Amundi Selecta European Equity Fund of Funds

 

Amundi Selecta European Equity Fund of Funds provides an opportunity for its investors to invest their savings in certain large corporations on the Western European stock exchanges through purchasing its investment units. Owing to the fact that the fund invests in the equities of several large corporations, the fund’s portfolio is widely diversified.

 

Who is the Amundi Selecta European Equity Fund of Funds for?

Those who:

  • want a share from the return of the Western European equity markets,
  • plan to invest their savings for minimum 3-5 years,
  • would like to colour their investment portfolio with an element that offers higher returns and, consequently, involves higher risks.

How can you invest your money in the Amundi Selecta European Equity Fund of Funds?

Contact our colleagues in our nationwide branch network!

What kind of risks may arise in connection with the fund?

The purchase of the fund’s investment units has several inherent risks, the majority of which can be tracked back to the fact that the value of the assets included in the fund’s portfolio fluctuates. The price changes of the majority of the investment assets included in the fund’s portfolio depend on the macroeconomic situation of Hungary, including the changes to inflation and interest rates, and is significantly affected by the development of equity prices and the extent of the profits achieved by the corporations. However, in the short term, corporate results and the changes to equity prices may differ significantly.

You can receive detailed information on the potential risks of the fund from the official and currently valid Management Regulation (section IV.26) and Key Investor Information Documents (KIID) approved by the National Bank of Hungary (hereinafter referred to as: the Supervisory Authority). Before making the decision on your investment please study all the potential risks of the fund in the aforementioned documents.

For your attention!

Above total savings of HUF 5 million placed at UniCredit Bank, you can enjoy the advantages of the Premium Banking service that ensures personalized investment advice. Please check the details!

You can purchase the equities listed on the Budapest Stock Exchange at our bank directly. Please check the details!

Apply

 

Important:

This information is not comprehensive, for further information including the fund’s investment policy, distribution costs and the investment’s potential risks, please check out the currently valid Prospectus, Management Regulation, Key Investor Information Documents and the bank’s currently valid List of Conditions and Business Rules.

The distributor of the investment units is UniCredit Bank Hungary Zrt. (Activity Licence No.: I-1523/2003), a member of the Budapest Stock Exchange. This information is a commercial communication as per Act CXX of 2001 on Capital Markets and Act XVI of 2014 on collective forms of investment and the managers thereof, and on the modification of certain financial laws, but it does not qualify as a proposal, recommendation or investment consultancy.

Please consider the subject, risk and fees of the investment prior to making your decision on it, along with the potential damages that stem from it. In addition, prior to making your decision, we particularly request you to study the Key Investor Information Documents (KIID) approved by the National Bank of Hungary (hereinafter referred to as: the Supervisory Authority) thoroughly, along with the funds’ official Prospectus and Management Regulation. The approved Key Investor Information Documents related to the funds and their official Prospectus and Management Regulation are available on the Fund Manager’s website at www.amundi.hu, the Distributor’s website at www.unicreditbank.hu and on www.kozzetetelek.hu which is operated by the Supervisory Authority.

We draw your attention to the fact that the profit from the investment and the original value of the investment will fluctuate as a result of which the value of the investment units owned by the investors may be higher or lower than the amount paid upon purchase when sold. 

On behalf of the fund, the Fund Manager shall comply with its obligation to provide information regularly in connection with the fund by publishing the annual and the semi-annual reports as well as the monthly portfolio reports on the places of disclosure (the Fund Manager’s www.amundi.hu, and www.kozzetetelek.hu which is operated by the Supervisory Authority).