggetti a rischi particolari e ad elevata volatilità. La performance di tali investimenti dipende da fattori non prevedibili come catastrofi naturali, influssi climatici, capacità di trasporto, instabilità politica, fluttuazioni stagionali e forti effetti del roll forward, soprattutto per future e indici.
Gli investimenti in hedge fund possono comportare rischi significativi, tra cui la perdita dell'intero importo investito. I fondi possono essere illiquidi, per l'assenza attuale, e prevedibilmente anche in futuro, di mercati secondari per la negoziazione dei titoli di partecipazione nei fondi. Vi possono essere restrizioni per il trasferimento dei titoli di partecipazione nei fondi, gli investimenti potrebbero essere soggetti a un elevato effetto leva e la performance degli investimenti può essere volatile. Gli investimenti di hedge fund, comprese le opportunità qui descritte, possono includere i seguenti ulteriori rischi: (I) perdita della totalità o di una parte sostanziale del capitale degli investitori, (ii) i gestori d’investimento possono ricevere un'incentivazione a effettuare investimenti più rischiosi o più speculativi a causa del sistema di remunerazione basato sulle performance, (iii) mancanza di liquidità per l'assenza attuale di mercati secondari, (iv) volatilità dei rendimenti, (v) restrizioni sul trasferimento, (vi) potenziale mancanza di diversificazione, (vii) addebito di commissioni e spese più elevate, (viii) minimo o nessun obbligo di fornire a frequenza regolare informazioni di prezzo e (ix) strutture fiscali complesse e ritardi nella distribuzione di informazioni fiscali importanti x) Minor numero di requisiti legali di fondi registrati. Le azioni sono soggette alle forze di mercato e pertanto a oscillazioni del prezzo di mercato, non totalmente prevedibili. Il capitale investito in obbligazioni può essere eroso in base al prezzo di vendita o al prezzo di mercato o a modifiche degli importi di riscatto. L'investimento in questi strumenti richiede pertanto cautela. I principali rischi degli investimenti in fondi immobiliari comprendono ridotta liquidità nel mercato immobiliare, variazione dei tassi ipotecari, valutazione immobiliare soggettiva, rischi intrinseci alla costruzione di edifici e rischi ambientali (p. es., contaminazione dei terreni).
Copyright © 2017 Credit Suisse Group e/o delle sue affiliate. Tutti i diritti riservati.
Solo per investitori qualificati
Accedendo a questo sito web, l'utente accetta i seguenti termini e condizioni, con le pagine, i prodotti, servizi, informazioni, strumenti e materiali in esso contenuti o sopra indicati.
Informazioni fornite
Il presente documento è stato realizzato da Credit Suisse con la maggiore cura possibile e al meglio delle proprie conoscenze. Credit Suisse non fornisce comunque alcuna garanzia relativamente al suo contenuto e alla sua completezza e declina qualsiasi responsabilità per le perdite che dovessero derivare dall’utilizzo delle informazioni in esso riportate. Nel documento vengono espresse le opinioni di Credit Suisse all’atto della redazione, che sono soggette a modifica in qualsiasi momento senza preavviso. Salvo indicazioni contrarie, tutti i dati non sono certificati. Il documento viene fornito a solo scopo informativo ad uso esclusivo del destinatario. Esso non costituisce un’offerta né una raccomandazione per l’acquisto o la vendita di strumenti finanziari o servizi bancari e non esonera il ricevente dal fare le proprie valutazioni. Al destinatario si raccomanda in particolare di controllare che tutte le informazioni fornite siano in linea con le proprie circostanze per quanto riguarda le conseguenze legali, regolamentari, fiscali o di altro tipo, ricorrendo se necessario all’ausilio di consulenti professionali
Restrizioni delle vendite e documenti del fondo
Il presente documento non può essere riprodotto neppure parzialmente senza l’autorizzazione scritta di Credit Suisse. Esso è espressamente non indirizzato alle persone che, in ragione della loro nazionalità o luogo di residenza, non sono autorizzate ad accedere a tali informazioni in base alle leggi locali. Né il presente documento né alcuna copia di esso possono essere inviati, portati o distribuiti negli Stati Uniti o a persone US (ai sensi della Regulation S - US Securities Act del 1933 e successivi emendamenti).
Il fondo d’investimento menzionato in questa pagina può essere acquistato unicamente sulla base di prospetti informativi attuali, dei KIID e dalla relazione dell’ultimo annuale esercizio finanziario (o, se più aggiornata, dall’ultima relazione semestrale).Il prospetto informativo, il KIID, le condizioni contrattuali e la relazione annuale o semestrale sono disponibili gratuitamente presso Credit Suisse Funds AG, Zurich, presso Credit Suisse (Schweiz) AG o dalle affilate di Credit Suisse AG in Svizerra
Qualunque offerta, di marketing o sottoscrizione, deve essere regolata in conformità con i diritti svizzeri.
Considerazioni sui rischi
Tutti gli investimenti comportano rischi, in particolare per quanto riguarda le fluttuazioni del valore e del rendimento. Gli investimenti in valuta estera comportano il rischio aggiuntivo che tale moneta possa perdere valore rispetto alla moneta di riferimento dell’investitore. I dati storici sulla performance e gli scenari dei mercati finanziari non costituiscono un indicatore affidabile per i redditi attuali o futuri. I dati relativi alla performance non tengono conto delle commissioni e dei costi applicati al momento dell’emissione e del riscatto delle quote. Inoltre, non può essere garantito che l’andamento dell’indice di riferimento («benchmark») sarà raggiunto od oltrepassato. Alcuni prodotti finanziari includono investimenti in mercati emergenti. I mercati emergenti sono situati in paesi che presentano una o più delle seguenti caratteristiche: un certo grado di instabilità politica, mercati finanziari e modelli di crescita economica difficilmente prevedibili, mercato finanziario ancora in fase di sviluppo o economia debole. Gli investimenti in mercati emergenti comportano solitamente rischi più elevati come rischi politici, rischi economici, rischi di credito, rischi monetari, rischi di liquidità del mercato, rischi legali, rischi di regolamento, rischi di mercato, rischi dell'azionista e del creditore)Gli investitori dovranno essere in grado di accettare i vari gradi di rischi economici che possono derivare dagli investimenti descritti nel sito. Gli investimenti in materie prime e in derivati o indici degli stessi sono soggetti a rischi particolari e ad elevata volatilità. La performance di tali investimenti dipende da fattori non prevedibili come catastrofi naturali, influssi climatici, capacità di trasporto, instabilità politica, fluttuazioni stagionali e forti effetti del roll forward, soprattutto per future e indici.
Gli investimenti in hedge fund possono comportare rischi significativi, tra cui la perdita dell'intero importo investito. I fondi possono essere illiquidi, per l'assenza attuale, e prevedibilmente anche in futuro, di mercati secondari per la negoziazione dei titoli di partecipazione nei fondi. Vi possono essere restrizioni per il trasferimento dei titoli di partecipazione nei fondi, gli investimenti potrebbero essere soggetti a un elevato effetto leva e la performance degli investimenti può essere volatile. Gli investimenti di hedge fund, comprese le opportunità qui descritte, possono includere i seguenti ulteriori rischi: (I) perdita della totalità o di una parte sostanziale del capitale degli investitori, (ii) i gestori d’investimento possono ricevere un'incentivazione a effettuare investimenti più rischiosi o più speculativi a causa del sistema di remunerazione basato sulle performance, (iii) mancanza di liquidità per l'assenza attuale di mercati secondari, (iv) volatilità dei rendimenti, (v) restrizioni sul trasferimento, (vi) potenziale mancanza di diversificazione, (vii) addebito di commissioni e spese più elevate, (viii) minimo o nessun obbligo di fornire a frequenza regolare informazioni di prezzo e (ix) strutture fiscali complesse e ritardi nella distribuzione di informazioni fiscali importanti x) Minor numero di requisiti legali di fondi registrati. Le azioni sono soggette alle forze di mercato e pertanto a oscillazioni del prezzo di mercato, non totalmente prevedibili. Il capitale investito in obbligazioni può essere eroso in base al prezzo di vendita o al prezzo di mercato o a modifiche degli importi di riscatto. L'investimento in questi strumenti richiede pertanto cautela. I principali rischi degli investimenti in fondi immobiliari comprendono ridotta liquidità nel mercato immobiliare, variazione dei tassi ipotecari, valutazione immobiliare soggettiva, rischi intrinseci alla costruzione di edifici e rischi ambientali (p. es., contaminazione dei terreni).
Copyright © 2017 Credit Suisse Group e/o delle sue affiliate. Tutti i diritti riservati.
Bereitgestellte Informationen
Diese Internetseite und die nachfolgenden Internetseiten („Internetseite“ oder „Seite“) richten sich ausschließlich an Anleger in Deutschland und Österreich.
Die auf dieser Internetseite zugänglichen Inhalte wurden von der Credit Suisse AG und / oder mit ihr verbundenen Unternehmen (nachfolgend «CS») mit größter Sorgfalt und nach bestem Wissen und Gewissen erstellt. Die auf dieser Internetseite geäußerten Meinungen sind diejenigen der CS zum Zeitpunkt der Redaktion und können sich jederzeit und ohne Mitteilung ändern. Eine Veränderung der wirtschaftlichen Rahmenbedingungen, mögliche Gesetzesänderungen oder sonstige Ereignisse können die zukünftige Entwicklung abweichend von unseren Darstellungen beeinflussen. Dies gilt insbesondere für Darstellungen zu möglichen Renditen oder Steuern. Ist nichts anderes vermerkt, sind alle Zahlen ungeprüft. Soweit nicht ausdrücklich anders ausgewiesen, handelt es sich bei den auf diesen Internetseiten erhaltenen Informationen um Marketingmaterial, das ausschließlich zu Werbezwecken verbreitet wird. Es darf nicht als unabhängige Wertpapieranalyse/Finanzanalyse verstanden werden.
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Es empfiehlt sich, mögliche Steuerfolgen solcher Investitionen, gegebenenfalls unter Beiziehung eines Steuerberaters, sorgfältig abzuklären und mit Steuerfolgen von Investitionen in andere Produkte zu vergleichen. Weiters wird darauf hingewiesen, dass Anleger die Daten für die Steuerberechnung auch im Falle automatisierter Aufbereitung seitens der CS weiterhin selbst zusammenstellen bzw. ergänzen müssen.
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Zeichnungen sind nur auf Basis des aktuellen Verkaufsprospekts, der wesentlichen Anlegerinformationen, wie des Kundeninformationsdokument (KID), und des letzten Jahresberichts (bzw. Halbjahresberichts, falls dieser aktueller ist) gültig. Diese Unterlagen sowie die Vertragsbedingungen und/oder Statuten sind kostenlos bei der Credit Suisse (Deutschland) Aktiengesellschaft, Junghofstraße 16, 60311 Frankfurt am Main, Deutschland und UniCredit Bank Austria AG, Schottengasse 6–8, A-1010 Wien, Österreich erhältlich.
Die Informationen dieser Seite sind ausschließlich für Anleger in Deutschland und Österreich bestimmt und insbesondere nicht für Personen mit Wohnsitz in den Vereinigten Staaten oder mit US Nationalität und nicht für Personen, die einer Rechtsordnung unterstehen, welche den Zugang oder die Veröffentlichung dieser Internetseite verbietet (aufgrund der Staatsangehörigkeit der betreffenden Person, ihres Wohnsitzes oder aus anderen Gründen). Personen, die solchen lokalen Beschränkungen unterstehen, ist der Zugriff auf diese Internetseite untersagt. Das auf dieser Website zur Verfügung gestellte Material stellt weder ein Verkaufsangebot noch eine Aufforderung zum Kauf von Finanzprodukten oder Bankdienstleistungen in einer Jurisdiktion dar, in der ein solches Verkaufsangebot bzw. eine solche Kaufaufforderung rechtswidrig wäre
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Risikohinweise
DIE PERFORMANCE IN DER VERGANGENHEIT IST KEIN HINWEIS AUF UND BIETET KEINERLEI GARANTIE FÜR DIE KÜNFTIGE PERFORMANCE, UND ES WIRD WEDER EINE AUSDRÜCKLICHE NOCH EINE STILLSCHWEIGENDE HAFTUNG ODER GARANTIE BEZÜGLICH DER KÜNFTIGEN PERFORMANCE ÜBERNOMMEN. ANLAGEN SIND MIT RISIKEN VERBUNDEN, ZU DENEN AUCH DER MÖGLICHE VERLUST DES KAPITALS GEHÖRT. DER KURS, WERT UND ERTRAG DER WERTPAPIERE ODER FINANZINSTRUMENTE KANN SOWOHL STEIGEN ALS AUCH FALLEN. BESTIMMTE ANLAGEN UNTERLIEGEN HOHER VOLATILITÄT UND KÖNNEN PLÖTZLICHE UND UMFANGREICHE WERTRÜCKGÄNGE VERZEICHNEN. VERLUSTE KÖNNEN IHREM URSPRÜNGLICHEN ANLAGEBETRAG ENTSPRECHEN ODER DIESEN ÜBERTREFFEN. AUF FREMDWÄHRUNGEN LAUTENDE WERTPAPIERE UND FINANZINSTRUMENTE UNTERLIEGEN WECHSELKURSSCHWANKUNGEN, DIE EINEN POSITIVEN ODER NEGATIVEN EFFEKT AUF DEN WERT, KURS ODER ERTRAG DIESER WERTPAPIERE ODER FINANZINSTRUMENTE HABEN KÖNNEN. POTENZIELLE ANLEGER SOLLTEN AUCH DIE BESONDEREN RISIKEN BERÜCKSICHTIGEN, DIE MIT INTERNATIONALEN UND GLOBALEN ANLAGEN (INSBESONDERE IN DEN EMERGING MARKETS) SOWIE MIT ANLAGEN IN KLEINE UNTERNEHMEN, IN FONDS ODER ANLAGESTRATEGIEN, DIE SICH AUF EINE BRANCHE, EIN LAND ODER EINE REGION SPEZIALISIEREN, ODER IN SONSTIGE SPEZIALISIERTE, AGGRESSIVE ODER KONZENTRIERTE ANLAGESTRATEGIEN, DIE DEN EINSATZ VON FREMDKAPITAL ODER DERIVATEN VORSEHEN, VERBUNDEN SIND. ANLEGER IN WERTPAPIERE UND FINANZINSTRUMENTE TRAGEN DIESE RISIKEN.
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Copyright © 2016 Credit Suisse Group AG und / oder mit ihr verbundene Unternehmen. Alle Rechte vorbehalten.
SOBRE LA INFORMACION PROPORCIONADA
Toda la información ofrecida en este ‘website’ ha sido elaborada por el Grupo Credit Suisse AG (Credit Suisse), en base a su leal saber y entender, de conformidad con la legislación vigente en la fecha de su elaboración, basándose en información disponible para el público, datos desarrollados internamente y otras fuentes consideradas fiables, aunque la Entidad no garantiza la exactitud de tal información. A no ser que se indique lo contrario, las cifras que se muestran no están auditadas. Todas las opiniones y estimaciones aquí contenidas conforman el parecer de Credit Suisse en el momento de su publicación, y están sujetas a cambios sin notificación previa.
La información aquí contenida es proporcionada a título meramente informativo, y no es el resultado de una investigación o análisis financiero, por lo que no está sometida a los requisitos legales en materia de independencia del análisis financiero. No constituye en ningún caso una oferta de valores, ni asesoramiento en materia de inversión o recomendación personalizada, en los términos establecidos en la normativa vigente, con el objeto de que usted lleve a cabo operación alguna, ni conlleva la prestación de servicios de asesoría financiera, fiscal o legal. Puede que no todos los productos aquí descritos sean adecuados para usted o estén a su alcance. Este ‘website’ podría asimismo no incluir toda la información en que usted podría estar interesado en relación con los productos mencionados. Se recomienda consultar a un asesor financiero o a un asesor fiscal a propósito de la situación financiera y las obligaciones impositivas de cada uno antes de tomar cualquier decisión en cuanto a inversiones.
Credit Suisse no garantiza que las órdenes cursadas sobre la base de la información aquí contenida conlleven ganancias para el inversor. Los datos referentes al rendimiento no tienen en cuenta las comisiones y gastos de la suscripción y el reembolso de participaciones. En caso de reflejarse resultados anteriores de un instrumento o índice financiero o resultados históricos simulados de los mismos, tales resultados no implican rentabilidades o resultados futuros, ni constituyen un indicador fiable de rentabilidades o resultados futuros. Toda inversión implica riesgos, especialmente en lo relativo a las fluctuaciones de valor y de rendimiento. En el caso de las divisas existe además el riesgo de que la divisa se deprecie frente a la moneda de referencia del inversor. Las inversiones internacionales (en especial en los mercados emergentes), las inversiones en pequeñas empresas y las inversiones en fondos o estrategias de inversión enfocadas hacia un sector, país o región, así como otras inversiones especiales cuyas directrices de inversión prevén el uso de capital ajeno o instrumentos derivados están asociadas a riesgos especiales y sólo son adecuadas para inversores experimentados que entiendan totalmente, y estén dispuestos a asumir los riesgos que implican estas inversiones, así como la exposición a unas pérdidas potenciales que pudieran afectar al total de su inversión. Le corresponde por tanto al inversor la toma de decisiones sobre las transacciones a realizar, asumiendo éste, por tanto, los beneficios o pérdidas que puedan generarse como consecuencia de las mismas.
RESTRICCIONES A LA OFERTA Y SOLICITUD
El contenido de estas páginas web no está dirigido a personas en cuya jurisdicción (por su nacionalidad, residencia u otros motivos) esté prohibida la publicación u oferta del mismo. Las personas afectadas por dichas prohibiciones deberán abstenerse de acceder a este ‘website’. El contenido de estas páginas web no es una oferta de venta, ni una solicitud de compra de ningún producto o servicio en jurisdicciones en las que tal oferta de venta o solicitud de compra sea ilegal, no haya sido debidamente autorizada, o no se lleve a cabo por distribuidores debidamente autorizados. Los productos y servicios aquí descritos se comercializan únicamente en aquellas jurisdicciones en las que se hallan inscritos, por distribuidores debidamente autorizados.
Los Fondos mencionados en este ‘website’ están inscritos en el Registro de la CNMV para su comercialización en España por distribuidores autorizados, salvo modificaciones excesivamente recientes que podrían no aparecer aún reflejadas en estas páginas. Este registro en la CNMV no implica que dicho organismo respalde o acepte los Fondos mencionados.
Ejemplares del Folleto informativo, el Documento con los datos fundamentales para el inversor o documento equivalente en el Estado de procedencia del fondo, los últimos informes de contenido económico publicados y demás documentación oficial de cada uno de los Fondos podrá solicitarse gratuitamente a Credit Suisse AG, Sucursal en España y Credit Suisse International, Sucursal en España, con domicilio social en la calle Ayala 42, 28001 Madrid, España, o a cualquiera de los demás distribuidores autorizados en España para la comercialización de dichos Fondos. El inversor debe leer cuidadosamente los mencionados documentos, si fuese necesario con la ayuda de un asesor financiero, antes de suscribir participaciones del mismo.
LEYES FISCALES Y POSIBLES CONSECUENCIAS FISCALES
Las transacciones con productos de inversión están sometidas a normas y disposiciones fiscales en diferentes ordenamientos jurídicos, como pueden ser el ordenamiento jurídico en el que se emite el producto de inversión o en el que está domiciliado el emisor, los ordenamientos jurídicos en los que se suscribe el producto, los ordenamientos jurídicos en los que los inversores mantienen los productos en depósito, los ordenamientos jurídicos en los que los inversores tienen su domicilio o sede o están sujetos al pago de impuestos.
Los inversores serán personalmente responsables de informarse sobre las normas fiscales aplicables vigentes y de observar su cumplimiento a la hora de suscribir, comprar, mantener, vender, reembolsar o distribuir las inversiones. Los posibles comentarios aquí contenidos relativos a las transacciones con productos de inversión no deberán interpretarse como un asesoramiento en materia fiscal por parte de Credit Suisse. Se recomienda evaluar cuidadosamente las posibles consecuencias fiscales de tales inversiones consultando, en su caso, un asesor fiscal. Asimismo se señala que posiblemente los inversores deberán seguir reuniendo o completando ellos mismos los datos para el cálculo de impuestos, aún en los casos en que éstos sean preparados automáticamente por Credit Suisse.
CONFLICTOS DE INTERES
Credit Suisse podría eventualmente participar o invertir en otras operaciones financieras con entidades aquí mencionadas, así como prestar servicios o solicitarlos a dichas entidades, o bien matener posiciones en valores o derivados emitidos por las mismas.
En relación con los productos aquí mencionados, puede ser que Credit Suisse pague o reciba de terceros una remuneración única o recurrente como parte de su compensación. En ese caso, podría ocurrir que sus intereses entren en conflicto con los intereses de los inversores en dichos productos. Informaciones adicionales respecto a estas remuneraciones pueden solicitarse por el inversor a su asesor financiero en Credit Suisse.
PROPIEDAD DEL EMPLAZAMIENTO Y MARCAS COMERCIALES
Este ‘website’ es propiedad del Grupo Credit Suisse AG. Nada de lo aquí contenido podrá interpretarse como concesión de licencia ni derecho de uso alguno sobre ninguna imagen, marca comercial, marca de servicio o logotipo. Ningún acto de descarga o copia del contenido de estas páginas transferirá la titularidad de ningún componente informático ni de contenido en su favor.
USO DE LA INFORMACIÓN
El contenido de este ‘website’ está protegido por las leyes del copyright y de la propiedad intelectual en favor de Credit Suisse, quedando reservados todos los derechos. El material es sólo para su consulta y sólo podrá descargar o imprimir informaciones para su uso personal. Póngase en contacto con Credit Suisse para obtener su consentimiento por escrito si desea reproducir o distribuir cualquier contenido, vincular este ‘website’ o emplear este material para otros fines. Credit Suisse no ha comprobado los ‘websites’ externos que contienen vínculos a éste, ni se hace responsable de ellos, ni de ningún vínculo que comience en éste y conduzca a otros que no sean propiedad de Credit Suisse. La decisión de seguir enlaces desde este ‘website’ hacia otro que no sea propiedad de Credit Suisse es bajo su responsabilidad.
AUSENCIA DE GARANTÍAS Y RESPONSABILIDADES
La información aquí contenida se proporciona "como cuerpo cierto", en la forma en que se encuentre", y Credit Suisse no garantiza la actualización, precisión, integridad, calidad o adecuación a propósitos específicos. Credit Suisse no garantiza en modo alguno que este ‘website’ esté libre de virus y demás componentes dañinos. En ninguna circunstancia, incluida, aunque sin limitación a ella, la negligencia, Credit Suisse será responsable de ningún daño, perjuicio o lucro cesante derivado de la utilización o incapacidad de utilización de este ‘website’ o de su contenido, ni de cualquier acción u omisión ocasionada por el uso del mismo.
By accessing this web site, the pages contained on it, and the products, services, information, tools and material contained or described herein (the "Site"), you acknowledge your agreement with and understanding of the following terms of use.
Information supplied
The content available on this Site was prepared and assembled by CREDIT SUISSE FUND MANAGEMENT S.A. (the “Management Company”), which is a Luxembourg incorporated fund management company subject to the provisions of Chapter 15 of the Luxembourg Law of December 17, 2010 on undertakings for collective investment (“Luxembourg Law of December 17, 2010”) transposing Directive 2009/65/EC of the European Parliament and of the Council of July 13, 2009 on the coordination of laws, regulations and administrative provisions relating to undertakings for collective investment in transferable securities (UCITS). The Management Company is authorized and regulated by the Commission de Surveillance du Secteur Financier (CSSF).
The Site provides key fund documentation of those Credit Suisse investment funds established under the Luxembourg Law of December 17, 2010 that are authorized to be marketed in Finland. It is aimed exclusively at investors in Finland with the sole purpose of providing these investors public access to such fund documents, namely the Key Investor Information Document (KIID).
All details of this Site are intended purely for information purposes. On no account is the information supplied to be regarded as offering investment recommendation or financial, taxation or other professional advice. The investment funds referred to herein may not be suitable for everyone and, if in doubt, interested persons should consult a qualified specialist before taking investment decisions.
No reliance may be placed for any purpose on the information or opinions contained on this Site or their accuracy or completeness, with the exception of information presented in the fund documents as facts about the fund, statistics, historical data etc. No representation, warranty or undertaking, express or implied, is given to the accuracy or completeness of the information or opinions contained on this Site by the Management Company and no liability is accepted by the Management Company for the accuracy or completeness of any such information or opinions.
Sales Restrictions and Fund Documents
This Site is aimed exclusively at investors in Finland and is not directed to any person in any jurisdiction where (by reason of that's person nationality, residence or otherwise) its publication or availability is prohibited. Persons should inform themselves of such prohibitions and, if subject to local restrictions of this type, must refrain from accessing this Site. The material contained on this Site is not an offer to sell, or a solicitation of an offer to buy any financial products or banking services in any jurisdiction where such an offer or solicitation of purchase or sale would be unlawful.
The investment funds may be purchased only on the basis of the most recent sales prospectus, the key investor information document and the most recent annual report (or half-yearly report, if this is more recent). These and the fund management regulations or articles of the investment funds may be obtained free of charge from CREDIT SUISSE FUND MANAGEMENT S.A., P.O. Box 369, L-2013 Luxembourg, any appointed distributor of the investment funds in Finland and this Site.
Tax laws and potential tax consequences
Transactions in investment funds are subject to tax laws and provisions under various legal jurisdictions: e.g. in the legal jurisdiction in which the investment funds are issued or in which the issuer is domiciled; in the legal jurisdictions in which the investment funds have invested; in the legal jurisdictions in which these investment funds are held in the safekeeping accounts of investors; in the legal jurisdiction in which the investors are domiciled or resident or are subject to tax obligations. Potential investors are personally responsible for informing themselves about the applicable tax laws and provisions and for complying with them in connection with the subscription, purchase, holding, sale, redemption or distribution of investments. Statements about transactions in investment funds may not be construed as tax advice on the part of the Management Company. It is recommended that investors carefully consider the potential tax consequences of such investments, as needed with the assistance of a tax advisor, and compare them with the tax consequences of investing in other products. It is also important to note that investors must still themselves compile and/or supplement the data for the calculation of taxes even where such data has been automatically prepared on the part of the Management Company.
Risk Considerations
PAST PERFORMANCE SHOULD NOT BE TAKEN AS AN INDICATION OR GUARANTEE OF FUTURE PERFORMANCE, AND NO REPRESENTATION OR WARRANTY, EXPRESS OR IMPLIED, IS MADE REGARDING FUTURE PERFORMANCE. INVESTING ENTAILS RISKS, INCLUDING POSSIBLE LOSS OF PRINCIPAL. THE PRICE OF, VALUE OF AND INCOME FROM SECURITIES OR FINANCIAL INSTRUMENTS CAN FALL AS WELL AS RISE. CERTAIN INVESTMENTS ARE SUBJECT TO HIGH VOLATILITY, AND MAY EXPERIENCE SUDDEN AND LARGE FALLS IN THEIR VALUE. LOSSES MAY EQUAL OR EXCEED YOUR ORIGINAL INVESTMENT. FOREIGN CURRENCY-DENOMINATED SECURITIES AND FINANCIAL INSTRUMENTS ARE SUBJECT TO FLUCTUATIONS IN EXCHANGE RATES THAT MAY HAVE A POSITIVE OR ADVERSE EFFECT ON THE VALUE, PRICE OR INCOME OF SUCH SECURITIES OR FINANCIAL INSTRUMENTS. THERE ARE ALSO SPECIAL RISK CONSIDERATIONS ASSOCIATED WITH INTERNATIONAL AND GLOBAL INVESTING (ESPECIALLY EMERGING MARKETS), SMALL-COMPANY INVESTING, SINGLE-INDUSTRY FUNDS OR INVESTMENT STRATEGIES, SINGLE-COUNTRY OR REGIONAL FUNDS OR INVESTMENT STRATEGIES, OR OTHER SPECIAL, AGGRESSIVE OR CONCENTRATED INVESTMENT STRATEGIES, SUCH AS THE USE OF LEVERAGE OR DERIVATIVES. INVESTORS IN SECURITIES AND FINANCIAL INSTRUMENTS LIKE INVESTMENT FUNDS EFFECTIVELY ASSUME THESE RISKS
Informations disponibles
Les informations contenues dans ce site web sont fournies par CREDIT SUISSE. Toutes les données publiées ne sont destinées qu’à des fins d’information et s’adressent exclusivement aux investisseurs domiciliés en France. Les informations disponibles ne doivent en aucun cas être interprétées comme des recommandations de placement. Les investisseurs potentiels devraient consulter un spécialiste avant de prendre une décision de placement.
Lois fiscales et conséquences fiscales possibles
Les transactions portant sur des produits de placement sont soumises à des lois et des dispositions fiscales dans différents ordres juridiques: par exemple l'ordre juridique dans lequel les produits de placement sont émis ou dans lequel l'émetteur a son domicile; les ordres juridiques dans lesquels les produits de placement ont investi; les ordres juridiques dans lesquels les investisseurs conservent ces produits de placement en dépôt; l'ordre juridique dans lequel les investisseurs ont leur domicile ou leur siège ou sont assujettis à l'impôt.
Les investisseurs potentiels sont personnellement responsables de se renseigner sur les lois fiscales applicables et les dispositions en vigueur et de les respecter s'agissant de la souscription, de l'achat, de la détention, de la vente, de la restitution ou des versements resultant de produits de placement. Les indications concernant des transactions sur des produits de placement ne doivent pas être interprétées comme étant un conseil fiscal du Credit Suisse AG.
Il est recommandé d'étudier soigneusement les éventuelles retombées fiscales de ce type de placements, le cas échéant en faisant appel à un conseiller fiscal, et de les comparer aux conséquences fiscales de placements effectués dans d'autres produits. De plus, les investisseurs peuvent devoir également réunir ou compléter eux-mêmes les données requises pour le calcul de l'impôt, même si elles sont préparées de manière automatisée du côté de Credit Suisse AG.
Restrictions de vente et documents sur les fonds
Les informations publiées sur ce site web ne constituent ni une sollicitation, ni une offre ou une recommandation en vue d’acheter ou de vendre des fonds de placement ou d’effectuer toute autre transaction. Les informations de ce site web ne sont pas destinées aux personnes relevant d’un système juridique dans lequel (en raison de la nationalité des personnes, de leur lieu de résidence ou pour toute autre raison) la diffusion ou l’accès à ce site est interdit. Les personnes soumises à de telles restrictions ne doivent pas accéder à ce site web. Les indications des rendements ne considèrent pas les commissions et frais appliqués lors de la souscription ou du rachat. Avant d’acquérir des parts de fonds de placement, les investisseurs devraient dans tous les cas lire attentivement le prospectus ainsi que le dernier rapport annuel (ou rapport semestriel, si celui-ci est le plus récent) de même que tous les autres documents contenant des informations juridiques importantes (règlement ou conditions contractuelles ou statuts et, le cas échéant, prospectus simplifié).
Le correspondant centralisateur de la fonds Credit Suisse de droit luxembourgeois pour la France est BNP Paribas Securities Services, société domiciliée au : 3, rue d’Antin – 75002 Paris. Le correspondant centralisateur du CS ETF (Lux) pour la France est Société Générale, établissement domicilié au : 29, boulevard Haussmann, 75009 Paris, France.
Credit Suisse Fund Services (Luxembourg) S.A., 5, rue Jean Monnet, L-2180 Luxembourg, est le distributeur du fonds en France.
Le prospectus, le document d'informations clés pour l'investisseur ainsi que les rapports annuels et semestriels sont disponibles auprès de la société de gestion, de Credit Suisse Fund Services (Luxembourg) S.A., BNP Paribas Securities Services respectivement Société Générale, et de toutes les banques du Credit Suisse Group AG.
Toutes les fonds consultables sur cette page web sont autorisés à la commercialisation en France par l’Autorité des Marchés Financiers.
Informations relatives aux risques
LES PERFORMANCES PASSEES NE SONT NI UNE INDICATION NI UNE GARANTIE DES PERFORMANCES FUTURES. LE CREDIT SUISSE N’ASSUME AUCUNE RESPONSABILITE ET NE DONNE AUCUNE GARANTIE, EXPLICITE OU IMPLICITE, QUANT AUX PERFORMANCES FUTURES. TOUT PLACEMENT COMPORTE DES RISQUES, Y COMPRIS UNE PERTE EVENTUELLE DU CAPITAL. LE PRIX, LA VALEUR ET LES REVENUS DE TITRES OU D’INSTRUMENTS FINANCIERS PEUVENT DIMINUER OU AUGMENTER. CERTAINS PLACEMENTS SONT SUJETS A UNE VOLATILITE ELEVEE ET PEUVENT PRESENTER DES FLUCTUATIONS DE VALEUR AUSSI FORTES QUE SOUDAINES. IL SE PEUT QUE LES PERTES EGALENT OU DEPASSENT VOTRE INVESTISSEMENT INITIAL. LES TITRES ET INSTRUMENTS FINANCIERS LIBELLES EN MONNAIE ETRANGERE SONT SUJETS AUX FLUCTUATIONS DU MARCHE DES CHANGES, CE QUI PEUT AVOIR UN EFFET POSITIF OU NEGATIF SUR LA VALEUR, LE PRIX OU LES REVENUS DE CES TITRES OU INSTRUMENTS FINANCIERS. IL SE PEUT AUSSI QUE CERTAINS PLACEMENTS NE SOIENT PAS AISEMENT REALISABLES ET QU’ILS SOIENT DES LORS DIFFICILES A VENDRE OU A REALISER. DE MEME, IL VOUS SERA PEUT-ETRE DIFFICILE D’OBTENIR DES INFORMATIONS FIABLES SUR LA VALEUR D’UN TEL PLACEMENT OU SUR LES RISQUES AUXQUELS IL EST EXPOSE. IL CONVIENDRA EGALEMENT DE TENIR COMPTE DES RISQUES PARTICULIERS LIES AUX PLACEMENTS INTERNATIONAUX ET MONDIAUX (EN PARTICULIER SUR LES MARCHES EMERGENTS), A L'INVESTISSEMENT DANS DES PETITES SOCIETES, AUX FONDS OU STRATEGIES DE PLACEMENT MONOSECTORIELS, AUX FONDS OU STRATEGIES DE PLACEMENT AXES SUR UN SEUL PAYS OU UNE SEULE REGION OU ENCORE A TOUTES LES AUTRES STRATEGIES DE PLACEMENT PARTICULIERES, AGRESSIVES OU CONCENTREES, COMME L’UTILISATION DE LEVIERS FINANCIERS OU D’INSTRUMENTS DERIVES. CE SONT LES INVESTISSEURS QUI ASSUMENT EFFECTIVEMENT CES RISQUES.
By accessing this web site, the pages contained on it, and the products, services, information, tools and material contained or described herein (the "Site"), you acknowledge your agreement with and understanding of the following terms of use.
Information supplied
The content available on this Site was prepared and assembled by CREDIT SUISSE FUND MANAGEMENT S.A. (the “Management Company”), which is a Luxembourg incorporated fund management company subject to the provisions of Chapter 15 of the Luxembourg Law of December 17, 2010 on undertakings for collective investment (“Luxembourg Law of December 17, 2010”) transposing Directive 2009/65/EC of the European Parliament and of the Council of July 13, 2009 on the coordination of laws, regulations and administrative provisions relating to undertakings for collective investment in transferable securities (UCITS). The Management Company is authorized and regulated by the Commission de Surveillance du Secteur Financier (CSSF).
The Site provides key fund documentation of those Credit Suisse investment funds established under the Luxembourg Law of December 17, 2010 that are authorized to be marketed in Greece. It is aimed exclusively at investors in Greece with the sole purpose of providing these investors public access to such fund documents, in particular the Key Investor Information Document (KIID).
All details of this Site are intended purely for information purposes. On no account is the content of the Site to be regarded as offering investment recommendation or financial, taxation or other professional advice or as constituting an offer or incitement to conclude an agreement or other transaction or act. The investment funds referred to herein may not be suitable for everyone and, if in doubt, interested persons should consult a qualified specialist before taking investment decisions.
Usage of this Site is the sole responsibility of the user. No reliance may be placed for any purpose on the information or opinions contained on this Site or their accuracy or completeness. No representation, warranty or undertaking, express or implied, is given to the accuracy or completeness of the information or opinions contained on this Site by the Management Company and no liability is accepted by the Management Company for the accuracy or completeness of any such information or opinions or for any damages, losses or other consequences arising from reliance on the content of the Site or from use of the Site.
Sales Restrictions and Fund Documents
This Site is aimed exclusively at investors in Greece and is not directed to any person in any jurisdiction where (by reason of that's person nationality, residence or otherwise) its publication or availability is prohibited. Persons should inform themselves of such prohibitions and, if subject to local restrictions of this type, must refrain from accessing this Site. The material contained on this Site is not an offer to sell, or a solicitation of an offer to buy any financial products or banking services in any jurisdiction where such an offer or solicitation of purchase or sale would be unlawful. The investment funds may be purchased only on the basis of the most recent sales prospectus, the key investor information document and the most recent annual report (or half-yearly report, if this is more recent). These and the fund management regulations or articles of the investment funds may be obtained free of charge from CREDIT SUISSE FUND MANAGEMENT S.A., P.O. Box 369, L-2013 Luxembourg, any appointed distributor of the investment funds in Greece and this Site.
Tax laws and potential tax consequences
Transactions in investment funds are subject to tax laws and provisions under various legal jurisdictions: e.g. in the legal jurisdiction in which the investment funds are issued or in which the issuer is domiciled; in the legal jurisdictions in which the investment funds have invested; in the legal jurisdictions in which these investment funds are held in the safekeeping accounts of investors; in the legal jurisdiction in which the investors are domiciled or resident or are subject to tax obligations.
Potential investors are personally responsible for informing themselves about the applicable tax laws and provisions and for complying with them in connection with the subscription, purchase, holding, sale, redemption or distribution of investments. Statements about transactions in investment funds may not be construed as tax advice on the part of the Management Company. It is recommended that investors carefully consider the potential tax consequences of such investments, as needed with the assistance of a tax advisor, and compare them with the tax consequences of investing in other products. It is also important to note that investors must still themselves compile and/or supplement the data for the calculation of taxes even where such data has been automatically prepared on the part of the Management Company.
Risk Considerations
PAST PERFORMANCE SHOULD NOT BE TAKEN AS AN INDICATION OR GUARANTEE OF FUTURE PERFORMANCE, AND NO REPRESENTATION OR WARRANTY, EXPRESS OR IMPLIED, IS MADE REGARDING FUTURE PERFORMANCE. INVESTING ENTAILS RISKS, INCLUDING POSSIBLE LOSS OF PRINCIPAL. THE PRICE OF, VALUE OF AND INCOME FROM SECURITIES OR FINANCIAL INSTRUMENTS CAN FALL AS WELL AS RISE. CERTAIN INVESTMENTS ARE SUBJECT TO HIGH VOLATILITY, AND MAY EXPERIENCE SUDDEN AND LARGE FALLS IN THEIR VALUE. LOSSES MAY EQUAL OR EXCEED YOUR ORIGINAL INVESTMENT. FOREIGN CURRENCY-DENOMINATED SECURITIES AND FINANCIAL INSTRUMENTS ARE SUBJECT TO FLUCTUATIONS IN EXCHANGE RATES THAT MAY HAVE A POSITIVE OR ADVERSE EFFECT ON THE VALUE, PRICE OR INCOME OF SUCH SECURITIES OR FINANCIAL INSTRUMENTS. THERE ARE ALSO SPECIAL RISK CONSIDERATIONS ASSOCIATED WITH INTERNATIONAL AND GLOBAL INVESTING (ESPECIALLY EMERGING MARKETS), SMALL-COMPANY INVESTING, SINGLE-INDUSTRY FUNDS OR INVESTMENT STRATEGIES, SINGLE-COUNTRY OR REGIONAL FUNDS OR INVESTMENT STRATEGIES, OR OTHER SPECIAL, AGGRESSIVE OR CONCENTRATED INVESTMENT STRATEGIES, SUCH AS THE USE OF LEVERAGE OR DERIVATIVES. INVESTORS IN SECURITIES AND FINANCIAL INSTRUMENTS LIKE INVESTMENT FUNDS EFFECTIVELY ASSUME THESE RISKS
ΤΑ ΑΜΟΙΒΑΙΑ ΚΕΦΑΛΑΙΑ ΔΕΝ ΕΧΟΥΝ ΕΓΓΥΗΜΕΝΗ ΑΠΟΔΟΣΗ ΚΑΙ ΟΙ ΠΡΟΗΓΟΥΜΕΝΕΣ ΑΠΟΔΟΣΕΙΣ ΔΕΝ ΔΙΑΣΦΑΛΙΖΟΥΝ ΤΙΣ ΜΕΛΛΟΝΤΙΚΕΣ
Le informazioni disponibili in questo sito web sono state preparate da Credit Suisse sulla base dell'informativa disponibile al pubblico, dei dati sviluppati internamente e di altre fonti ritenute affidabili. Tali informazioni possono subire cambiamenti senza preavviso. Abbiamo vagliato con ragionevole attenzione l'accuratezza dei materiali e la correttezza ed affidabilità delle opinioni riportate. Tutte le opinioni e previsioni rappresentano nostre valutazioni e non costituiscono in alcun modo una consulenza d'investimento. Salvo diversa indicazione, le cifre riportate non sono certificate. I prodotti e servizi possono non essere disponibili o adatti alle esigenze del cliente.
La scelta d'investire nei fondi descritti su questo sito dovrebbe essere presa solo dopo attento esame dell'ultimo prospetto informativo e delle informazioni di carattere legale ivi contenute. Il prospetto informativo può essere ottenuto gratuitamente scaricandolo da questo sito o richiedendolo alle società di gestione, ai soggetti collocatori o ai loro promotori.
NORMATIVA FISCALE - AVVERTENZE
Le transazioni in prodotti d’investimento soggiacciono a leggi e disposizioni fiscali che dipendono degli ordinamenti applicabili: ad es. nell’ordinamento in cui sono emessi i prodotti d’investimento o nel quale l’emittente ha il suo domicilio; negli ordinamenti in cui i prodotti d'investimento hanno investito; negli ordinamenti in cui questi prodotti sono detenuti dagli investitori nel loro deposito; nell’ordinamento in cui gli investitori sono residenti o sono soggetti a imposta.
I potenziali investitori sono quindi tenuti a informarsi sulle leggi fiscali applicabili e sulle disposizioni in vigore e a osservarle in sede di sottoscrizione, acquisto, detenzione, vendita, restituzione o distribuzione dell’investimento. Le dichiarazioni in merito a transazioni in strumenti d’investimento non possono essere interpretate come una consulenza fiscale di Credit Suisse AG.
Si raccomanda di accertare scrupolosamente le possibili implicazioni fiscali di questi investimenti, eventualmente consultandosi con un consulente fiscale e di raffrontarle alle conseguenze fiscali di investimenti in altri prodotti. Si fa inoltre presente che gli investitori dovranno eventualmente raccogliere, integrare e verificare sotto la propria personale responsabilità i dati per il calcolo dell’imposta, anche in caso di predisposizione degli stessi a cura di Credit Suisse.
PRIMA DELL'ADESIONE LEGGERE IL PROSPETTO INFORMATIVO. I RENDIMENTI OTTENUTI IN PASSATO NON COSTITUISCONO ALCUNA GARANZIA PER I RENDIMENTI FUTURI.
Restrizioni all'offerta e sollecitazione
Il materiale contenuto all'interno del sito web non intende costituire un'offerta di vendita diretta a soggetti residenti in Stati ove tale offerta sarebbe proibita. I prodotti possono essere offerti solo se la vendita degli stessi è stata autorizzata dagli organi di controllo competenti. La lista seguente mostra i fondi di diritto lussemburghese descritti su questo sito autorizzati alla vendita in Italia.
Questi fondi non sono autorizzati alla vendita nel Regno Unito, Stati Uniti o in Giappone.
Proprietà del sito e marchi registrati
Questo sito è proprietà di Credit Suisse, banca svizzera autorizzata ad operare ed avente la sede sociale in Svizzera. Credit Suisse è un marchio registrato. Nessun elemento di questo sito deve essere interpretato come autorizzazione o diritto all'utilizzo di immagini, marchi registrati e denominazioni.
Uso di informazioni
Il contenuto di questo sito è interamente soggetto ai diritti d'autore e agli altri diritti di proprietà di Credit Suisse e delle sue filiali, con tutti i diritti riservati. Le informazioni sono destinate esclusivamente all'utilizzo sul web. Si prega di contattare Credit Suisse per ottenere un esplicito consenso scritto alla riproduzione di contenuti, creazione di link o per l'utilizzo di materiale a fini commerciali. E' consentito solamente il download o la stampa di informazioni presenti sul esclusivamente per uso personale, con l'obbligo di fare riferimento alla fonte "Credit Suisse".
Siti collegati
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NESSUNA GARANZIA : NESSUNA RESPONSABILITA'
CREDIT SUISSE NON GARANTISCE LA REGOLARITA', L'ACCURATEZZA, LA COMPLETEZZA, LA VENDIBILITA', L'ADATTABILITA' A SCOPI PARTICOLARI, O NON STRETTAMENTE CONNESSI A QUESTO SITO O AI SUOI CONTENUTI, DELLE INFORMAZIONI FORNITE SU QUESTO SITO. NON VIENE FORNITA ALCUNA GARANZIA IMPLICITA O ESPLICITA. INOLTRE CREDIT SUISSE NON PUO’ GARANTIRE CHE QUESTO SITO SIA PRIVO DI VIRUS O DI ELEMENTI DANNOSI.
IN NESSUN CASO, IVI INCLUSE SITUAZIONI IN CUI SIA RISCONTRABILE NEGLIGENZA, CREDIT SUISSE POTRA' ESSERE RITENUTA RESPONSABILE DEI DANNI (INCLUSE PERDITE DI PROFITTO) CHE DERIVINO DA INFORMAZIONI CONTENUTE NEL PRESENTE SITO O DERIVANTI DA UN ERRATO USO DEL SITO O DI SUE PARTI, DI SUOI CONTENUTI O COMUNQUE DA QUALSIASI SCELTA DI INVESTIMENTO ADOTTATA DAI CLIENTI SULLA BASE DELLE INFORMAZIONI DISPONIBILI SUL PRESENTE SITO.
Conflitti di interesse
Credit Suisse e/o le sue società e i suoi impiegati possono avere interessi o posizioni nei titoli citati nel materiale disponibile su questo sito e/o possono avere un rapporto o aver fornito servizi alle società emittenti dei titoli stessi.
Diritto e giurisdizione applicabile
Qualunque questione insorga in relazione a questo sito web sarà disciplinata dal diritto svizzero, indipendentemente dall'ordinamento prescelto o da incompatibilità giurisdizionali. Il tribunale di Zurigo avrà piena giurisdizione nel dirimere ogni controversia che possa insorgere da o in relazione a queste condizioni. Credit Suisse si riserva il diritto di reclamare la competenza del tribunale di Zurigo e trasferire a questi qualsiasi procedimento fosse aperto presso altre giurisdizioni.
INFORMATION SUPPLIED The content available on this website was prepared and assembled by CREDIT SUISSE AG, which is authorised and regulated in the UK by the Financial Services Authority (the "FCA"). All details are intended purely for information purposes and are aimed exclusively at investors in the Netherlands. On no account is the information supplied to be regarded as offering investment recommendations or financial, taxation or other professional advice. The investment products referred to herein may not be suitable for everyone and, if in doubt, interested persons should consult a qualified specialist before taking investment decisions. No reliance may be placed for any purpose on the information or opinions contained in this website or their accuracy or completeness. No representation, warranty or undertaking, express or implied, is given to the accuracy or completeness of the information or opinions contained in this website by CREDIT SUISSE AG or Credit Suisse Asset Management Limited and no liability is accepted by either CREDIT SUISSE AG or Credit Suisse Asset Management Limited for the accuracy or completeness of any such information or opinions. SALES RESTRICTIONS AND FUND DOCUMENTS The information contained on this website does not constitute a request, offer or recommendation to buy or sell collective investment schemes or to engage in any other transactions. The information on this website is not intended for persons subject to a jurisdiction that prohibits access to or publication of this website (based on the person's nationality or domicile, or for other reasons). Persons should inform themselves of such prohibitions and, if subject to local restrictions of this type, must refrain from accessing this website. Interested persons must be aware that prices of units in collective investment schemes can fall as well as rise and may be affected by exchange rate variations. For this reason, the historical performance of a collective investment scheme is no guarantee, nor is it a reliable indicator, of its current and future performance. Investors in collective investment schemes may not get back the amount invested. The levels and reliefs from any taxation may change. Any tax reliefs referred to in this website are those currently available (which may be subject to change) and their value depends on the circumstances of each individual. Persons should consult their own tax adviser in order to understand any applicable tax consequences. Collective investment schemes may be purchased only on the basis of the most recent sales prospectus, the key investor information document, the most recent annual report, and - if published thereafter - the most recent semi-annual report, in addition to other relevant legal documents, including any subscription form and the contractual terms and conditions or articles of the collective investment scheme, (the "Fund Documentation"). The Fund Documentation can be requested free of charge from the relevant management company and on this website. REGISTRATION OF CREDIT SUISSE (CS) PRODUCTS The Luxembourg CS products displayed on this website are approved by the Commission de Surveillance du Secteur Financier (CSSF) for distribution in Luxembourg and are registered in the Netherlands in the register kept by the Dutch Authority for Financial Markets (Stichting Autoriteit Financiële Markten, the "AFM"). The Irish CS products displayed on this website are approved by the Central Bank of Ireland (CBI) for distribution in Ireland and are also registered in the Netherlands in the register kept by the AFM. The AFM register can be consulted via www.afm.nl/register.
Please read carefully these terms of use before you access this web site. By accessing this web site, the pages contained on it, and the products, services, information, tools and material contained or described herein (the "Site"), you acknowledge your agreement with and understanding of the following terms of use.
Information supplied
The content available on this Site was prepared and assembled by CREDIT SUISSE FUND MANAGEMENT S.A. (the “Management Company”), which is a Luxembourg incorporated fund management company with head office at 5, rue Jean Monnet, L-2180 Luxembourg and subject to the provisions of Chapter 15 of the Luxembourg Law of December 17, 2010 on undertakings for collective investment (“Luxembourg Law of December 17, 2010”) transposing Directive 2009/65/EC of the European Parliament and of the Council of July 13, 2009 on the coordination of laws, regulations and administrative provisions relating to undertakings for collective investment in transferable securities (UCITS). The Management Company is authorized and regulated by the Commission de Surveillance du Secteur Financier (CSSF).
The Site provides key fund documentation of those Credit Suisse investment funds established under the Luxembourg Law of December 17, 2010 that are authorized to be marketed in Portugal by Portuguese Securities Commission (“CMVM). It is aimed exclusively at investors in Portugal with the sole purpose of providing these investors public access to such fund documents, namely the Key Investor Information Document (KIID) in Portuguese language.
All details of this Site are intended purely for information purposes. On no account is the information supplied to be regarded as offering investment recommendation or financial, taxation or other professional advice. The investment funds referred to herein may not be suitable for everyone and, if in doubt, interested persons should consult a qualified specialist before taking investment decisions.
No reliance may be placed for any purpose on the information or opinions contained on this Site or their accuracy or completeness. No representation, warranty or undertaking, express or implied, is given to the accuracy or completeness of the information or opinions contained on this Site by the Management Company and no liability is accepted by the Management Company for the accuracy or completeness of any such information or opinions.
The Management Company is entitled to change these terms of use at any time with immediate effect and without previous notice.
Sales Restrictions and Fund Documents
This Site is aimed exclusively at investors in Portugal and is not directed to any person in any jurisdiction where (by reason of that's person nationality, residence or otherwise) its publication or availability is prohibited. Persons should inform themselves of such prohibitions and, if subject to local restrictions of this type, must refrain from accessing this Site. The material contained on this Site is not an offer to sell, or a solicitation of an offer to buy any financial products or banking services in any jurisdiction where such an offer or solicitation of purchase or sale would be unlawful. The investment funds may be purchased only on the basis of the most recent sales prospectus, the key investor information document and the most recent annual report (or half-yearly report, if this is more recent). These and the fund management regulations or articles of the investment funds may be obtained free of charge from CREDIT SUISSE FUND MANAGEMENT S.A., P.O. Box 369, L-2013 Luxembourg, any appointed distributor of the investment funds in Portugal and this Site.
Tax laws and potential tax consequences
Transactions in investment funds are subject to tax laws and provisions under various legal jurisdictions: e.g. in the legal jurisdiction in which the investment funds are issued or in which the issuer is domiciled; in the legal jurisdictions in which the investment funds have invested; in the legal jurisdictions in which these investment funds are held in the safekeeping accounts of investors; in the legal jurisdiction in which the investors are domiciled or resident or are subject to tax obligations.
Potential investors are personally responsible for informing themselves about the applicable tax laws and provisions and for complying with them in connection with the subscription, purchase, holding, sale, redemption or distribution of investments. Statements about transactions in investment funds may not be construed as tax advice on the part of the Management Company. It is recommended that investors carefully consider the potential tax consequences of such investments, as needed with the assistance of a tax advisor, and compare them with the tax consequences of investing in other products. It is also important to note that investors must still themselves compile and/or supplement the data for the calculation of taxes even where such data has been automatically prepared on the part of the Management Company.
Risk Considerations
DISCLOSED PERFORMANCE CORRESPONDS TO PAST INFORMATION AND SHOULD NOT BE TAKEN AS AN INDICATION OR GUARANTEE OF FUTURE PERFORMANCE, AS THE VALUE OF THE SHARES OR UNITS MAY INCREASE OR DECREASE ATTENDING TO THE LEVEL OF RISK. NO REPRESENTATION OR WARRANTY, EXPRESS OR IMPLIED, IS MADE REGARDING FUTURE PERFORMANCE. THE PERFORMANCE DATA DOES NOT REFLECT THE VALUE OF THE EVENTUAL SUBSCRIPTION AND REDEMPTION COMMISSIONS. WHENEVER ANNUALIZED PERFORMANCE IS DISCLOSED FOR A PERIOD HIGHER THAN ONE YEAR, SUCH ANNUAL PERFOMANCE WOULD ONLY BE POSSIBLE TO BE OBTAINED IF THE INVESTMENT WAS MADE DURING THE WHOLE PERIOD. INVESTING ENTAILS RISKS, INCLUDING POSSIBLE LOSS OF PRINCIPAL. THE PRICE OF, VALUE OF AND INCOME FROM SECURITIES OR FINANCIAL INSTRUMENTS CAN FALL AS WELL AS RISE. CERTAIN INVESTMENTS ARE SUBJECT TO HIGH VOLATILITY, AND MAY EXPERIENCE SUDDEN AND LARGE FALLS IN THEIR VALUE. LOSSES MAY EQUAL OR EXCEED YOUR ORIGINAL INVESTMENT. FOREIGN CURRENCY-DENOMINATED SECURITIES AND FINANCIAL INSTRUMENTS ARE SUBJECT TO FLUCTUATIONS IN EXCHANGE RATES THAT MAY HAVE A POSITIVE OR ADVERSE EFFECT ON THE VALUE, PRICE OR INCOME OF SUCH SECURITIES OR FINANCIAL INSTRUMENTS. THERE ARE ALSO SPECIAL RISK CONSIDERATIONS ASSOCIATED WITH INTERNATIONAL AND GLOBAL INVESTING (ESPECIALLY EMERGING MARKETS), SMALL-COMPANY INVESTING, SINGLE-INDUSTRY FUNDS OR INVESTMENT STRATEGIES, SINGLE-COUNTRY OR REGIONAL FUNDS OR INVESTMENT STRATEGIES, OR OTHER SPECIAL, AGGRESSIVE OR CONCENTRATED INVESTMENT STRATEGIES, SUCH AS THE USE OF LEVERAGE OR DERIVATIVES. INVESTORS IN SECURITIES AND FINANCIAL INSTRUMENTS LIKE INVESTMENT FUNDS EFFECTIVELY ASSUME THESE RISKS
By accessing this web site, the pages contained on it, and the products, services, information, tools and material contained or described herein (the "Site"), you acknowledge your agreement with and understanding of the following terms of use.
Information supplied
The content available on this Site was prepared and assembled by CREDIT SUISSE FUND MANAGEMENT S.A. (the “Management Company”), which is a Luxembourg incorporated fund management company subject to the provisions of Chapter 15 of the Luxembourg Law of December 17, 2010 on undertakings for collective investment (“Luxembourg Law of December 17, 2010”) transposing Directive 2009/65/EC of the European Parliament and of the Council of July 13, 2009 on the coordination of laws, regulations and administrative provisions relating to undertakings for collective investment in transferable securities (UCITS). The Management Company is authorized and regulated by the Commission de Surveillance du Secteur Financier (CSSF).
The Site provides key fund documentation of those Credit Suisse investment funds established under the Luxembourg Law of December 17, 2010 that are authorized to be marketed in Sweden. It is aimed exclusively at investors in Sweden with the sole purpose of providing these investors public access to such fund documents, namely the Key Investor Information Document (KIID).
All details of this Site are intended purely for information purposes and should not be considered as an offer or solicitation to enter into any transactions. On no account is the information supplied to be regarded as offering investment recommendation or financial, taxation or other professional advice. The investment funds referred to herein may not be suitable for everyone and, if in doubt, interested persons should consult a qualified specialist before taking investment decisions.
No reliance may be placed for any purpose on the information or opinions contained on this Site or their accuracy or completeness. No representation, warranty or undertaking, express or implied, is given to the accuracy or completeness of the information or opinions contained on this Site by the Management Company and no liability is accepted by the Management Company for the accuracy or completeness of any such information or opinions.
Sales Restrictions and Fund Documents
This Site is aimed exclusively at investors in Sweden and is not directed to any person in any jurisdiction where (by reason of that's person nationality, residence or otherwise) its publication or availability is prohibited. Persons should inform themselves of such prohibitions and, if subject to local restrictions of this type, must refrain from accessing this Site. The material contained on this Site is not an offer to sell, or a solicitation of an offer to buy any financial products or banking services in any jurisdiction where such an offer or solicitation of purchase or sale would be unlawful.
The investment funds may be purchased only on the basis of the most recent sales prospectus, the key investor information document and the most recent annual report (or half-yearly report, if this is more recent). These and the fund management regulations or articles of the investment funds may be obtained free of charge from CREDIT SUISSE FUND MANAGEMENT S.A., P.O. Box 369, L-2013 Luxembourg, any appointed distributor of the investment funds in Sweden and this Site.
Tax laws and potential tax consequences
Transactions in investment funds are subject to tax laws and provisions under various legal jurisdictions: e.g. in the legal jurisdiction in which the investment funds are issued or in which the issuer is domiciled; in the legal jurisdictions in which the investment funds have invested; in the legal jurisdictions in which these investment funds are held in the safekeeping accounts of investors; in the legal jurisdiction in which the investors are domiciled or resident or are subject to tax obligations.
Potential investors are personally responsible for informing themselves about the applicable tax laws and provisions and for complying with them in connection with the subscription, purchase, holding, sale, redemption or distribution of investments. Statements about transactions in investment funds may not be construed as tax advice on the part of the Management Company. It is recommended that investors carefully consider the potential tax consequences of such investments, as needed with the assistance of a tax advisor, and compare them with the tax consequences of investing in other products. It is also important to note that investors must still themselves compile and/or supplement the data for the calculation of taxes even where such data has been automatically prepared on the part of the Management Company.
Risk Considerations
PAST PERFORMANCE SHOULD NOT BE TAKEN AS AN INDICATION OR GUARANTEE OF FUTURE PERFORMANCE, AND NO REPRESENTATION OR WARRANTY, EXPRESS OR IMPLIED, IS MADE REGARDING FUTURE PERFORMANCE. INVESTING ENTAILS RISKS, INCLUDING POSSIBLE LOSS OF PRINCIPAL. THE PRICE OF, VALUE OF AND INCOME FROM SECURITIES OR FINANCIAL INSTRUMENTS CAN FALL AS WELL AS RISE. CERTAIN INVESTMENTS ARE SUBJECT TO HIGH VOLATILITY, AND MAY EXPERIENCE SUDDEN AND LARGE FALLS IN THEIR VALUE. LOSSES MAY EQUAL OR EXCEED YOUR ORIGINAL INVESTMENT. FOREIGN CURRENCY-DENOMINATED SECURITIES AND FINANCIAL INSTRUMENTS ARE SUBJECT TO FLUCTUATIONS IN EXCHANGE RATES THAT MAY HAVE A POSITIVE OR ADVERSE EFFECT ON THE VALUE, PRICE OR INCOME OF SUCH SECURITIES OR FINANCIAL INSTRUMENTS. THERE ARE ALSO SPECIAL RISK CONSIDERATIONS ASSOCIATED WITH INTERNATIONAL AND GLOBAL INVESTING (ESPECIALLY EMERGING MARKETS), SMALL-COMPANY INVESTING, SINGLE-INDUSTRY FUNDS OR INVESTMENT STRATEGIES, SINGLE-COUNTRY OR REGIONAL FUNDS OR INVESTMENT STRATEGIES, OR OTHER SPECIAL, AGGRESSIVE OR CONCENTRATED INVESTMENT STRATEGIES, SUCH AS THE USE OF LEVERAGE OR DERIVATIVES. INVESTORS IN SECURITIES AND FINANCIAL INSTRUMENTS LIKE INVESTMENT FUNDS EFFECTIVELY ASSUME THESE RISKS
Odmítnutí odpovednosti pro investory
Prístupem k temto webovým stránkám, jednotlivým stránkám v nich obsaženým, a dále k produktum, službám, informacím, nástrojum a materiálum obsaženým nebo popsaným v tomto dokumentu (dále jen "stránky") potvrzujete, že s následujícími podmínkami použití souhlasíte a že jste jim porozumeli.
POSKYTOVANÉ INFORMACE
Obsah prístupný na techto stránkách byl pripraven a shromážden spolecností CREDIT SUISSE FUND MANAGEMENT S.A. (dále jen "spravující spolecnost"), což je spolecnost na správu fondu zrízená v Lucembursku dle ustanovení clánku 15 lucemburského zákona ze 17. prosince 2010 o subjektech kolektivního investování (dále jen "lucemburský zákon ze 17. prosince 2010") provádející smernici Evropského parlamentu a Rady 2009/65/ES ze dne 13. cervence 2009 o koordinaci právních a správní predpisu a narízení týkajících se subjektu kolektivního investování do prevoditelných cenných papíru (UCITS). Spravující spolecnost je poverena a rízena komisí pro dozor financního sektoru CSSF (Commission de Surveillance du Secteur Financier).
Stránky poskytují klícové financní dokumenty investicních fondu Credit Suisse zrízených na základe lucemburského zákona ze 17. prosince 2010, které jsou spravovány spravující spolecností a které je povoleno uvést je ceský trh. Jsou zamereny výhradne na investory (stávající nebo budoucí) v Ceské republice s jediným úcelem, a to poskytnout temto investorum verejný prístup k temto investicním dokumentum, zejména k dokumentu s klícovými informacemi pro investora (KIID - Key Investor Information Document).
Veškeré podrobnosti na techto stránkách jsou urceny výhradne pro informativní úcely. V žádném prípade není možno poskytnuté informace považovat za investicní doporucení nebo financní, danovou nebo jinou odbornou radu. Zde uvedené investicní fondy nemusí být vhodné pro každého a v prípade pochybností by se zájemci meli pred prijetím rozhodnutí o investování poradit s kvalifikovaným odborníkem.
Spoléhat se z jakéhokoli duvodu na informace nebo názory uvedené na techto stránkách nebo na jejich presnost ci úplnost není možné. Žádné prohlášení, záruka nebo slib, at již výslovné ci implicitní, nebyly v souvislosti s presností nebo úplností informací ci názoru obsažených na techto stránkách ze strany spravující spolecnosti poskytnuty a spravující spolecnost neprijímá žádnou odpovednost za presnost ci úplnost takových informací ci názoru.
OMEZENÍ PRODEJE A DOKUMENTACE K FONDU
Tyto stránky jsou urceny výhradne pro investory (stávající ci budoucí) v Ceské republice a nejsou adresovány žádné osobe v žádné jurisdikci, kde (s ohledem na národnost nebo místo trvalého pobytu dané osoby ci jinak) jsou jejich publikování nebo dostupnost zakázány. Jednotlivci by se o takových zákazech a o tom, zda se dle místních omezení tohoto typu musí prístupu na tyto stránky zdržet, meli informovat sami. Materiál obsažený na techto stránkách není nabídkou k prodeji ani navádením k nabízení nákupu financních produktu nebo bankovních služeb v žádné jurisdikci, kde by taková nabídka nebo navádení k nákupu ci prodeji byly nezákonné.
Investicní fondy mohou být zakoupeny pouze na základe nejnovejších prodejních prospektu, dokumentu s klícovými informacemi pro investora a poslední výrocní zprávy (nebo pololetní zprávy, pokud je tato aktuálnejší). Tyto dokumenty, predpisy správy fondu a podmínky k investicním fondum mužete získat zdarma na adrese CREDIT SUISSE FUND MANAGEMENT S.A., P.O. Box 369, L-2013, Lucembursko, od každého jmenovaného distributora investicních fondu v Ceské republice a na techto stránkách.
DANOVÉ ZÁKONY A MOŽNÉ DANOVÉ DUSLEDKY
Transakce v investicních fondech podléhají danovým zákonum a ustanovením v rámci ruzných právních jurisdikcí: napr. právních jurisdikcí, v nichž byly investicní fondy vydány nebo v nichž má emitent sídlo; právních jurisdikcí, do nichž investicní fondy investovaly; právních jurisdikcí, v nichž jsou tyto investicní fondy drženy na úschovních úctech investoru; právních jurisdikcí, v nichž mají investori sídlo nebo bydlište nebo podléhají danovým povinnostem.
Potenciální investori jsou sami odpovední za vlastní informovanost o platných danových zákonech a ustanoveních a za jejich dodržování v souvislosti s predplacením, nákupem, držením, prodejem, odkoupením nebo distribucí investic. Prohlášení o transakcích v investicních fondech nemusí být považovány za danové poradenství na strane spravující spolecnosti. Doporucujeme, aby investori peclive zvážili možné danové dusledky takových investic, v prípade potreby s pomocí danového poradce, a porovnali je s danovými dusledky investování do jiných produktu. Je nutno také upozornit, že investori sami musí ješte shromáždit nebo doplnit údaje pro výpocet daní, i když byly tyto údaje automaticky pripraveny na strane spravující spolecnosti.
POSOUZENÍ RIZIKA
MINULÉ PLNENÍ BY NEMELO BÝT POVAŽOVÁNO ZA UKAZATEL NEBO ZÁRUKU BUDOUCÍHO PLNENÍ A ŽÁDNÉ PROHLÁŠENÍ ANI ZÁRUKA, AT JIŽ VÝSLVNÉ CI IMPLICITNÍ, NEBYLY V SOUVISLOSTI S BUDOUCÍM PLNENÍM POSKYTNUTY. INVESTICE S SEBOU PRINÁŠÍ RIZIKA VCETNE MOŽNÉ ZTRÁTY JISTINY. CENA, HODNOTA A ZISK Z CENNÝCH PAPÍRU NEBO FINANCNÍCH NÁSTROJU MOHOU JAK KLESAT TAK SOUPAT. URCITÉ INVESTICE JSOU ZNACNE NESTÁLÉ A V JEJICH HODNOTE MUŽE DOJÍT K NÁHLÉMU A VÝRAZNÉMU PROPADU. ZTRÁTY MOHOU BÝT SHODNÉ S VAŠÍ PUVODNÍ INVESTICÍ NEBO JI MOHOU PREVÝŠIT. CENNÉ PAPÍRY A FINANCNÍ NÁSTROJE V CIZÍ MENE PODLÉHAJÍ KOLÍSÁNÍ MENOVÝCH KURZU, COŽ MUŽE MÍT POZITIVNÍ NEBO NEGATIVNÍ DOPAD NA HODNOTU CI CENU TECHTO CENNÝCH PAPÍRU NEBO FINANCNÍCH NÁSTROJU NEBO ZISK Z NICH. EXISTUJÍ TAKÉ ZVLÁŠTNÍ RIZIKA SPOJENÁ S MEZINÁRODNÍMI A CELOSVETOVÝMI INVESTICEMI (ZEJMÉNA ROZVÍJEJÍCÍCH SE TRHU), INVESTICEMI MALÝCH SPOLECNOSTÍ, FONDY NEBO INVESTICNÍMI STRATEGIEMI JEDINÉHO ODVETVÍ, FONDY NEBO INVESTICNÍMI STRATEGIEMI JEDINÉ ZEME NEBO REGIONU, NEBO JINÝMI ZVLÁŠTNÍMI AGRESIVNÍMI NEBO SOUSTREDENÝMI INVESTICNÍMI STRATEGIEMI, JAKO JE POUŽITÍ PÁKOVÉHO EFEKTU NEBO DERIVÁTU. INVESTORI DO CENNÝCH PAPÍRU A FINANCNÍCH NÁSTROJU, JAKO JSOU INVESTICNÍ FONDY, TATO RIZIKA EFEKTIVNE PRIJÍMAJÍ.
POTVRZENÍ O POROZUMENÍ A PRIJETÍ ODMÍTNUTÍ ODPOVEDNOSTI
Precetl/a jsem si a porozumel/a jsem odmítnutí odpovednosti uvedenému výše. Beru na vedomí, že to muže ovlivnit má práva. Souhlasím, že budu jeho podmínkami vázán/a. Potvrzuji, že jsem oprávnen/a pokracovat na techto stránkách.
Bereitgestellte Informationen
Diese Internetseite und die nachfolgenden Internetseiten („Internetseite“ oder „Seite“) richten sich ausschließlich an Anleger in Deutschland und Österreich.
Die auf dieser Internetseite zugänglichen Inhalte wurden von der Credit Suisse AG und / oder mit ihr verbundenen Unternehmen (nachfolgend «CS») mit größter Sorgfalt und nach bestem Wissen und Gewissen erstellt. Die auf dieser Internetseite geäußerten Meinungen sind diejenigen der CS zum Zeitpunkt der Redaktion und können sich jederzeit und ohne Mitteilung ändern. Eine Veränderung der wirtschaftlichen Rahmenbedingungen, mögliche Gesetzesänderungen oder sonstige Ereignisse können die zukünftige Entwicklung abweichend von unseren Darstellungen beeinflussen. Dies gilt insbesondere für Darstellungen zu möglichen Renditen oder Steuern. Ist nichts anderes vermerkt, sind alle Zahlen ungeprüft. Soweit nicht ausdrücklich anders ausgewiesen, handelt es sich bei den auf diesen Internetseiten erhaltenen Informationen um Marketingmaterial, das ausschließlich zu Werbezwecken verbreitet wird. Es darf nicht als unabhängige Wertpapieranalyse/Finanzanalyse verstanden werden.
Die auf dieser Internetsite enthaltenen Informationen begründen weder eine Aufforderung noch ein Angebot, noch eine Anforderung zur Abgabe eines Angebots oder eine Empfehlung zum Erwerb oder Verkauf von Finanzinstrumenten oder Bankdienstleistungen oder zur Durchführung sonstiger Transaktionen. Insbesondere wird dem Empfänger empfohlen, allenfalls unter Einschaltung eines Beraters, die Informationen in Bezug auf die Vereinbarkeit mit seinen eigenen Verhältnissen, auf juristische, regulatorische, steuerliche, u.a. Konsequenzen hin zu prüfen. Die Einheiten der CS betreiben in Deutschland und Österreich nicht den Direktvertrieb von Investmentfonds.
Steuergesetze und mögliche steuerrechtliche Auswirkungen
Transaktionen mit Anlageprodukten unterliegen Steuergesetzen und -bestimmungen in verschiedenen Rechtsordnungen: z.B. in der Rechtsordnung, in der die Anlageprodukte ausgegeben werden oder in welcher der Emittent sein Domizil hat; in den Rechtsordnungen, in die die Anlageprodukte investiert haben; in den Rechtsordnungen, in denen diese Anlageprodukte von den Anlegern in ihrem Depot gehalten werden; in der Rechtsordnung, in der die Anleger ihren Wohnsitz oder Sitz haben oder steuerpflichtig sind.
Potenzielle Anleger sind persönlich verantwortlich, sich über anwendbare Steuergesetze und geltende Bestimmungen zu informieren und sie bei der Zeichnung, dem Kauf, dem Halten, dem Verkauf, der Rückgabe oder der Ausschüttung von Anlagen einzuhalten. Aussagen zu Transaktionen mit Anlageprodukten gelten nicht als Steuerberatung der Credit Suisse AG und / oder mit ihr verbundener Unternehmen.
Es empfiehlt sich, mögliche Steuerfolgen solcher Investitionen, gegebenenfalls unter Beiziehung eines Steuerberaters, sorgfältig abzuklären und mit Steuerfolgen von Investitionen in andere Produkte zu vergleichen. Weiters wird darauf hingewiesen, dass Anleger die Daten für die Steuerberechnung auch im Falle automatisierter Aufbereitung seitens der CS weiterhin selbst zusammenstellen bzw. ergänzen müssen.
Verkaufsbeschränkungen und Angebot
Die folgenden Seiten stellen kein Angebot zum Kauf von Fondsanteilen dar.
Zeichnungen sind nur auf Basis des aktuellen Verkaufsprospekts, der wesentlichen Anlegerinformationen, wie des Kundeninformationsdokument (KID), und des letzten Jahresberichts (bzw. Halbjahresberichts, falls dieser aktueller ist) gültig. Diese Unterlagen sowie die Vertragsbedingungen und/oder Statuten sind kostenlos bei der Credit Suisse (Deutschland) Aktiengesellschaft, Junghofstraße 16, 60311 Frankfurt am Main, Deutschland und UniCredit Bank Austria AG, Schottengasse 6–8, A-1010 Wien, Österreich erhältlich.
Die Informationen dieser Seite sind ausschließlich für Anleger in Deutschland und Österreich bestimmt und insbesondere nicht für Personen mit Wohnsitz in den Vereinigten Staaten oder mit US Nationalität und nicht für Personen, die einer Rechtsordnung unterstehen, welche den Zugang oder die Veröffentlichung dieser Internetseite verbietet (aufgrund der Staatsangehörigkeit der betreffenden Person, ihres Wohnsitzes oder aus anderen Gründen). Personen, die solchen lokalen Beschränkungen unterstehen, ist der Zugriff auf diese Internetseite untersagt. Das auf dieser Website zur Verfügung gestellte Material stellt weder ein Verkaufsangebot noch eine Aufforderung zum Kauf von Finanzprodukten oder Bankdienstleistungen in einer Jurisdiktion dar, in der ein solches Verkaufsangebot bzw. eine solche Kaufaufforderung rechtswidrig wäre
Eigentumsrechte und Trademarks:
Diese Internetseite steht im Eigentum der CREDIT SUISSE, einer Bank mit Hauptsitz in der Schweiz. CREDIT SUISSE ist ein registriertes Markenzeichen.
Gebrauch von Informationen:
Der Inhalt dieser Seite steht im geistigen Eigentum der Credit Suisse und ihrer Einheiten. Der Inhalt ist nur zur Ansicht im Internet bestimmt. Wenn Sie den Inhalt dieser Internetseite reproduzieren oder für kommerzielle Zwecke nutzen möchten, benötigen Sie dafür die schriftliche Genehmigung der Credit Suisse (Deutschland ) Aktiengesellschaft, Junghofstr. 16, 60311 Frankfurt am Main oder der Credit Suisse (Luxembourg) S.A. Zweigniederlassung Österreich, Kärntner-Ring 11-13, 1010 Wien. Zudem dürfen Informationen von dieser Seite nur für persönliche Zwecke heruntergeladen oder ausgedruckt werden. Dabei ist die ""Credit Suisse"" jederzeit als Urheber anzugeben oder muss als solcher erkennbar sein.
Verbundene Seiten
Die CS hat andere Internetseiten, die zu dieser Seite führen, nicht geprüft und übernimmt keinerlei Verantwortung für andere Internetseiten, die zu dieser Seite führen oder für mit dieser Seite verknüpften Seiten, die nicht zur CS gehören. Wenn Sie irgendwelchen Verknüpfungen von dieser Seite zu einer anderen Internetseite folgen, so geschieht dies auf Ihre eigene Verantwortung.
Keine Garantie; Keine Verpflichtung
Die CS übernimmt keine Verantwortung dafür, dass diese Internetseite vollständig, aktuell, fehlerfrei und/oder frei von Viren und anderen schädlichen Komponenten ist. Es wird auch keine Haftung für die Rechtmäßigkeit und/oder die Eignung des Inhalts dieser Seite für einen bestimmten Verwendungszweck übernommen.
Zuwendungen
Die Credit Suisse (Deutschland) AG sowie die Credit Suisse (Luxembourg) S.A. Zweigniederlassung Österreich erhalten für bestimmte in Kundendepots verwahrte Finanzinstrumente - insbesondere Zertifikate und Investmentfonds - entgeltliche Zuwendungen Dritter. Dies sind insbesondere Ausgabeaufschläge, ergänzende Platzierungsprovisionen und Vertriebsfolgeprovisionen. Über nähere Einzelheiten dazu sowie weitere Themenstellungen in diesem Zusammenhang informiert die Credit Suisse (Deutschland) AG in der Broschüre „Informationen für eine vertrauensvolle Zusammenarbeit“ und die Credit Suisse (Luxembourg) S.A. Zweigniederlassung Österreich in der Broschüre „Informationen zur Kundenbeziehung mit der Credit Suisse (Luxembourg) S.A. Zweigniederlassung Österreich“ sowie im jeweiligen Preis- und Leistungsverzeichnis.
Risikohinweise
DIE PERFORMANCE IN DER VERGANGENHEIT IST KEIN HINWEIS AUF UND BIETET KEINERLEI GARANTIE FÜR DIE KÜNFTIGE PERFORMANCE, UND ES WIRD WEDER EINE AUSDRÜCKLICHE NOCH EINE STILLSCHWEIGENDE HAFTUNG ODER GARANTIE BEZÜGLICH DER KÜNFTIGEN PERFORMANCE ÜBERNOMMEN. ANLAGEN SIND MIT RISIKEN VERBUNDEN, ZU DENEN AUCH DER MÖGLICHE VERLUST DES KAPITALS GEHÖRT. DER KURS, WERT UND ERTRAG DER WERTPAPIERE ODER FINANZINSTRUMENTE KANN SOWOHL STEIGEN ALS AUCH FALLEN. BESTIMMTE ANLAGEN UNTERLIEGEN HOHER VOLATILITÄT UND KÖNNEN PLÖTZLICHE UND UMFANGREICHE WERTRÜCKGÄNGE VERZEICHNEN. VERLUSTE KÖNNEN IHREM URSPRÜNGLICHEN ANLAGEBETRAG ENTSPRECHEN ODER DIESEN ÜBERTREFFEN. AUF FREMDWÄHRUNGEN LAUTENDE WERTPAPIERE UND FINANZINSTRUMENTE UNTERLIEGEN WECHSELKURSSCHWANKUNGEN, DIE EINEN POSITIVEN ODER NEGATIVEN EFFEKT AUF DEN WERT, KURS ODER ERTRAG DIESER WERTPAPIERE ODER FINANZINSTRUMENTE HABEN KÖNNEN. POTENZIELLE ANLEGER SOLLTEN AUCH DIE BESONDEREN RISIKEN BERÜCKSICHTIGEN, DIE MIT INTERNATIONALEN UND GLOBALEN ANLAGEN (INSBESONDERE IN DEN EMERGING MARKETS) SOWIE MIT ANLAGEN IN KLEINE UNTERNEHMEN, IN FONDS ODER ANLAGESTRATEGIEN, DIE SICH AUF EINE BRANCHE, EIN LAND ODER EINE REGION SPEZIALISIEREN, ODER IN SONSTIGE SPEZIALISIERTE, AGGRESSIVE ODER KONZENTRIERTE ANLAGESTRATEGIEN, DIE DEN EINSATZ VON FREMDKAPITAL ODER DERIVATEN VORSEHEN, VERBUNDEN SIND. ANLEGER IN WERTPAPIERE UND FINANZINSTRUMENTE TRAGEN DIESE RISIKEN.
Datenschutz/Datensicherheit
Die CS sammelt mittels dieser Internetseite grundsätzlich keine personenbezogenen Daten, es sei denn, diese Daten werden im Rahmen des auf dieser Internetseite angebotenen Infoservice von Ihnen ausdrücklich und wissentlich zur Verfügung gestellt. Personenbezogene Daten wird die CS nur dann erheben, nutzen und verarbeiten, wenn Ihre ausdrückliche Einwilligung - die auch elektronisch erklärt werden kann - vorliegt. Eine einmal erklärte Einwilligung kann jederzeit mit Wirkung für die Zukunft widerrufen werden. Die Nutzung Ihrer Daten erfolgt ausschließlich im Rahmen des Infoservice.
Die CS hat alle angemessenen technischen und organisatorischen Maßnahmen ergriffen um sicherzustellen, dass die technische Umgebung besonders geschützt ist (mit zum Beispiel durch so genannten Firewalls).
Copyright © 2016 Credit Suisse Group AG und / oder mit ihr verbundene Unternehmen. Alle Rechte vorbehalten.
By accessing this website, the pages contained on it, and the products, services, information, tools and material contained or described herein (the "Site"), you acknowledge your agreement with and understanding of the following terms of use. Information supplied (re Luxembourg domiciled Funds) The content available on this Site was prepared and assembled by CREDIT SUISSE FUND MANAGEMENT S.A. (the “Management Company”), which is a Luxembourg incorporated fund management company subject to the provisions of Chapter 15 of the Luxembourg Law of December 17, 2010 on undertakings for collective investment (“Luxembourg Law of December 17, 2010”) transposing Directive 2009/65/EC of the European Parliament and of the Council of July 13, 2009 on the coordination of laws, regulations and administrative provisions relating to undertakings for collective investment in transferable securities (UCITS). The Management Company is authorized and regulated by the Commission de Surveillance du Secteur Financier (CSSF). The Site provides key fund documentation of those Credit Suisse investment funds established under the Luxembourg Law of December 17, 2010 that are authorized to be marketed in United Kingdom. It is aimed exclusively at investors in United Kingdom with the sole purpose of providing these investors public access to such fund documents, namely the Key Investor Information Document (KIID). All details of this Site are intended purely for information purposes. On no account is the information supplied to be regarded as offering investment recommendation or financial, taxation or other professional advice. The investment funds referred to herein may not be suitable for everyone and, if in doubt, interested persons should consult a qualified specialist before taking investment decisions. No reliance may be placed for any purpose on the information or opinions contained on this Site or their accuracy or completeness. No representation, warranty or undertaking, express or implied, is given to the accuracy or completeness of the information or opinions contained on this Site by the Management Company and no liability is accepted by the Management Company for the accuracy or completeness of any such information or opinions. Sales Restrictions and Fund Documents (re Luxembourg domiciled Funds) This Site is aimed exclusively at investors in United Kingdom and is not directed to any person in any jurisdiction where (by reason of that's person nationality, residence or otherwise) its publication or availability is prohibited. Persons should inform themselves of such prohibitions and, if subject to local restrictions of this type, must refrain from accessing this Site. The material contained on this Site is not an offer to sell, or a solicitation of an offer to buy any financial products or banking services in any jurisdiction where such an offer or solicitation of purchase or sale would be unlawful. The investment funds may be purchased only on the basis of the most recent sales prospectus, the key investor information document and the most recent annual report (or half-yearly report, if this is more recent). These and the fund management regulations or articles of the investment funds may be obtained free of charge from CREDIT SUISSE FUND MANAGEMENT S.A., P.O. Box 369, L-2013 Luxembourg, any appointed distributor of the investment funds in United Kingdom and this Site. Sales Restrictions and Fund Documents (re Irish domiciled Funds) The information contained on this website does not constitute a request, offer or recommendation to buy or sell collective investment schemes or to engage in any other transactions. The information on this site is not intended for persons subject to a jurisdiction that prohibits access to or publication of this website (based on the person's nationality or domicile, or for other reasons). Persons should inform themselves of such prohibitions and, if subject to local restrictions of this type, must refrain from accessing this site. Interested persons must be aware that prices of units in collective investment schemes can fall as well as rise and may be affected by exchange rate variations. For this reason, the historical performance of a collective investment scheme is no guarantee, nor is it a reliable indicator, of its current and future performance. Investors in collective investment schemes may not get back the amount invested. The levels and reliefs from any taxation may change. Any tax reliefs referred to in this website are those currently available (which may be subject to change) and their value depends on the circumstances of each individual. Persons should consult their own tax adviser in order to understand any applicable tax consequences. Collective investment schemes may be purchased only on the basis of the most recent sales prospectus, the simplified prospectus, the most recent annual report, and - if published thereafter - the most recent semi-annual report, in addition to other relevant legal documents, including any subscription form and the contractual terms and conditions or articles of the collective investment scheme, (the "Fund Documentation"). The Fund Documentation can be requested free of charge from Credit Suisse Asset Management Limited (the "Facilities Agent") in the United Kingdom. Credit Suisse Asset Management Limited is authorised and regulated in the United Kingdom by the FSA. Registration of Credit Suisse Products The Luxembourg CS products displayed on this site are approved by the Commission de Surveillance du Secteur Financier (CSSF) for distribution in Luxembourg and are recognised for public distribution in the United Kingdom by the FSA. The Irish CS products displayed on this Site are approved by the Irish Financial Services Regulatory Authority (IFSRA) for distribution in Ireland and are also recognised for public distribution in the United Kingdom by the FSA. Tax laws and potential tax consequences Transactions in investment funds are subject to tax laws and provisions under various legal jurisdictions: e.g. in the legal jurisdiction in which the investment funds are issued or in which the issuer is domiciled; in the legal jurisdictions in which the investment funds have invested; in the legal jurisdictions in which these investment funds are held in the safekeeping accounts of investors; in the legal jurisdiction in which the investors are domiciled or resident or are subject to tax obligations. Potential investors are personally responsible for informing themselves about the applicable tax laws and provisions and for complying with them in connection with the subscription, purchase, holding, sale, redemption or distribution of investments. Statements about transactions in investment funds may not be construed as tax advice on the part of the Management Company. It is recommended that investors carefully consider the potential tax consequences of such investments, as needed with the assistance of a tax advisor, and compare them with the tax consequences of investing in other products. It is also important to note that investors must still themselves compile and/or supplement the data for the calculation of taxes even where such data has been automatically prepared on the part of the Management Company. Risk Considerations PAST PERFORMANCE SHOULD NOT BE TAKEN AS AN INDICATION OR GUARANTEE OF FUTURE PERFORMANCE, AND NO REPRESENTATION OR WARRANTY, EXPRESS OR IMPLIED, IS MADE REGARDING FUTURE PERFORMANCE. INVESTING ENTAILS RISKS, INCLUDING POSSIBLE LOSS OF PRINCIPAL. THE PRICE OF, VALUE OF AND INCOME FROM SECURITIES OR FINANCIAL INSTRUMENTS CAN FALL AS WELL AS RISE. CERTAIN INVESTMENTS ARE SUBJECT TO HIGH VOLATILITY, AND MAY EXPERIENCE SUDDEN AND LARGE FALLS IN THEIR VALUE. LOSSES MAY EQUAL OR EXCEED YOUR ORIGINAL INVESTMENT. FOREIGN CURRENCY-DENOMINATED SECURITIES AND FINANCIAL INSTRUMENTS ARE SUBJECT TO FLUCTUATIONS IN EXCHANGE RATES THAT MAY HAVE A POSITIVE OR ADVERSE EFFECT ON THE VALUE, PRICE OR INCOME OF SUCH SECURITIES OR FINANCIAL INSTRUMENTS. THERE ARE ALSO SPECIAL RISK CONSIDERATIONS ASSOCIATED WITH INTERNATIONAL AND GLOBAL INVESTING (ESPECIALLY EMERGING MARKETS), SMALL-COMPANY INVESTING, SINGLE-INDUSTRY FUNDS OR INVESTMENT STRATEGIES, SINGLE-COUNTRY OR REGIONAL FUNDS OR INVESTMENT STRATEGIES, OR OTHER SPECIAL, AGGRESSIVE OR CONCENTRATED INVESTMENT STRATEGIES, SUCH AS THE USE OF LEVERAGE OR DERIVATIVES. INVESTORS IN SECURITIES AND FINANCIAL INSTRUMENTS LIKE INVESTMENT FUNDS EFFECTIVELY ASSUME THESE RISKS
Important Legal Information This document was produced by Credit Suisse AG and/or its affiliates (hereafter "CS") with the greatest of care and to the best of its knowledge and belief. However, CS provides no guarantee with regard to its content and completeness and does not accept any liability for losses which might arise from making use of this information. The opinions expressed in this document are those of CS at the time of writing and are subject to change at any time without notice. If nothing is indicated to the contrary, all figures are unaudited. This document is provided for information purposes only and is for the exclusive use of the recipient. It does not constitute an offer or a recommendation to buy or sell financial instruments or banking services and does not release the recipient from exercising his/her own judgment. The recipient is in particular recommended to check that the information provided is in line with his/her own circumstances with regard to any legal, regulatory, tax or other consequences, if necessary with the help of a professional advisor. This document may not be reproduced either in part or in full without the written permission of CS. It is expressly not intended for persons who, due to their nationality or place of residence, are not permitted access to such information under local law. Neither this document nor any copy thereof may be sent, taken into or distributed in the United States or to any U. S. person (within the meaning of Regulation S under the US Securities Act of 1933, as amended). Every investment involves risk, especially with regard to fluctuations in value and return. Investments in foreign currencies involve the additional risk that the foreign currency might lose value against the investor's reference currency. Historical performance indications and financial market scenarios are no guarantee for current or future performance. Performance indications do not consider commissions levied at subscription and/or redemption. Furthermore, no guarantee can be given that the performance of the benchmark will be reached or outperformed. For Investors in Ireland: Investment products mentioned in this document will be distributed in Ireland via local licensed entity. Copyright © 2014 Credit Suisse Group AG and/or its affiliates. All rights reserved.
BEREITGESTELLTE INFORMATIONEN
Die auf dieser Website zugänglichen Inhalte wurden von der CREDIT SUISSE AG aufbereitet und zusammengestellt. Sämtliche Angaben dienen lediglich zu Informationszwecken und richten sich ausschliesslich an Anleger in Liechtenstein. Bei den gegebenen Informationen handelt es sich keinesfalls um Anlageempfehlungen. Interessenten sollten sich von einer qualifizierten Fachperson beraten lassen, bevor sie Anlageentscheidungen treffen.
VERKAUFSBESCHRÄNKUNGEN UND FONDSDOKUMENTE
Die auf dieser Website enthaltenen Informationen begründen weder eine Aufforderung noch ein Angebot oder eine Empfehlung zum Erwerb oder Verkauf von kollektiven Kapitalanlagen oder zur Tätigung sonstiger Transaktionen. Die Informationen dieser Website sind nicht für Personen bestimmt, die einer Rechtsordnung unterstehen, welche den Zugang oder die Veröffentlichung dieser Website verbietet (aufgrund der Staatsangehörigkeit der betreffenden Person, ihres Wohnsitzes oder aus anderen Gründen). Personen, die solchen lokalen Beschränkungen unterstehen, ist der Zugriff auf diese Website untersagt. Interessenten sollten sich darüber bewusst sein, dass die Kurse von kollektiven Kapitalanlagen sowohl steigen als auch fallen können. Aus diesem Grund sind Angaben zur historischen Performance keine Garantie für die laufende und zukünftige Entwicklung einer kollektiven Kapitalanlage. Der Erwerb von kollektiven Kapitalanlagen sollte auf jeden Fall erst nach dem ausführlichen Studium des Verkaufsprospektes sowie des letzten Jahresberichts (bzw. Halbjahresberichts, falls dieser aktueller ist) sowie der übrigen rechtlich relevanten Dokumente (Fondsvertrag und ggf. Vereinfachter Prospekt) erfolgen. Diese Dokumente ("Fondsdokumente") können in Liechtenstein kostenlos bei der LGT Bank AG in Liechtenstein für die Luxemburger und Schweizer Fonds bzw. bei der Verwaltungsgesellschaft der liechtensteiner Fonds und bei allen Banken der Credit Suisse Group AG in Liechtenstein bezogen werden.
REGISTRIERUNG DER CS PRODUKTE
Die auf dieser Webseite ersichtlichen schweizerischen CS Produkte wurden von der Eidgenössischen Finanzmarktaufsicht FINMA bewilligt und von der Finanzmarktaufsicht Lichtenstein FMA im Fürstentum Liechtenstein zum Vertrieb zugelassen. Die auf dieser Webseite ersichtlichen luxemburgischen CS Produkte wurden von der Commission de Surveillance du Secteur Financier (CSSF) in Luxemburg bewilligt bzw. von der Finanzmarktaufsicht Lichtenstein FMA zum Vertrieb in Liechtenstein zugelassen. Die auf dieser Webseite ersichtlichen liechtensteiner CS Produkte wurden von der Finanzmarktaufsicht Liechtenstein FMA bewilligt.
Verwaltungsgesellschaft und Depotbank bzw. Vertreter und Zahlstelle im Fürstentum Liechtenstein der Luxemburger Fonds Verwaltungsgesellschaft der Luxemburger Fonds ist die Credit Suisse Fund Management S.A. bzw. Credit Suisse Microfinance Fund Management Company, Luxemburg. Depotbank ist die Credit Suisse (Luxembourg) S.A., Luxemburg. Vertreter und Zahlstelle im Fürstentum Liechtenstein ist die LGT Bank AG in Liechtenstein, Vaduz Fondsleitung und Depotbank bzw. Vertreter und Zahlstelle im Fürstentum Liechtenstein der Schweizer Fonds Fondsleitung der Schweizer Anlagefonds ist die Credit Suisse Funds AG, Zürich und als Depotbank fungiert die Credit Suisse AG, Zürich. Vertreter und Zahlstelle im Fürstentum Liechtenstein ist die LGT Bank AG in Liechtenstein, Vaduz.
Verwaltungsgesellschaft und Depotbank der liechtensteiner Fonds
Verwaltungsgesellschaft der liechtensteiner Fonds ist die Credit Suisse Funds (Liechtenstein) AG, Vaduz. Depotbank ist die Verwaltungs- und Privat-Bank AG, Vaduz.
Disclaimer für Institutionelle Anleger - Liechtenstein
BEREITGESTELLTE INFORMATIONEN
Die auf dieser Website zugänglichen Inhalte wurden von der CREDIT SUISSE AG aufbereitet und zusammengestellt. Sämtliche Angaben dienen lediglich zu Informationszwecken und richten sich ausschliesslich an Anleger in Liechtenstein. Bei den gegebenen Informationen handelt es sich keinesfalls um Anlageempfehlungen. Interessenten sollten sich von einer qualifizierten Fachperson beraten lassen, bevor sie Anlageentscheidungen treffen.
VERKAUFSBESCHRÄNKUNGEN UND FONDSDOKUMENTE
Die auf dieser Website enthaltenen Informationen begründen weder eine Aufforderung noch ein Angebot oder eine Empfehlung zum Erwerb oder Verkauf von kollektiven Kapitalanlagen oder zur Tätigung sonstiger Transaktionen. Die Informationen dieser Website sind nicht für Personen bestimmt, die einer Rechtsordnung unterstehen, welche den Zugang oder die Veröffentlichung dieser Website verbietet (aufgrund der Staatsangehörigkeit der betreffenden Person, ihres Wohnsitzes oder aus anderen Gründen). Personen, die solchen lokalen Beschränkungen unterstehen, ist der Zugriff auf diese Website untersagt. Interessenten sollten sich darüber bewusst sein, dass die Kurse von kollektiven Kapitalanlagen sowohl steigen als auch fallen können. Aus diesem Grund sind Angaben zur historischen Performance keine Garantie für die laufende und zukünftige Entwicklung einer kollektiven Kapitalanlage. Angaben über Erträge von Anlagefonds können in einer anderen Währung als derjenigen Ihres Domizils ausgewiesen sein, weshalb entsprechende Wechselkursschwankungen zu beachten sind. Der Erwerb von kollektiven Kapitalanlagen sollte auf jeden Fall erst nach dem ausführlichen Studium des Verkaufsprospektes sowie des letzten Jahresberichts (bzw. Halbjahresberichts, falls dieser aktueller ist) sowie der übrigen rechtlich relevanten Dokumente (Fondsvertrag und ggf. Vereinfachter Prospekt) erfolgen. Diese Dokumente ("Fondsdokumente") können in Liechtenstein kostenlos bei der LGT Bank AG in Liechtenstein für die Luxemburger und Schweizer Fonds bzw. bei der Verwaltungsgesellschaft der liechtensteiner Fonds und bei allen Banken der Credit Suisse Group AG in Liechtenstein bezogen werden.
REGISTRIERUNG DER CS PRODUKTE
Die auf dieser Webseite ersichtlichen schweizerischen CS Produkte wurden von der Eidgenössischen Finanzmarktaufsicht FINMA bewilligt und von der Finanzmarktaufsicht Lichtenstein FMA im Fürstentum Liechtenstein zum Vertrieb zugelassen. Die auf dieser Webseite ersichtlichen luxemburgischen CS Produkte wurden von der Commission de Surveillance du Secteur Financier (CSSF) in Luxemburg bewilligt bzw. von der Finanzmarktaufsicht Lichtenstein FMA zum Vertrieb in Liechtenstein zugelassen. Die auf dieser Webseite ersichtlichen liechtensteiner CS Produkte wurden von der Finanzmarktaufsicht Liechtenstein FMA bewilligt.
Verwaltungsgesellschaft und Depotbank bzw. Vertreter und Zahlstelle im Fürstentum Liechtenstein der Luxemburger Fonds
Verwaltungsgesellschaft der Luxemburger Fonds ist die Credit Suisse Fund Management S.A. bzw. Credit Suisse Microfinance Fund Management Company, Luxemburg. Depotbank ist die Credit Suisse (Luxembourg) S.A., Luxemburg. Vertreter und Zahlstelle im Fürstentum Liechtenstein ist die LGT Bank AG in Liechtenstein, Vaduz.
Fondsleitung und Depotbank bzw. Vertreter und Zahlstelle im Fürstentum Liechtenstein der Schweizer Fonds
Fondsleitung der Schweizer Anlagefonds ist die Credit Suisse Funds AG, Zürich und als Depotbank fungiert die Credit Suisse AG, Zürich. Vertreter und Zahlstelle im Fürstentum Liechtenstein ist die LGT Bank AG in Liechtenstein, Vaduz.
Verwaltungsgesellschaft und Depotbank der liechtensteiner Fonds
Verwaltungsgesellschaft der liechtensteiner Fonds ist die Credit Suisse Funds (Liechtenstein) AG, Vaduz. Depotbank ist die Verwaltungs- und Privat-Bank AG, Vaduz
Copyright © 2016 Credit Suisse Group AG und / oder mit ihr verbundene Unternehmen. Alle Rechte vorbehalten.
By accessing this web site, the pages contained on it, and the products, services, information, tools and material contained or described herein (the "Site"), you acknowledge your agreement with and understanding of the following terms of use. Information supplied The content available on this Site was prepared and assembled by CREDIT SUISSE AG. All details are intended purely for information purposes and are aimed exclusively at investors in Luxembourg. On no account is the information supplied to be regarded as offering investment recommendation or financial, taxation or other professional advice. The investment funds referred to herein may not be suitable for everyone and, if in doubt, interested persons should consult a qualified specialist before taking investment decisions. No reliance may be placed for any purpose on the information or opinions contained on this Site or their accuracy or completeness. No representation, warranty or undertaking, express or implied, is given to the accuracy or completeness of the information or opinions contained on this Site by CREDIT SUISSE AG and no liability is accepted by CREDIT SUISSE AG for the accuracy or completeness of any such information or opinions. Sales Restrictions and Fund Documents This Site is not directed to any person in any jurisdiction where (by reason of that's person nationality, residence or otherwise) its publication or availability is prohibited. Persons should inform themselves of such prohibitions and, if subject to local restrictions of this type, must refrain from accessing this Site. The material contained on this Site is not an offer to sell, or a solicitation of an offer to buy any financial products or banking services in any jurisdiction where such an offer or solicitation of purchase or sale would be unlawful. The investment funds mentioned on this Site have been authorized by the Luxembourg Supervisory Authority (Commission de Surveillance du Secteur Financier) and as such can be marketed in and from Luxembourg. The investment funds may be purchased only on the basis of the most recent sales prospectus, the key investor information document (if a UCITS) and the most recent annual report (or half-yearly report, if this is more recent). These and the fund management regulations or articles of the investment funds may be obtained free of charge from the fund management company CREDIT SUISSE FUND MANAGEMENT S.A. and from CREDIT SUISSE FUND SERVICES (LUXEMBOURG) S.A., P.O. Box 369, L-2013 Luxembourg. Tax laws and potential tax consequences Transactions in investment products are subject to tax laws and provisions under various legal jurisdictions: e.g. in the legal jurisdiction in which the investment products are issued or in which the issuer is domiciled; in the legal jurisdictions in which the investment products have invested; in the legal jurisdictions in which these investment products are held in the safekeeping accounts of investors; in the legal jurisdiction in which the investors are domiciled or resident or are subject to tax obligations. Potential investors are personally responsible for informing themselves about the applicable tax laws and provisions and for complying with them in connection with the subscription, purchase, holding, sale, redemption or distribution of investments. Statements about transactions in investment products may not be construed as tax advice on the part of Credit Suisse AG. It is recommended that investors carefully consider the potential tax consequences of such investments, as needed with the assistance of a tax advisor, and compare them with the tax consequences of investing in other products. It is also important to note that investors must still themselves compile and/or supplement the data for the calculation of taxes even where such data has been automatically prepared on the part of Credit Suisse AG. Risk Considerations PAST PERFORMANCE SHOULD NOT BE TAKEN AS AN INDICATION OR GUARANTEE OF FUTURE PERFORMANCE, AND NO REPRESENTATION OR WARRANTY, EXPRESS OR IMPLIED, IS MADE REGARDING FUTURE PERFORMANCE. INVESTING ENTAILS RISKS, INCLUDING POSSIBLE LOSS OF PRINCIPAL. THE PRICE OF, VALUE OF AND INCOME FROM SECURITIES OR FINANCIAL INSTRUMENTS CAN FALL AS WELL AS RISE. CERTAIN INVESTMENTS ARE SUBJECT TO HIGH VOLATILITY, AND MAY EXPERIENCE SUDDEN AND LARGE FALLS IN THEIR VALUE. LOSSES MAY EQUAL OR EXCEED YOUR ORIGINAL INVESTMENT. FOREIGN CURRENCY-DENOMINATED SECURITIES AND FINANCIAL INSTRUMENTS ARE SUBJECT TO FLUCTUATIONS IN EXCHANGE RATES THAT MAY HAVE A POSITIVE OR ADVERSE EFFECT ON THE VALUE, PRICE OR INCOME OF SUCH SECURITIES OR FINANCIAL INSTRUMENTS. THERE ARE ALSO SPECIAL RISK CONSIDERATIONS ASSOCIATED WITH INTERNATIONAL AND GLOBAL INVESTING (ESPECIALLY EMERGING MARKETS), SMALL-COMPANY INVESTING, SINGLE-INDUSTRY FUNDS OR INVESTMENT STRATEGIES, SINGLE-COUNTRY OR REGIONAL FUNDS OR INVESTMENT STRATEGIES, OR OTHER SPECIAL, AGGRESSIVE OR CONCENTRATED INVESTMENT STRATEGIES, SUCH AS THE USE OF LEVERAGE OR DERIVATIVES. INVESTORS IN SECURITIES AND FINANCIAL INSTRUMENTS EFFECTIVELY ASSUME THESE RISKS. Ownership of Site, trademarks and copyrights Credit Suisse and other trademarks on this Site are trademarks and service marks or registered trademarks or service marks of Credit Suisse Group and/or its direct or indirect subsidiaries (hereinafter referred to as "Credit Suisse" or "we"). All material available on the Site, except where otherwise noted, is under copyright to Credit Suisse. Credit Suisse reserves all rights with respect to copyright and trademark ownership of all material on the Site, and will enforce such rights to the full extent of applicable law. Nothing on the Site shall be construed as granting any license or right to use any image, trademark, service mark or logo. Downloading, copying or printing individual pages and/or parts of the Site is allowed for personal use only, and will not transfer title to any software or material on the Site to you. Explicit attribution to Credit Suisse must be made in the event that the material, or any part thereof, is reproduced in any form, written or electronic. Furthermore, any reproduction, re-publication or distribution of this material requires the express consent of Credit Suisse.
By accessing this web site, the pages contained on it, and the products, services, information, tools and material contained or described herein (the "Site"), you acknowledge your agreement with and understanding of the following terms of use.
Information supplied
The content available on this Site was prepared and assembled by CREDIT SUISSE FUND MANAGEMENT S.A. (the “Management Company”), which is a Luxembourg incorporated fund management company subject to the provisions of Chapter 15 of the Luxembourg Law of December 17, 2010 on undertakings for collective investment (“Luxembourg Law of December 17, 2010”) transposing Directive 2009/65/EC of the European Parliament and of the Council of July 13, 2009 on the coordination of laws, regulations and administrative provisions relating to undertakings for collective investment in transferable securities (UCITS). The Management Company is authorized and regulated by the Commission de Surveillance du Secteur Financier (CSSF).
The Site provides key fund documentation of those Credit Suisse investment funds established under the Luxembourg Law of December 17, 2010 that are authorized to be marketed in Norway. It is aimed exclusively at investors in Norway with the sole purpose of providing these investors public access to such fund documents, namely the Key Investor Information Document (KIID).
All details of this Site are intended purely for information purposes. On no account is the information supplied to be regarded as offering investment recommendation or financial, taxation or other professional advice. The investment funds referred to herein may not be suitable for everyone and, if in doubt, interested persons should consult a qualified specialist before taking investment decisions.
No reliance may be placed for any purpose on the information or opinions contained on this Site or their accuracy or completeness, with the exception of information presented in the fund documents as facts about the fund, statistics, historical data etc. No representation, warranty or undertaking, express or implied, is given to the accuracy or completeness of the information or opinions contained on this Site by the Management Company and no liability is accepted by the Management Company for the accuracy or completeness of any such information or opinions.
Sales Restrictions and Fund Documents
This Site is aimed exclusively at investors in Norway and is not directed to any person in any jurisdiction where (by reason of that's person nationality, residence or otherwise) its publication or availability is prohibited. Persons should inform themselves of such prohibitions and, if subject to local restrictions of this type, must refrain from accessing this Site. The material contained on this Site is not an offer to sell, or a solicitation of an offer to buy any financial products or banking services in any jurisdiction where such an offer or solicitation of purchase or sale would be unlawful.
The investment funds may be purchased only on the basis of the most recent sales prospectus, the key investor information document and the most recent annual report (or half-yearly report, if this is more recent). These and the fund management regulations or articles of the investment funds may be obtained free of charge from CREDIT SUISSE FUND MANAGEMENT S.A., P.O. Box 369, L-2013 Luxembourg, any appointed distributor of the investment funds in Norway and this Site.
Tax laws and potential tax consequences
Transactions in investment funds are subject to tax laws and provisions under various legal jurisdictions: e.g. in the legal jurisdiction in which the investment funds are issued or in which the issuer is domiciled; in the legal jurisdictions in which the investment funds have invested; in the legal jurisdictions in which these investment funds are held in the safekeeping accounts of investors; in the legal jurisdiction in which the investors are domiciled or resident or are subject to tax obligations. Potential investors are personally responsible for informing themselves about the applicable tax laws and provisions and for complying with them in connection with the subscription, purchase, holding, sale, redemption or distribution of investments. Statements about transactions in investment funds may not be construed as tax advice on the part of the Management Company. It is recommended that investors carefully consider the potential tax consequences of such investments, as needed with the assistance of a tax advisor, and compare them with the tax consequences of investing in other products. It is also important to note that investors must still themselves compile and/or supplement the data for the calculation of taxes even where such data has been automatically prepared on the part of the Management Company.
Risk Considerations
PAST PERFORMANCE SHOULD NOT BE TAKEN AS AN INDICATION OR GUARANTEE OF FUTURE PERFORMANCE, AND NO REPRESENTATION OR WARRANTY, EXPRESS OR IMPLIED, IS MADE REGARDING FUTURE PERFORMANCE. INVESTING ENTAILS RISKS, INCLUDING POSSIBLE LOSS OF PRINCIPAL. THE PRICE OF, VALUE OF AND INCOME FROM SECURITIES OR FINANCIAL INSTRUMENTS CAN FALL AS WELL AS RISE. CERTAIN INVESTMENTS ARE SUBJECT TO HIGH VOLATILITY, AND MAY EXPERIENCE SUDDEN AND LARGE FALLS IN THEIR VALUE. LOSSES MAY EQUAL OR EXCEED YOUR ORIGINAL INVESTMENT. FOREIGN CURRENCY-DENOMINATED SECURITIES AND FINANCIAL INSTRUMENTS ARE SUBJECT TO FLUCTUATIONS IN EXCHANGE RATES THAT MAY HAVE A POSITIVE OR ADVERSE EFFECT ON THE VALUE, PRICE OR INCOME OF SUCH SECURITIES OR FINANCIAL INSTRUMENTS. THERE ARE ALSO SPECIAL RISK CONSIDERATIONS ASSOCIATED WITH INTERNATIONAL AND GLOBAL INVESTING (ESPECIALLY EMERGING MARKETS), SMALL-COMPANY INVESTING, SINGLE-INDUSTRY FUNDS OR INVESTMENT STRATEGIES, SINGLE-COUNTRY OR REGIONAL FUNDS OR INVESTMENT STRATEGIES, OR OTHER SPECIAL, AGGRESSIVE OR CONCENTRATED INVESTMENT STRATEGIES, SUCH AS THE USE OF LEVERAGE OR DERIVATIVES. INVESTORS IN SECURITIES AND FINANCIAL INSTRUMENTS LIKE INVESTMENT FUNDS EFFECTIVELY ASSUME THESE RISKS
By accessing this web site, the pages contained on it, and the products, services, information, tools and material contained or described herein (the "Site"), you acknowledge your agreement with and understanding of the following terms of use.
Information supplied
The content available on this Site was prepared and assembled by CREDIT SUISSE FUND MANAGEMENT S.A. (the “Management Company”), which is a Luxembourg incorporated fund management company subject to the provisions of Chapter 15 of the Luxembourg Law of December 17, 2010 on undertakings for collective investment (“Luxembourg Law of December 17, 2010”) transposing Directive 2009/65/EC of the European Parliament and of the Council of July 13, 2009 on the coordination of laws, regulations and administrative provisions relating to undertakings for collective investment in transferable securities (UCITS). The Management Company is authorized and regulated by the Commission de Surveillance du Secteur Financier (CSSF).
The Site provides key fund documentation of those Credit Suisse investment funds established under the Luxembourg Law of December 17, 2010 that are authorized to be marketed in Iceland. It is aimed exclusively at investors in Iceland with the sole purpose of providing these investors public access to such fund documents, namely the Key Investor Information Document (KIID).
All details of this Site are intended purely for information purposes. On no account is the information supplied to be regarded as offering investment recommendation or financial, taxation or other professional advice. The investment funds referred to herein may not be suitable for everyone and, if in doubt, interested persons should consult a qualified specialist before taking investment decisions.
No reliance may be placed for any purpose on the information or opinions contained on this Site or their accuracy or completeness, with the exception of information presented in the fund documents as facts about the fund, statistics, historical data etc. No representation, warranty or undertaking, express or implied, is given to the accuracy or completeness of the information or opinions contained on this Site by the Management Company and no liability is accepted by the Management Company for the accuracy or completeness of any such information or opinions.
Sales Restrictions and Fund Documents
This Site is aimed exclusively at investors in Iceland and is not directed to any person in any jurisdiction where (by reason of that's person nationality, residence or otherwise) its publication or availability is prohibited. Persons should inform themselves of such prohibitions and, if subject to local restrictions of this type, must refrain from accessing this Site. The material contained on this Site is not an offer to sell, or a solicitation of an offer to buy any financial products or banking services in any jurisdiction where such an offer or solicitation of purchase or sale would be unlawful.
The investment funds may be purchased only on the basis of the most recent sales prospectus, the key investor information document and the most recent annual report (or half-yearly report, if this is more recent). These and the fund management regulations or articles of the investment funds may be obtained free of charge from CREDIT SUISSE FUND MANAGEMENT S.A., P.O. Box 369, L-2013 Luxembourg, any appointed distributor of the investment funds in Iceland and this Site.
Tax laws and potential tax consequences
Transactions in investment funds are subject to tax laws and provisions under various legal jurisdictions: e.g. in the legal jurisdiction in which the investment funds are issued or in which the issuer is domiciled; in the legal jurisdictions in which the investment funds have invested; in the legal jurisdictions in which these investment funds are held in the safekeeping accounts of investors; in the legal jurisdiction in which the investors are domiciled or resident or are subject to tax obligations. Potential investors are personally responsible for informing themselves about the applicable tax laws and provisions and for complying with them in connection with the subscription, purchase, holding, sale, redemption or distribution of investments. Statements about transactions in investment funds may not be construed as tax advice on the part of the Management Company. It is recommended that investors carefully consider the potential tax consequences of such investments, as needed with the assistance of a tax advisor, and compare them with the tax consequences of investing in other products. It is also important to note that investors must still themselves compile and/or supplement the data for the calculation of taxes even where such data has been automatically prepared on the part of the Management Company.
Risk Considerations
PAST PERFORMANCE SHOULD NOT BE TAKEN AS AN INDICATION OR GUARANTEE OF FUTURE PERFORMANCE, AND NO REPRESENTATION OR WARRANTY, EXPRESS OR IMPLIED, IS MADE REGARDING FUTURE PERFORMANCE. INVESTING ENTAILS RISKS, INCLUDING POSSIBLE LOSS OF PRINCIPAL. THE PRICE OF, VALUE OF AND INCOME FROM SECURITIES OR FINANCIAL INSTRUMENTS CAN FALL AS WELL AS RISE. CERTAIN INVESTMENTS ARE SUBJECT TO HIGH VOLATILITY, AND MAY EXPERIENCE SUDDEN AND LARGE FALLS IN THEIR VALUE. LOSSES MAY EQUAL OR EXCEED YOUR ORIGINAL INVESTMENT. FOREIGN CURRENCY-DENOMINATED SECURITIES AND FINANCIAL INSTRUMENTS ARE SUBJECT TO FLUCTUATIONS IN EXCHANGE RATES THAT MAY HAVE A POSITIVE OR ADVERSE EFFECT ON THE VALUE, PRICE OR INCOME OF SUCH SECURITIES OR FINANCIAL INSTRUMENTS. THERE ARE ALSO SPECIAL RISK CONSIDERATIONS ASSOCIATED WITH INTERNATIONAL AND GLOBAL INVESTING (ESPECIALLY EMERGING MARKETS), SMALL-COMPANY INVESTING, SINGLE-INDUSTRY FUNDS OR INVESTMENT STRATEGIES, SINGLE-COUNTRY OR REGIONAL FUNDS OR INVESTMENT STRATEGIES, OR OTHER SPECIAL, AGGRESSIVE OR CONCENTRATED INVESTMENT STRATEGIES, SUCH AS THE USE OF LEVERAGE OR DERIVATIVES. INVESTORS IN SECURITIES AND FINANCIAL INSTRUMENTS LIKE INVESTMENT FUNDS EFFECTIVELY ASSUME THESE RISKS
Professional Investors
This document was produced by Credit Suisse AG and/or its affiliates (hereafter "CS") with the greatest of care and to the best of its knowledge and belief. However, CS provides no guarantee with regard to its content and completeness and does not accept any liability for losses which might arise from making use of this information. The opinions expressed in this document are those of CS at the time of writing and are subject to change at any time without notice. If nothing is indicated to the contrary, all figures are unaudited. This document is provided for information purposes only and is for the exclusive use of the recipient. It does not constitute an offer or a recommendation to buy or sell financial instruments or banking services and does not release the recipient from exercising his/her own judgment. The recipient is in particular recommended to check that the information provided is in line with his/her own circumstances with regard to any legal, regulatory, tax or other consequences, if necessary with the help of a professional advisor. This document may not be reproduced either in part or in full without the written permission of CS. It is expressly not intended for persons who, due to their nationality or place of residence, are not permitted access to such information under local law. Neither this document nor any copy thereof may be sent, taken into or distributed in the United States or to any U. S. person (within the meaning of Regulation S under the US Securities Act of 1933, as amended). Every investment involves risk, especially with regard to fluctuations in value and return. Investments in foreign currencies involve the additional risk that the foreign currency might lose value against the investor's reference currency. Historical performance indications and financial market scenarios are no guarantee for current or future performance. Performance indications do not consider commissions levied at subscription and/or redemption. Furthermore, no guarantee can be given that the performance of the benchmark will be reached or outperformed. Some investment products include investments in Emerging Markets. Emerging Markets are located in countries that possess one or more of the following characteristics: A certain degree of political instability, relatively unpredictable financial markets and economic growth patterns, a financial market that is still at the development stage or a weak economy. Emerging markets investments usually result in higher risks such as political risks, economical risks, credit risks, exchange rate risks, market liquidity risks, legal risks, settlement risks, market risks, shareholder risk and creditor risk. Investors should be willing and financially able to accept the risk characteristics of the investments described in this documentation. Commodity investments are subject to greater fluctuations in value than normal investments and may lead to additional investment risks. Investments in hedge funds, including the investment opportunity described herein, are speculative and risks include, among other things: (i) loss of all or a substantial portion of the investment due to leveraging, short-selling, use of derivatives or other speculative practices, (ii) incentives to make investments that are riskier or more speculative due to performance based compensation, (iii) lack of liquidity as there may be no secondary market for hedge fund interests and none is expected to develop, (iv) volatility of returns, (v) restrictions on transfer, (vi) potential lack of diversification and resulting higher risk due to concentration, (vii) higher fees and expenses associated that may offset profits, (viii) no requirement to provide periodic pricing or valuation information to investors, (ix) complex tax structures and delays in distributing important tax information and (x) fewer regulatory requirements than registered funds. Equities are subject to market forces and hence fluctuations in value which are not entirely predictable. Investment principal on bonds can be eroded depending on sale price or market price. In addition, there are bonds on which investment principal can be eroded due to changes in redemption amounts. Care is required when investing in such instruments. The key risks of real estate funds include limited liquidity in the real estate market, changing mortgage interest rates, subjective valuation of real estate, inherent risks with respect to the construction of buildings and environmental risks (e.g., land contamination). Credit Suisse Bond Funds (CH), Credit Suisse Equity Funds (CH), Credit Suisse Portfolio Funds (CH), Credit Suisse Commodity Fund Plus (CH), Credit Suisse Select Funds (CH), Credit Suisse (CH) Funds, SF Property - Swiss Real Estate Fund Selection were launched in Switzerland under the type "other funds for traditional investments." The fund management company is Credit Suisse Funds AG, Zurich. The custodian bank is Credit Suisse AG, Zurich. Credit Suisse Bond Funds (Lux), Credit Suisse Equity Funds (Lux), Credit Suisse Funds (Lux), Credit Suisse Portfolio Funds (Lux), Credit Suisse ETF’s (Lux), Credit Suisse Invest (Lux) SICAV Funds, Credit Suisse Solutions (Lux) Funds, Credit Suisse SICAV (Lux) Funds, CS Invest (Lux) SICAV Funds, Credit Suisse SICAV One (Lux) Funds, Credit Suisse Index Funds (Lux), Credit Suisse (Lux) Funds and Credit Suisse Funds (Lux) Bond have been established under Luxembourg law as undertakings for collective investment in transferable securities (UCITS) subject to EU Directive 2009/65/EC, as amended. The representative in Switzerland is Credit Suisse Funds AG, Zurich. The paying agent in Switzerland is Credit Suisse AG, Zurich. CS ETF’s (IE) are domiciled in Ireland. The representative in Switzerland is Credit Suisse Funds AG, Zurich. The paying agent in Switzerland is Credit Suisse AG, Zurich. Credit Suisse MACS European Dividend Value, Credit Suisse MACS Global Equity are domiciled in Germany. The representative in Switzerland is Credit Suisse Funds AG, Zurich. The paying agent in Switzerland is Credit Suisse AG, Zurich. Credit Suisse (Lie) Money Market Fund is domiciled in Liechtenstein. The representative in Switzerland is Credit Suisse Funds AG, Zurich. The paying agent in Switzerland is Credit Suisse AG, Zurich. Some classes of the above-mentioned funds can only be offered to qualified investors within the meaning of Art. 10 para. 3 and 4 of the Swiss Federal Act on Collective Investment Schemes (CISA). Credit Suisse Real Estate Fund Interswiss, Credit Suisse Real Estate Fund Siat, Credit Suisse Real Estate Fund PropertyPlus, Credit Suisse Real Estate Fund LivingPlus, Credit Suisse Real Estate Fund Hospitality and Credit Suisse Real Estate Fund Global are investment funds established under Swiss law in the category of “real estate funds,” in accordance with the CISA. CS 1a Immo PK was issued in Switzerland. The target group of investors is restricted to tax-exempt domestic occupational benefit institutions and tax-exempt domestic social insurance institutions and compensation funds. Credit Suisse Real Estate Fund Green Property International is an investment fund established under Swiss law in the category of “real estate funds,” in accordance with the CISA for qualified investors as defined in art. 10, para. 3 and 4 of the CISA. Credit Suisse Real Estate Fund International is an investment fund established under Swiss law in the category of “real estate funds,” in accordance with the CISA for qualified investors as defined in art. 10, para. 3 and 4 of the CISA. The investor profile is restricted to institutional investors with professional treasury as defined in § 5 of this fund agreement. SICAV II (Lux) Credit Suisse Bond, SICAV II (Lux) Credit Suisse Money Market, SICAV II (Lux) Credit Suisse Inflation Linked Bonds, SICAV II (Lux) Credit Suisse Corporate Short Duration, SICAV II (Lux) Credit Suisse Global Convertibles have been established as an undertaking for collective investment (UCI) under Part II of the Luxembourg law of December 17, 2010, as amended. The CS PortfolioReal, CS EUROREAL, Credit Suisse MACS Classic 20, Credit Suisse MACS Classic 40, Credit Suisse MACS Classic 60, Credit Suisse MACS Absolut, Credit Suisse MACS Funds 20, Credit Suisse MACS Funds 40 and Credit Suisse MACS Funds 60 are Gemischte Sondervermögen (mixed funds) pursuant to the German Investment Act (InvG). Credit Suisse Asset Management Immobilien Kapitalanlagegesellschaft MBH has irrevocably terminated the discretionary mandate in respect of CS EUROREAL at May 21, 2012 effective from April 30, 2017 and has additionally announced the permanent suspension of issue and redemption of CS EUROREAL fund units. This means that incoming buy or sell orders will not be executed any longer. CS Prime Select Trust (Lux) Global Equities Long/Short, responsAbility Global Microfinance Fund and Credit Suisse Prime Select Trust Multi Strategy were launched in Switzerland under the type "other funds for alternative investments" with special risks. The CS ETFs family includes Exchange Traded Funds (ETF) under Swiss law, Luxembourg law and Irish law. The underlying indices are registered trademarks and have been licensed for use. The indices are compiled and calculated solely by licensors and the licensors shall have no liability with respect thereto. The products based on the indices are in no way sponsored, endorsed, sold or promoted by the licensors. Subscriptions are only valid on the basis of the current sales prospectus and the most recent annual report (or half-yearly report, if this is more recent). The prospectus, the simplified prospectus and/or the Key Investor Information Document (KIID), the management regulations respectively the articles of incorporation and the annual and half-yearly reports may be obtained free of charge from Credit Suisse Funds AG, Zurich or from any branch of Credit Suisse AG in Switzerland. CSIF (Credit Suisse Institutional Funds) and CSIMF (Credit Suisse Institutional Master Funds) are umbrella funds under Swiss law of the type "other funds for traditional investments" for qualified investors pursuant to CISA, art. 10, para. 3 and 4. This document is expressly not intended for private individuals or persons for whom access to this type of information is forbidden. The target group of investors may also be restricted in the fund contract for specific subfunds or unit classes. The fund contract and the annual report are available free of charge from the fund management company, Credit Suisse Funds AG, Zurich, or from the custodian bank, Credit Suisse AG, Zurich. CS Nova (Lux) Global Senior Loan Fund is considered foreign investment schemes pursuant to art. 119 of the CISA. No application has been submitted to the Federal Financial Market Supervisory Authority (FINMA) to obtain approval within the meaning of art. 120 CISA to publicly advertise, offer or distribute the investments in or from Switzerland, and no other steps have been taken in this direction. As a result, the investments are not registered with FINMA. Consequently, investors do not benefit from the specific investor protection and/or FINMA supervision pursuant to the CISA and its implementing ordinances. Any offer or sale must therefore be in strict compliance with Swiss law, and in particular with the provisions of the CISA and its implementing ordinances, and FINMA circular 2008/8 on public solicitation. Pursuant to the CISA and its implementing ordinances, the units may not be offered, marketed or distributed to the public in or from Switzerland, but only to qualified investors. Copyright © 2017 Credit Suisse Group AG and/or its affiliates. All rights reserved.
By accessing this web site, the pages contained on it, and the products, services, information, tools and material contained or described herein (the "Site"), you acknowledge your agreement with and understanding of the following terms of use.
The Site contains information on collective investment schemes which are domiciled and registered in multiple jurisdictions. Access to information on this Site may be restricted by local laws and regulations which may apply to you as a user. It is therefore mandatory and important that you truthfully select your country of domicile before continuing to use the Site. By clicking “Accept” you confirm to have chosen the right domicile.
Any information provided herein is intended for information purposes only. On no account is the information supplied to be regarded as offering, investment recommendation or financial, taxation or other professional advice and does not release the recipient from exercising his/her own judgment.
No representation, warranty or undertaking, express or implied, is given to the accuracy or completeness of the information or opinions contained on this Site by CREDIT SUISSE GROUP AG and/or its affiliated entities (“CS”) and no liability is accepted by CS for the accuracy or completeness of any such information or opinions. Nothing on the Site shall be construed as granting any license or right to use any image, trademark, service mark or logo. Downloading, copying or printing individual pages and/or parts of the Site is allowed for personal use only, and will not transfer title to any software or material on the Site to you.
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SOBRE LA INFORMACION PROPORCIONADA Toda la información ofrecida en este ‘website’ ha sido elaborada por el Grupo Credit Suisse AG (Credit Suisse), en base a su leal saber y entender, de conformidad con la legislación vigente en la fecha de su elaboración, basándose en información disponible para el público, datos desarrollados internamente y otras fuentes consideradas fiables, aunque la Entidad no garantiza la exactitud de tal información. A no ser que se indique lo contrario, las cifras que se muestran no están auditadas. Todas las opiniones y estimaciones aquí contenidas conforman el parecer de Credit Suisse en el momento de su publicación, y están sujetas a cambios sin notificación previa. La información aquí contenida es proporcionada a título meramente informativo, y no es el resultado de una investigación o análisis financiero, por lo que no está sometida a los requisitos legales en materia de independencia del análisis financiero. No constituye en ningún caso una oferta de valores, ni asesoramiento en materia de inversión o recomendación personalizada, en los términos establecidos en la normativa vigente, con el objeto de que usted lleve a cabo operación alguna, ni conlleva la prestación de servicios de asesoría financiera, fiscal o legal. Puede que no todos los productos aquí descritos sean adecuados para usted o estén a su alcance. Este ‘website’ podría asimismo no incluir toda la información en que usted podría estar interesado en relación con los productos mencionados. Se recomienda consultar a un asesor financiero o a un asesor fiscal a propósito de la situación financiera y las obligaciones impositivas de cada uno antes de tomar cualquier decisión en cuanto a inversiones. Credit Suisse no garantiza que las órdenes cursadas sobre la base de la información aquí contenida conlleven ganancias para el inversor. Los datos referentes al rendimiento no tienen en cuenta las comisiones y gastos de la suscripción y el reembolso de participaciones. En caso de reflejarse resultados anteriores de un instrumento o índice financiero o resultados históricos simulados de los mismos, tales resultados no implican rentabilidades o resultados futuros, ni constituyen un indicador fiable de rentabilidades o resultados futuros. Toda inversión implica riesgos, especialmente en lo relativo a las fluctuaciones de valor y de rendimiento. En el caso de las divisas existe además el riesgo de que la divisa se deprecie frente a la moneda de referencia del inversor. Las inversiones internacionales (en especial en los mercados emergentes), las inversiones en pequeñas empresas y las inversiones en fondos o estrategias de inversión enfocadas hacia un sector, país o región, así como otras inversiones especiales cuyas directrices de inversión prevén el uso de capital ajeno o instrumentos derivados están asociadas a riesgos especiales y sólo son adecuadas para inversores experimentados que entiendan totalmente, y estén dispuestos a asumir los riesgos que implican estas inversiones, así como la exposición a unas pérdidas potenciales que pudieran afectar al total de su inversión. Le corresponde por tanto al inversor la toma de decisiones sobre las transacciones a realizar, asumiendo éste, por tanto, los beneficios o pérdidas que puedan generarse como consecuencia de las mismas. RESTRICCIONES A LA OFERTA Y SOLICITUD El contenido de estas páginas web no está dirigido a personas en cuya jurisdicción (por su nacionalidad, residencia u otros motivos) esté prohibida la publicación u oferta del mismo. Las personas afectadas por dichas prohibiciones deberán abstenerse de acceder a este ‘website’. El contenido de estas páginas web no es una oferta de venta, ni una solicitud de compra de ningún producto o servicio en jurisdicciones en las que tal oferta de venta o solicitud de compra sea ilegal, no haya sido debidamente autorizada, o no se lleve a cabo por distribuidores debidamente autorizados. Los productos y servicios aquí descritos se comercializan únicamente en aquellas jurisdicciones en las que se hallan inscritos, por distribuidores debidamente autorizados. LEYES FISCALES Y POSIBLES CONSECUENCIAS FISCALES Las transacciones con productos de inversión están sometidas a normas y disposiciones fiscales en diferentes ordenamientos jurídicos, como pueden ser el ordenamiento jurídico en el que se emite el producto de inversión o en el que está domiciliado el emisor, los ordenamientos jurídicos en los que se suscribe el producto, los ordenamientos jurídicos en los que los inversores mantienen los productos en depósito, los ordenamientos jurídicos en los que los inversores tienen su domicilio o sede o están sujetos al pago de impuestos. Los inversores serán personalmente responsables de informarse sobre las normas fiscales aplicables vigentes y de observar su cumplimiento a la hora de suscribir, comprar, mantener, vender, reembolsar o distribuir las inversiones. Los posibles comentarios aquí contenidos relativos a las transacciones con productos de inversión no deberán interpretarse como un asesoramiento en materia fiscal por parte de Credit Suisse. Se recomienda evaluar cuidadosamente las posibles consecuencias fiscales de tales inversiones consultando, en su caso, un asesor fiscal. Asimismo se señala que posiblemente los inversores deberán seguir reuniendo o completando ellos mismos los datos para el cálculo de impuestos, aún en los casos en que éstos sean preparados automáticamente por Credit Suisse. CONFLICTOS DE INTERES Credit Suisse podría eventualmente participar o invertir en otras operaciones financieras con entidades aquí mencionadas, así como prestar servicios o solicitarlos a dichas entidades, o bien matener posiciones en valores o derivados emitidos por las mismas. En relación con los productos aquí mencionados, puede ser que Credit Suisse pague o reciba de terceros una remuneración única o recurrente como parte de su compensación. En ese caso, podría ocurrir que sus intereses entren en conflicto con los intereses de los inversores en dichos productos. Informaciones adicionales respecto a estas remuneraciones pueden solicitarse por el inversor a su asesor financiero en Credit Suisse. PROPIEDAD DEL EMPLAZAMIENTO Y MARCAS COMERCIALES Este ‘website’ es propiedad del Grupo Credit Suisse AG. Nada de lo aquí contenido podrá interpretarse como concesión de licencia ni derecho de uso alguno sobre ninguna imagen, marca comercial, marca de servicio o logotipo. Ningún acto de descarga o copia del contenido de estas páginas transferirá la titularidad de ningún componente informático ni de contenido en su favor. 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AUSENCIA DE GARANTÍAS Y RESPONSABILIDADES La información aquí contenida se proporciona "como cuerpo cierto", en la forma en que se encuentre", y Credit Suisse no garantiza la actualización, precisión, integridad, calidad o adecuación a propósitos específicos. Credit Suisse no garantiza en modo alguno que este ‘website’ esté libre de virus y demás componentes dañinos. En ninguna circunstancia, incluida, aunque sin limitación a ella, la negligencia, Credit Suisse será responsable de ningún daño, perjuicio o lucro cesante derivado de la utilización o incapacidad de utilización de este ‘website’ o de su contenido, ni de cualquier acción u omisión ocasionada por el uso del mismo. Los presentes fondos se encuentran inscritos en el Registro de Valores Extranjeros que al efecto lleva la Comisión para el Mercado de Chile de conformidad a la Ley Nº 18.045 de Mercado de Valores y a la Norma de Carácter General Nº 352 de dicha Comisión o aquella que la modifique o reemplace, pudiendo en consecuencia hacerse oferta pública de sus valores. Con fecha 13 de marzo de 2020, se ha solicitado a la Comisión para el Mercado Financiero (CMF) proceder con la cancelación del registro del valor extranjero Credit Suisse (Lux) Small and Mid Cap Germany Equity Fund, perteneciente a CS Investment Funds 11, cuya inscripción fue patrocinada por Credit Suisse Agencia de Valores (Chile) Limitada. En consecuencia, a contar de dicha fecha, cesa la oferta pública del valor en Chile, el cual dejará de estar inscrito en el Registro de Valores Extranjeros.
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