As part of our ongoing efforts to align our product offering with our clients’ needs and interests, we are making some changes to the Money Market Fund EUR (“Fund”).
The investment objective of the Fund remains to achieve a return in line with EUR money market rates and to provide a high level of capital protection. However, the investment strategy of the Fund is changing to provide greater flexibility in the implementation of the Fund’s objective. The new investment strategy will entail a greater allocation to money market instruments, instead of bank deposits, thus enhancing the degree of diversification that the Fund offers to its unit holders.
This change in strategy is not expected to alter the main characteristics of the Fund, including its risk and return profile.
The changes will become effective on September 8, 2022. If you have any questions or need further clarifications, please contact Customer Service at +357 22 551 300 or email@example.com.
Ancoria Insurance Public Ltd