On 22 July 2024, the Clartan Evolution sub-fund changed its name to Clartan Flexible.
This update aims to better reflect the sub-fund’s investment strategy, which seeks to optimise the risk/return ratio (compared to that of the world’s main stock markets) by investing flexibly in different types of assets (as described in the sub-fund’s investment policy), with in particular 20 to 70% of its net assets in equities of listed companies (mainly on the financial markets of OECD countries), and 0 to 80% of its net assets in bonds, with the balance in money market products or cash.
The fund’s investment policy, management and risk profile will remain unchanged.
No additional fees will be charged to shareholders of the sub-fund. The version of the Company’s prospectus, the key investor information and the latest updated periodic reports will be available on 22 July on the Company’s website www.clartan.com or on request free of charge from the Company’s registered office.
This communication is for advertising purposes only. Investing in undertakings for collective investment in transferable securities (UCITS) involves risks. Before subscribing, it is advisable to consult the DIC and the prospectus available at www.clartan.com.
Past performance is no guarantee of future performance.