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Class C3 Units denominated in Japanese Yen<br />

Class H Units denominated in US Dollars<br />

Class Y Units denominated in US Dollars<br />

Class Y1 Units denominated in Euro<br />

Class Y2 Units denominated in Sterling<br />

Class Y3 Units denominated in Japanese Yen<br />

Class YD Units denominated in US Dollars<br />

Class Y1D Units denominated in Euro<br />

Class Y3D Units denominated in Japanese Yen<br />

Class X Units denominated in US Dollars<br />

Class X1 Units denominated in Euro<br />

Class X2 Units denominated in Sterling<br />

Class X3 Units denominated in Japanese Yen<br />

Class A and Class Y Units are currently in issue and are<br />

available for subscription at the Net Asset Value per Unit of<br />

the relevant Class.<br />

Class A1, Class A2 and Class A3 Units are being offered<br />

to the investors at Euro12.50, STG12.50 and JPY 1,500<br />

respectively during the Initial Offer Period which has commenced<br />

and will close on 30 June, 2011 at noon (Irish<br />

time).<br />

Class C, Class C1, Class C2 and Class C3 Units are being<br />

offered to the investors at USD12.50, Euro12.50,<br />

STG12.50 and JPY 1,500 respectively during the Initial<br />

Offer Period which has commenced and will close on 30<br />

June, 2011 at noon (Irish time).<br />

Class H Units are being offered to investors at USD12.50<br />

during the Initial Offer Period which has commenced and<br />

will close on 30 June, 2011 at noon (Irish time).<br />

Class Y1, Class Y2 and Class Y3 Units are being offered<br />

to the investors at Euro100, STG100 and JPY 1,500 respectively<br />

during the Initial Offer Period which has commenced<br />

and will close on 30 June, 2011 at noon (Irish<br />

time).<br />

Class YD, Class Y1D and Class Y3D Units are being offered<br />

to investors at USD100, Euro100 and JPY1,500<br />

respectively during the Initial Offer Period which has commenced<br />

and will close on 30 June, 2011 at noon (Irish<br />

time).<br />

Class X, Class X1, Class X2 and Class X3 Units are being<br />

offered to the investors at USD100, Euro100, STG100 and<br />

JPY 1,500 respectively during the Initial Offer Period which<br />

has commenced and will close on 30 June, 2011 at noon<br />

(Irish time).<br />

Subscriptions for Class X, Class X1, Class X2 or Class X3<br />

Units will only be accepted from investors who have entered<br />

into a separate arrangement (legal agreement) with<br />

the Manager or its delegate.<br />

All Classes of Units which have not already been issued<br />

may be offered to the investors on such other dates as the<br />

Manager may at its discretion, and with the consent of the<br />

Trustee, determine and notify to the Central Bank. There-<br />

PineBridge Asia Equity Opportunities Fund<br />

after, Units shall be issued at the Net Asset Value per Unit<br />

of the relevant Class.<br />

7. Minimum Initial Subscription, Minimum Holding,<br />

Minimum Subsequent Subscription and<br />

Minimum Redemption Requirements<br />

The Minimum Initial Subscription and Minimum Holding<br />

applicable to each Class of Unit in the Sub-Fund are as<br />

follows:<br />

Class A Units USD 1,000<br />

Class A1 Units Euro 1,000<br />

Class A2 Units STG 1,000<br />

Class A3 Units JPY 125,000<br />

Class C Units USD 1,000<br />

Class C1 Units Euro 1,000<br />

Class C2 Units STG 1,000<br />

Class C3 Units JPY 125,000<br />

Class H Units USD 1,000<br />

Class Y Units USD 1,000,000<br />

Class Y1 Units Euro 1,000,000<br />

Class Y2 Units STG 1,000,000<br />

Class Y3 Units JPY 125,000,000<br />

Class YD Units USD 1,000,000<br />

Class Y1D Units Euro 1,000,000<br />

Class Y3D Units JPY 125,000,000<br />

The Minimum Initial Subscription for Class X, Class X1,<br />

Class X2, Class X3 Units is as follows:<br />

Class X Units USD 10,000,000<br />

Class X1 Units Euro 10,000,000<br />

Class X2 Units STG 10,000,000<br />

Class X3 Units JPY 1,250,000,000<br />

There is Minimum Holding for Class X, Class X1, Class X2<br />

or Class X3 Units.<br />

The Minimum Subsequent Subscription and Minimum<br />

Redemption applicable to each Class of Unit in the Sub-<br />

Fund are as follows:<br />

Class A Units USD 250<br />

Class A1 Units Euro 250<br />

Class A2 Units STG 250<br />

Class A3 Units JPY 30,000<br />

Class C Units USD 250<br />

Class C1 Units Euro 250<br />

Class C2 Units STG 250<br />

Class C3 Units JPY 30,000<br />

Class H Units USD 250<br />

There are no Minimum Subsequent Subscription or Minimum<br />

Redemption amounts for the Class Y, Class Y1,<br />

Class Y2, Class Y3, Class YD, Class Y1D, Class Y3D,<br />

Class X, Class X1, Class X2, or Class X3 Units.<br />

8. Dealing Day<br />

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