Schroder ISF
2024
Schroder ISF | Action | Effective Date | Notes |
---|---|---|---|
Asian Equity Yield | Aλλαγές στην πολιτική διανομής ορισμένων κατηγοριών μετοχών | 09/12/2024 | |
Sustainable Asian Equity | Eτήσια αμοιβή διαχείρισης | 23/09/2024 | |
Schroder International Selection Fund | 2η Πρόσκληση για την εξ αναβολής έκτακτη γενική συνέλευση των μεριδιούχων | 11/10/2024 | |
Strategic Credit | Aλλαγές στην πολιτική διανομής ορισμένων κατηγοριών μετοχών | 08/10/2024 | |
Schroder International Selection Fund | Postponement of 2nd EGM | 12/08/2024 | |
Schroder International Selection Fund | Πρόσκληση για την εξ αναβολής έκτακτη γενική συνέλευση των μεριδιούχων της | 13/08/2024 | |
Emerging Europe | SFDR, Art. 8 | 12/07/2024 | |
EURO Credit Conviction | Μέθοδος διαχείρισης κινδύνου | 12/07/2024 | |
Global Energy | Αλλαγή στην επενδυτική πολιτική | 12/07/2024 | |
Global Multi-Asset Balanced | Αλλαγή σημείου αναφοράς σύγκρισης | 12/07/2024 | |
Schroder International Selection Fund | Εκτακτη γενική συνέλευση των μεριδιούχων της Schroder International Selection Fund | 04/07/2024 | |
Schroder International Selection Fund | Ετήσια γενική συνέλευση των μεριδιούχων | 27/06/2024 | |
διάφορα υποκεφάλαια SISF | Αλλαγές στην πολιτική διανομής ορισμένων κατηγοριών μετοχών | 22/05/2024 | |
SISF Asian Bond Total Return, EURO Corporate Bond and Global Target Return | Αλλαγές στην πολιτική διανομής ορισμένων κατηγοριών μετοχών | 25/04/2024 | |
SISF European Special Situations | δεν ισχύει πλέον το τέλος απόδοσης | 10/04/2024 | |
SISF Global Gold | Αλλαγή του δείκτη αναφοράς-στόχου του Ταμείου | 10/04/2024 | |
SISF Social Impact Credit | Επικαιροποίηση επενδυτικού στόχου, πολιτικής και κριτηρίων βιωσιμότητας | 10/04/2024 | |
SISF Sustainable US-Dollar High Yield | Προσθήκη του Bloomberg US High Yield ex-Energy Index ως συγκριτικό σημείο αναφοράς του Αμοιβαίου Κεφαλαίου | 10/04/2024 | |
SISF US Smaller Companies Impact | Επικαιροποίηση επενδυτικού στόχου, πολιτικής και κριτηρίων βιωσιμότητας | 10/04/2024 | |
SISF European Dividend Maximiser | Schroder International Selection Fund — European Dividend Maximiser | 10/04/2024 | |
SISF Emerging Markets Equity Impact | Schroder International Selection Fund — Emerging Markets Equity Impact | 10/04/2024 | |
SISF BlueOrchard Emerging Markets Impact Bond | Schroder International Selection Fund — BlueOrchard Emerging Markets Impact Bond | 10/04/2024 | |
SISF BlueOrchard Emerging Markets Climate Bond | Schroder International Selection Fund — BlueOrchard Emerging Markets Climate Bond | 10/04/2024 | |
SISF Swiss Equity | Schroder International Selection Fund — Swiss Equity | 04/04/2024 | |
SISF Sustainable Swiss Equity | Συγχώνευση των Schroder International Selection Fund Sustainable Swiss Equity και Schroder International Selection Fund Swiss Equity | 04/04/2024 | |
Sustainable Multi-Asset Income | Κατάργηση του στόχου απόδοσης του ταμείου 3-5% ετησίως | 03/04/2024 | |
Global Multi-Asset Income | Κατάργηση του στόχου απόδοσης του ταμείου 3-5% ετησίως | 03/04/2024 | |
Global Emerging Markets Smaller Companies | Επικαιροποίηση της επενδυτικής πολιτικής του ταμείου | 03/04/2024 | |
Global Diversified Growth | Αλλαγή της μεθόδου διαχείρισης κινδύνου του αμοιβαίου κεφαλαίου | 03/04/2024 | |
Inflation Plus | Schroder International Selection Fund (η «Εταιρεία») – Inflation Plus (το «Αμοιβαίο Κεφάλαιο») | 03/04/2024 | |
Strategic Bond | Schroder International Selection Fund (η «Εταιρεία») – Strategic Bond (το «Αμοιβαίο Κεφάλαιο») | 03/04/2024 | |
Sustainable Global Sovereign Bond | Schroder International Selection Fund (η «Εταιρεία») – Sustainable Global Sovereign Bond (το «Αμοιβαίο κεφάλαιο») | 03/04/2024 | |
Alternative Securitised Income | Schroder International Selection Fund (η «Εταιρεία») – Alternative Securitised Income (το «Αμοιβαίο Κεφάλαιο») | 03/04/2024 | |
Emerging Europe | Ανακοίνωση προς τους μετόχους των κατηγοριών X9 και Y9 του Schroder International Selection Fund Emerging Europe | 02/04/2024 | |
Emerging Europe | Ανακοίνωση προς τους μετόχους των κατηγοριών X9 και Y9 του Schroder International Selection Fund Emerging Europe | 05/03/2024 | |
Sustainable Future Trends | Aλλαγή της διαχειριστής επενδύσεων | 29/02/2024 | |
Sustainable Conservative | Εκκαθάριση | 28/02/2024 |
2023
Schroder ISF | Action | Effective Date | Notes |
---|---|---|---|
Schroder International Selection Fund | Investor Data Transfer | 29/12/2023 | |
SISF European Sustainable Value | ISIN codes and conversion ratio per share | 13/11/2023 | |
SISF Global Multi-Asset Income | Changes to the distribution policy of certain share classes | 25/10/2023 | |
SISF Digital Infrastructure | Schroder International Selection Fund (the “Company”) – Digital Infrastructure (the “Fund”) - Liquidation | 10/10/2023 | |
Sustainable European Market Neutral | Sustainable European Market Neutral Conversion ratios after conversion into European Alpha Absolute Return | 03/10/2023 | |
SISF Global Sustainable Value | Schroder International Selection Fund — Global Sustainable Value | 14/09/2023 | |
SISF European Sustainable Value | European Sustainable Value merger with Schroder International Selection Fund — Global Sustainable Value
| 14/09/2023 | |
European Special Situations | Clarification of the Fund’s investment objective and policy | 25/08/2023 | |
SISF European Innovators | Clarification of the Fund’s sustainability criteria | 25/08/2023 | |
US Smaller Companies Impact | Clarification of the Fund’s investment policy | 25/08/2023 | |
SISF Multi Asset Growth and Income | Change of the Fund’s comparator benchmark weightings | 25/08/2023 | |
European Value | Change of performance fee | 25/08/2023 | |
SISF Global Recovery | Change of the Fund’s benchmarks | 25/08/2023 | |
Global cities | Clarification of the Fund’s sustainability criteria | 25/08/2023 | |
Carbon Neutral Credit 2040 | Clarification of the Fund’s investment objective, investment policy and sustainability criteria | 25/08/2023 | |
Carbon Neutral Credit | Clarification of Fund's investment policy and sustainability criteria | 25/08/2023 | |
SISF Investor Data Transfer | Investor Data Transfer | 18/08/2023 | |
All China Credit Income | Change of investment policy | 18/08/2023 | |
Emerging Markets Local Currency Bond | Commitment to invest a minimum proportion of 10% of its assets in sustainable investments will be removed | 18/08/2023 | |
Emerging Markets Debt Absolute Return | Change of name, investment objective and policy | 18/08/2023 | |
Emerging Europe | Change of Investment Objective | 18/08/2023 | |
EURO Credit Absolute Return | Change of name and investment objective | 18/08/2023 | |
European Smaller Companies | Change of target benchmark | 18/08/2023 | |
Global Credit Income Short Duration | Change of name, investment objective, investment policy and sustainability criteria | 18/08/2023 | |
Global Sustainable Food and Water | Change of Investment Policy | 18/08/2023 | |
Japan DGF | Change of Investment Policy | 18/08/2023 | |
Multi-Asset Total Return | Change of investment objective and policy | 18/08/2023 | |
Short Duration Dynamic Bond | Change of name, investment objective and policy | 18/08/2023 | |
Sustainable Multi-Factor Equity | Change of investment policy | 18/08/2023 | |
Swiss Equity / Swiss Small & Mid Cap Equity / Sustainable Swiss Equity | Investment Policy Update | 18/08/2023 | |
SISF European Alpha Absolute Return | Merger into Schroder International Selection Fund — European Alpha Absolute Return | 17/08/203 | |
European Sustainable Equity | Merger of fund with SISF European Large Cap | 19/04/2023 | Shareholder letter |
European Large Cap | Merger of fund with SISF European Sustainable Equity | 19/04/2023 | Shareholder letter |
Dynamic Indian Credit Income
| Fund liquidation | 23/02/2023 | Shareholder letter |
SISF Inflation Plus
| Investment policy change | 01/01/2023 | Shareholder letter |
SISF Commodity | Total Return Swaps - amendment of range | 27/01/2023 | Shareholder letter |
SISF Global DGF | Investment objective & policy update | 01/03/2023 | Shareholder letter |
Asian Credit Opportunities | Fixed distribution amendment advice | 01/03/2023 | Shareholder letter |
SISF BRIC
| Change of name, objective and investment policy | 18/04/2023 | Shareholder letter |
Schroders ISF | Changes in distribution policy | 06/02/2023, 11/04/2023 | |
Multiple funds | Changing investment objectives and policies | 01/01/2023 | |
SISF Healthcare Innovation | Change of Sustainable Finance Disclosure Regulation (SFDR) article | 01/01/2023 |
2022
SISF Securitised Credit | Temporary increase of dilution adjustment rate | 28/09/2022 | Shareholder letter |
SISF Global Credit High Income | Fixed Distribution Review 2022 | 28/09/2022 | Shareholder letter |
SISF European Sustainable Value | Fixed Distribution Review 2022 | 28/09/2022 | Shareholder letter |
SISF Global Credit Income
| Fixed Distribution Review 2022 | 28/09/2022 | Shareholder letter |
SISF Global Diversified Growth
| Net to Gross Performance fee target | 16/08/2022 | Shareholder letter |
Schroder ISF
| Investment policy update for China-A shares | 15/07/2022 | Shareholder letter |
SISF Short Duration Dynamic Bond | New comparator benchmark | 15/07/2022 | Shareholder letter |
SISF Strategic Bond | New comparator benchmark | 15/07/2022 | Shareholder letter |
SISF Japan DGF | Change of dealing cut-off and dealing settlement | 22/08/2022 | Shareholder letter |
Schroder ISF | Article 8 (SFDR) related changes | 01/09/2022 | Shareholder letter |
SISF Global Diversified Growth | Reduction of AMC and change of benchmark | 16/08/2022 | Shareholder letter |
SISF Global Climate Change Equity | Investment policy update | 16/08/2022 | Shareholder letter |
Schroder ISF | Addition of SFDR exclusion wording | 16/08/2022 | Shareholder letter |
SISF Greater China | Increase of China A exposure | 16/08/2022 | Shareholder letter |
SISF Global Multi Credit | Restructure | 16/08/2022 | Shareholder letter |
SISF Hong Kong Dollar Bond | Change of investment policy and benchmark | 16/08/2022 | Shareholder letter |
SISF US Smaller Companies | Fund restructure & SFDR change | 16/08/2022 | Shareholder letter |
SISF Emerging Markets Hard Currency | Change of benchmark | 16/08/2022 | Shareholder letter |
SISF Global Multi-Asset Balanced | Change of investment policy and benchmark | 16/08/2022 | Shareholder letter |
Schroder ISF | Sustainable Finance Disclosure Regulation (“SFDR”) | 01/09/2022 | Shareholder letter
Appendix |
SISF Emerging Europe
| Reorganisation of the Fund for Russian Assets | 18/07/2022 | Shareholder letter
Unpublished NAV |
SISF Emerging Europe | Réorganisation du Compartiment pour les actifs russes | 04/07/2022 | Shareholder letter
Unpublished NAV |
SISF Emerging Europe | Reorganisatie van het Fonds voor Russische Activa | 04/07/2022 | Shareholder letter
Unpublished NAV |
SISF Asian Convertible Bond | OGC reduction - C shares | 01/08/2022 | Shareholder letter |
SISF Securitised Credit | De-registration of fund in France | 13/06/2022 | Shareholder letter |
SISF Alternative Securitised Income | De-registration of fund in France | 13/06/2022 | Shareholder letter |
SISF Global Conservative Convertible Bond | Merger with SISF Global Sustainable Convertible Bond | 08/06/2022 | Shareholder letter |
SISF Global Sustainable Convertible Bond | SISF Global Conservative Convertible Bond merger with SISF Global Sustainable Convertible Bond | 08/06/2022 | Shareholder letter |
SISF Emerging Europe Fund | NAV suspension | 17/3/2022 | Shareholder letter |
SISF Sustainable Asian Equity
| Rename of A Acc share class | 28/02/2022 | Shareholder letter |
SISF Sustainable Asian Equity | Increase of AMC fee | 01/05/2022 | Shareholder letter |
SISF Emerging Europe | NAV suspension | 28/02/2022 | Shareholder letter |
SISF US Large Cap
| Change of investment manager | 01/04/2022 | Shareholder letter |
SISF Global Equity Alpha | Change of investment manager | 01/04/2022 | Shareholder letter |
SISF Global Emerging Market Opportunities
| Sustainable Finance Disclosure Regulation (“SFDR”) | 30/03/2022 | Shareholder letter |
SISF European Alpha Absolute Return
| AMC reduction | 01/03/2022 | Shareholder letter |
SISF Sustainable European Market Neutral
| SISF European Equity Absolute Return merger with SISF Sustainable European Market Neutral | 22/03/2022 | Shareholder letter |
SISF European Equity Absolute Return
| Merger with SISF Sustainable European Market Neutral | 22/03/2022 | Shareholder letter |
Schroder ISF
| Deloitte appointment | 11/01/2022 | Shareholder letter |
Schroder ISF Middle East | Merger of fund with SISF Frontier Markets | 21/02/2022 | Shareholder letter |
Schroder ISF Frontier Markets | SISF Middle East merger into SISF Frontier Markets | 21/02/2022 | Shareholder letter |
SISF Euro Equity | Adjustment of ManCo fee | 10/02/2022 | Shareholder letter |
SISF European Equity Absolute Return
| Performance fee & comparator benchmark change | 01/01/2022 | Shareholder letter |
SISF Sustainable European Market Neutral | Performance fee & comparator benchmark change | 01/01/2022 | Shareholder letter |
2021
Schroder ISF | Action | Effective Date | Notes |
Restructure of J.P. Morgan Bank | Restructure of J.P. Morgan Bank Luxembourg S.A., the depositary and the administrator | 21/12/2021 | |
SISF UK Equity | Reduction in annual management charge | 24/11/2021 | |
SISF Digital Infrastructure | Dealing cut-off amendment | 11/11/2021 | |
SISF China Opportunities | Exposure to China A shares | 01/11/2021 | |
Schroder ISF | Sustainable Finance Disclosure Regulation (“SFDR”) | 29/10/2021 | |
SISF US Smaller Companies | Investment policy/SFDR update | 29/10/2021 | |
SISF US Small and Mid-Cap Equity | Investment policy/SFDR update | 29/10/2021 | |
SISF Multi-Asset Growth and Income
| Investment objective/policy update | 29/10/2021 | |
SISF Global Multi-Asset Income | Investment objective/policy update | 29/10/2021 | |
SISF European Equity Yield | Restructure | 29/10/2021 | |
SISF European Alpha Absolute | Investment policy & SFDR update | 29/10/2021 | |
SISF Emerging Multi-Asset Income
| Fund restructure | 29/10/2021 | |
Schroder ISF | New bank details for Standing Settlement Instructions | 22/09/2021 | |
Schroder ISF
| Amendment to investment policies (China A Derivatives - Investment Purposes) | 14/September/2021 | |
Schroder ISF | Amendment to investment policies (China A Derivatives - EPM) | 14/September/2021 | |
SISF European Sustainable Equity | Change of comparator benchmark | 14/September/2021 | |
SISF Alternative Securitised Income
| Change of investment policy | 14/September/2021 | |
SISF European Value | Change of investment policy | 11/October/2021 | |
Change of fund name & investment policy | 11/October/2021 | ||
Change of benchmark | 30/June/2021 | ||
SISF Asia Pacific ex-Japan Equity | Investment objective and policy change | 21/June/2021 | |
SISF Strategic Credit | Investment objective and investment policy change | 21/June/2021 | |
SISF QEP Global Active Value
| Investment policy change | 21/June/2021 | |
SISF Flexible Retirement | Change of the Fund's name, investment objective and policy, and investment manager | 21/June/2021 | |
SISF European Alpha Focus | Change of the Fund's name, investment objective and policy | 21/June/2021 | |
SISF Commodity
| Change of the Fund's expected leverage | 21/June/2021 | |
SISF Global Cities Real Estate | Change of the Fund’s name and benchmark | 21/June/2021 | |
SISF QEP Global Value Plus | Liquidation | 14/June/2021 | |
SISF Alternative Securitised Income
| Change of benchmarks of the Funds | 18/May/2021 | |
Schroder ISF | Prospectus update | 18/May/2021 | |
SISF Hong Kong Equity | Investment objective and investment policy change | 18/May/2021 | |
SISF Global Smaller Companies
| Change of target benchmarks of the Funds | 18/May/2021 | |
SISF Global Equity | Change of target benchmark of the Fund | 18/May/2021 | |
SISF Global Emerging Market Opportunities | Investment policy change | 18/May/2021 | |
SISF All China Equity | Change of target benchmark of the Fund | 18/May/2021 | |
SISF BRIC (Brazil, Russia, India, China) | Investment policy change | 18/May/2021 | |
SISF Emerging Markets
| Investment policy change | 18/May/2021 | |
Schroder ISF | Sustainable Finance Disclosure Regulation (“SFDR”) | 06/04/2021 | |
Schroder ISF | UK Alpha Income merger with Schroder International
| 17/02/2021 | |
Schroder ISF | UK Alpha Income | 17/02/2021 | |
Schroder ISF | Distribution policy change notification | 19/02/2021 | |
Global Multi-Credit | Change of investment manager | 25/01/2021 | |
Sustainable European Market Neutral | Change of valuation point - correction letter | 22/01/2021 | |
Emerging Europe USD IZ Acc Share Class | Compulsory Redemption | 22/01/2021 | |
QEP Global Active Value
| Compulsory Redemption | 22/01/2021 | |
European Sustainable Equity | Receipt of assets from European Opportunities through a merger | 18/01/2021 | |
European Opportunities | Merger with European Sustainable Equity | 18/01/2021 | |
Global Energy | Investment Objective, Policy and Benchmark | 18/01/2021 |
For further information on these funds please visit the Fund Centre.
Hedged share classes for all funds - introduction of currency hedging fee for all hedged share classes. Information regarding the charge for holders of I, IA, IZ, P and X hedged share classes can be found here: http://www.schroders.com/getfunddocument?oid=1.9.2939396. Information regarding the charge for holders of A, A1, AX, B, C, CN, D, E, R, S and Z hedged share classes can be found here: http://ice.london.schroders.com/FundRange/Schroder%20ISF/SISF-Currency-Hedging-retail-LUEN.pdf.
Source: Schroders as at 30/03/2018
2020
Schroder ISF | Action | Effective Date | Notes |
Sustainable Multi-Asset Income | Change of distribution policy | 24/12/2020 | |
SISF Prospectus | Sub-Investment Managers | 17/12/2020 | |
Asian Dividend Maximiser | Clarification of income target | 14/12/2020 | |
European Dividend Maximiser | Clarification of income target | 14/12/2020 | |
Global Dividend Maximiser | Clarification of income target | 14/12/2020 | |
QEP Global Core | Clarification of investment policy | 14/12/2020 | |
Schroder International Selection Fund | Update to investment objectives and policies in light of benchmark regulations | 16/11/2020 | |
QEP Global Blend | Merger with QEP Global ESG | 02/11/2020 |
|
QEP Global ESG | Receipt of assets from QEP Global Blend through a merger | 02/11/2020 | |
Schroder International Selection Fund | Removal of Plan d’Epargne en Actions (“PEA”) from certain sub-funds | 01/10/2020 | |
SISF Semi-Annual Distributions | Correction Letter | 28/07/2020 | |
Sustainable Euro Credit | Change of Investment Manager to German Branch | 24/06/2020 | |
EURO Credit Absolute Return | Change of Investment Manager to German | 24/06/2020 | |
EURO Credit Conviction | Change of Investment Manager to German Branch | 24/06/2020 | |
All China Credit Income | Change to the Distribution Policy of Class A USD Distribution | 22/05/2020 | |
EURO Corporate Bond | Change of Investment Manager to German | 29/05/2020 | |
Schroder International Selection Fund | Changes to the distribution policy of certain share classes | 22/05/2020 | |
Schroder International Selection Fund | Annual general meeting of shareholders | 20/05/2020 | |
Asia Pacific Cities Real Estate | Merger conversion ratios | 17/04/2020 |
|
Global Credit Income | Changes to the distribution policy of certain share classes | 27/03/2020 | |
Multi-Asset PIR Italia | Liquidation of the sub-fund | 23/03/2020 |
|
Schroder International Selection Fund | Changes to the distribution policy of certain share classes | 23/03/2020 | |
Global Cities Real Estate | Receipt of the assets from Asia Pacific Cities Real Estate | 09/03/2020 | |
Asia Pacific Real Estate | Merger with Schroder International Selection Fund— Global Cities Real Estate | 09/03/2020 |
|
Schroder International Selection Fund | Changes to the distribution policy of certain share classes | 21/02/2020 | |
Wealth Preservation | Change of name and investment objective | 03/01/2020 | |
US Large Cap | Change of investment policy | 03/01/2020 | |
Swiss Equity Opportunities | Change of name, investment objective and policy and removal of performance fees | 03/01/2020 | |
Schroder International Selection Fund | Exposure to Asset Backed Securities (ABS) and Mortgage Backed Securities (MBS) | 03/01/2020 | |
Schroder International Selection Fund | Use of derivatives for investment gains | 03/01/2020 | |
Global Unconstrained Bond | Change of name, investment objective and policy and Fund Currency | 03/01/2020 |
|
Global High Income Bond | Change of name, investment objective and policy, risk considerations and Investment Manager | 03/01/2020 |
|
European Special Situations | Clarification of investment policy | 03/01/2020 | |
Asian Long Term Value | Change of Dealing Frequency | 03/01/2020 |
|
For further information on these funds please visit the Fund Centre.
Hedged share classes for all funds - introduction of currency hedging fee for all hedged share classes. Information regarding the charge for holders of I, IA, IZ, P and X hedged share classes can be found here: http://www.schroders.com/getfunddocument?oid=1.9.2939396. Information regarding the charge for holders of A, A1, AX, B, C, CN, D, E, R, S and Z hedged share classes can be found here: http://ice.london.schroders.com/FundRange/Schroder%20ISF/SISF-Currency-Hedging-retail-LUEN.pdf.
Source: Schroders as at 30/03/2018
2019
Schroder ISF | Action | Effective Date | Notes |
Emerging Markets Corporate Bond | Change of name to Emerging Markets Hard Currency, change to investment objective and policy | 03/09/2019 | |
Global Credit Income | Change of fixed distribution rate from 5.25% to 5% per month for A USD Dis MF, A1 USD Dis MF, C USD Dis MF, I USD Dis MF, U USD Dis MF, A HKD Dis MF, A AUD Dis MF, A RMB Dis MF, A ZAR Dis MF, U AUD Dis MF, U ZAR Dis MF | End August 2019 | |
Global Multi-Asset Balanced | Change of investment manager from SIM Limited to SIM DE | 01/08/2019 | |
RMB Fixed Income | Change of name, change of investment objective and policy | 13/06/2019 | |
Latin American | Amendment to investment policy to tighten the expected holding range from 50-70 to 40-70 stocks | 13/06/2019 | |
Japan DGF | Amendment to investment objective to clarify performance target from 3-month TIBOR (Tokyo interbank interest rates) +3% pa (net of fees) to 3-month TIBOR (Tokyo interbank interest rates) +4% (gross of fees) | 13/06/2019 | |
European Equity Yield
| Amendment to investment policy to modernise wording | 13/06/2019 | |
European Special Situations, European Smaller Companies, Securitised Credit | Reduction of shareholder fees | 01/04/2019 | |
EURO Liquidity | Investment objective and policy change to comply with and reflect authorisation under the Money Market Funds Regulation. | 21/03/2019 | |
US Dollar Liquidity | Investment objective and policy change to comply with and reflect authorisation under the Money Market Funds Regulation. | 21/03/2019 | |
UK Equity | Amendment to investment policy | 15/03/2019 | |
European Large Cap | Amendment to investment policy to remove reference to investment in the EU /EEA | 15/03/2019 | |
European Alpha Focus | Amendment to investment policy to remove reference to investment in the EU /EEA | 15/03/2019 | |
Euro Equity | Addition of Environmental, Social and Governance factors to investment policy | 15/03/2019 | |
Italian Equity | Amendment to investment policy to remove restriction on holding Italian Real Estate companies | 19/02/2019 | |
Multi-Asset PIR Italia | Amendment to investment policy to remove restriction on holding Italian Real Estate companies | 19/02/2019 | |
European Market Neutral | Increaee of expected leverage from 150% to 350%, clarification to investment policy | 31/01/2019 | |
European Equity Absolute Return | Increase of expected leverage from 150% to 350% | 31/01/2019 | |
European Alpha Absolute Return | Increase of expected leverage from 150% to 300% | 31/01/2019 | |
Global Diversified Growth | Change to dealing cut-off off time and change of settlement period | 21/01/2019 | |
Global Corporate Bond | Change of benchmark from Bloomberg Barclays Global Aggregtae Credit Index Hedged to USD to Bloomberg Barclays Global Aggregate - Corporate Index Hedged to USD | 01/01/2019 |
|
US Dollar Liquidity | Change of benchmark from USD LIBOR 3 Month to Bank of America Merrill Lynch 0-3 Month US Treasury Bill Index | 01/01/2019 |
|
For further information on these funds please visit the Fund Centre.
Hedged share classes for all funds - introduction of currency hedging fee for all hedged share classes. Information regarding the charge for holders of I, IA, IZ, P and X hedged share classes can be found here: http://www.schroders.com/getfunddocument?oid=1.9.2939396. Information regarding the charge for holders of A, A1, AX, B, C, CN, D, E, R, S and Z hedged share classes can be found here: http://ice.london.schroders.com/FundRange/Schroder%20ISF/SISF-Currency-Hedging-retail-LUEN.pdf.
Source: Schroders as at 30/03/2018
2018
Schroder ISF | Action | Effective Date | Notes |
Multi-Asset Growth and Income | Amendment to investment policy to remove redundant language | 15/11/2018 | |
Hong Kong Dollar Bond | Amendment to the invesment policy to remove redundant langauge | 15/11/2018 | |
Global Emerging Markets Smaller Companies | Amendment to investment policy to permit up to 10% in China A shares | 15/11/2018 | |
Flexible Retirement | Change of investment manager from SIM Switzerland to SIM Limited | 15/11/2018 | |
EURO Short Term Bond | Increase of expected leverage from 150% to 200% | 15/11/2018 | |
Asia Pacific Cities Real Estate, EURO Bond, European Large Cap, Global Cities Real Estate, Global Climate Change Equity, Global Convertible Bond, Global Inflation Linked Bond, US Large Cap, US Small & Mid Cap Equity, US Smaller Companies | Reduction of shareholder fees | 01/10/2018 | |
Distribution share class naming convention | Distribution share class names will incorporate some additional characters at the end of the existing name which will enable users to identify certain characteristics of the share class that are not currently distinguished within the name, for example, distribution frequency. | 11/09/2018 | |
Indian Bond | Change of name to Dynamic Indian Income Bond, change to investment policy, change to settlement cycle | 06/07/2018 | |
UK Opportunities | Change of name to UK Alpha Income, change of investment objective and policy | 06/07/2018 | |
QEP Global Absolute | Change of name to QEP Global Equity Market Neutral | 06/07/2018 | |
Multi Asset Total Return | Amedment to investment policy to permit up to 10% investment in open ended investment funds | 06/07/2018 | |
Multi-Asset Strategies | Change of name to Alternative Risk Premia, change to investment objective and policy, change to permitted leverage, change to profile of typical investor, reduction of annual management fee for C share classes | 06/07/2018 | |
Global Multi-Asset Flexible | Change of name to Multi-Asset Growth and Income, change to investment objective and policy, change to profile of typical investor | 06/07/2018 | |
Global Diverfsified Growth
| Amendment to investment policy to reduce the amount allowed in collective investment schemes to 10% | 06/07/2018 | |
China Opportunities
| Removal of ability to use derivatives for investment purposes | 06/07/2018 | |
European Equity (ex UK)
| Merger into European Alpha Focus | 04/07/2018 | European Equity (ex UK) shareholder letter |
Global Target Return | Reduction of annual management fee for A and C share classes | 01/06/2018 | |
Multi-Asset PIR Italia | Amendment to investment policy to permit investment in open ended funds above 10% | 15/05/2018 | |
Asia Pacific Cities Real Estate, BRIC (Brazil, Russia, India, China), Emerging Europe, Emerging Markets, European Dividend Maximiser, European Equity Yield, European Value, Frontier Markets Equity, Global Cities Real Estate, Global Climate Change Equity, Global Climate Change Equity, Global Dividend Maximiser, Global Emerging Market Opportunities, Global Emerging Markets Smaller Companies, Global Equity, Global Equity Alpha, Global Equity Yield, Global Recovery, Global Sustainable Growth, Latin American, Middle East, QEP Global Absolute, QEP Global Active Value, QEP Global Blend, QEP Global Core, QEP Global Emerging Markets, QEP Global ESG, QEP Global Quality, QEP Global Value Plus, Swiss Equity, Swiss Equity Opportunities, Swiss Small & Mid Cap | Addition of Environmental, Social and Governance factors to investment policy | 15/05/2018 | |
Hedged share classes for all funds | Information regarding the charge for holders of I, IA, IZ, P and X hedged share classes can be found here.
| 30/03/2018 |
|
EURO Short Term Bond | Benchmark change to Barclays Euro Aggregate 1-3 Year | 01/03/2018 |
|
Asian Credit Opportunities | Investment policy change | 01/03/2018 |
|
Asian Local Currency Bond | Investment policy change | 01/03/2018 |
|
UK Opportunities | Investment policy change | 01/03/2018 |
|
European Opportunities | Investment policy change | 01/03/2018 |
|
European Equity (ex UK) | Investment policy change | 01/03/2018 |
|
Global Multi-Asset Conservative | Fund name change to Flexible Retirement. Investment objective change | 01/03/2018 |
|
European Total Return | Fund name change to European Market Neutral. Investment objective and policy change. Management fee reduction and introduction of performance fee | 01/03/2018 |
|
Asian Bond Absolute Return | Fund name change to Asian Bond Total Return. Investment objective and policy change | 01/03/2018 |
|
Hong Kong Equity | Investment policy change | 01/02/2018 |
|
Asian Total Return | Investment policy change | 01/02/2018 |
|
Asian small Companies | Investment policy change | 01/02/2018 |
|
Asia Pacific Cities Real Estate | Investment policy change | 01/02/2018 |
|
Asian Equity Yield | Investment policy change | 01/02/2018 |
|
Emerging Asia | Investment policy change | 01/02/2018 |
|
Greater China | Investment policy change | 01/02/2018 |
|
China Opportunities | Investment policy change | 01/02/2018 |
|
Asian Opportunities | Investment policy change | 01/02/2018 |
|
Global Smaller Companies | Investment policy change | 01/02/2018 |
|
Global Emerging Markets Smaller Companies | Performance fee removal | 02/01/2018 | |
Global Smaller Companies | Performance fee removal | 02/01/2018 | |
Asian Opportunities | Toby Hudson to be named sole fund manager of the fund | 01/01/2018 |
|
For further information on these funds please visit the Fund Centre.
Hedged share classes for all funds - introduction of currency hedging fee for all hedged share classes. Information regarding the charge for holders of I, IA, IZ, P and X hedged share classes can be found here: http://www.schroders.com/getfunddocument?oid=1.9.2939396. Information regarding the charge for holders of A, A1, AX, B, C, CN, D, E, R, S and Z hedged share classes can be found here: http://ice.london.schroders.com/FundRange/Schroder%20ISF/SISF-Currency-Hedging-retail-LUEN.pdf.
Source: Schroders as at 30/03/2018
2017
Schroder ISF | Action | Effective Date | Notes |
US Large Cap | Change of investment manager | 07/11/2017 | |
Global Demographic Opportunities | Fund name change to Global Sustainable Growth. Investment objective and policy change. Management fee reduction | 02/11/2017 |
|
Global Inflation Linked Bond | Expected level of leverage change | 27/10/2017 | |
Japanese Equity | Kazuhiro Toyoda to be named sole fund manager of the fund | 01/10/2017 |
|
Strategic Beta 10 | Fund name change to Strategic Beta. Investment objective and policy change | 01/09/2017 |
|
Global Equity Alpha | Investment policy change | 01/09/2017 |
|
RMB Fixed Income | Investment policy change | 01/09/2017 |
|
Global Tactical Asset Allocation | Fund name change to Multi-Asset Strategies | 01/09/2017 |
|
European Alpha Focus
| Management fee reduction of C shares from 1.00% to 0.75% | 01/09/2017 | |
Global Equity Yield
| Management fee reduction of C shares from 1.00% to 0.75% | 01/09/2017 | |
Global Dividend Maximiser
| Management fee reduction of C shares from 1.00% to 0.75% | 01/09/2017 | |
European Equity Yield
| Management fee reduction of C shares from 1.00% to 0.75% | 01/09/2017 | |
Swiss Equity Opportunities | Management fee reduction of C shares from 1.00% to 0.75% | 01/09/2017 | |
Emerging Markets | Management fee reduction of C shares from 1.00% to 0.75% | 01/09/2017 | |
European Dividend Maximiser | Management fee reduction of C shares from 1.00% to 0.75% | 01/09/2017 | |
Global Equity | Management fee reduction of C shares from 1.00% to 0.75% | 01/09/2017 | |
Italian Equity | Fund Italian PIR compliant | 03/07/2017 |
|
Hong Kong Equity | Benchmark change | 03/07/2017 |
|
RMB Fixed Income | Benchmark change | 01/06/2017 |
|
Asian Opportunities | Toby Hudson to be named co-fund manager with Robin Parbrook | 01/05/2017 |
|
Emerging Market Local Currency Bond | Liquidation of fund | 28/02/2017 |
For further information on these funds please visit the Fund Centre.
Hedged share classes for all funds - introduction of currency hedging fee for all hedged share classes. Information regarding the charge for holders of I, IA, IZ, P and X hedged share classes can be found here: http://www.schroders.com/getfunddocument?oid=1.9.2939396. Information regarding the charge for holders of A, A1, AX, B, C, CN, D, E, R, S and Z hedged share classes can be found here: http://ice.london.schroders.com/FundRange/Schroder%20ISF/SISF-Currency-Hedging-retail-LUEN.pdf.
Source: Schroders as at 30/03/2018
2016
Schroder ISF | Action | Effective Date | Notes |
European Equity Focus | Fund name change to European Alpha Focus | 01/12/2016 |
|
Asia Pacific Property Securities | Fund name change to Asia Pacific Cities Real Estate | 01/12/2016 |
|
Global Property Securities | Fund name change to Global Cities Real Estate | 01/12/2016 |
|
Asian Convertible Bond | Removal of performance fees | 01/12/2016 |
|
EURO Liquidity | The management fee of A, A1 and B shares will be reduced from 0.5% to 0.2%. The management fees of the fund across all share classes will therefore be 0.2%. Distribution charges for all share classes will also be removed. | 01/10/2016 | |
Global Dynamic Balanced | Fund name change to Global Multi-Asset Balanced. Subscription and redemption settlement period reduce from 4 business days to 3 business day. Dealing cut-off change to from one day before dealing day to dealing day. | 01/06/2016 | |
Global Multi Asset Allocation | Fund name change to Global Multi-Asset Flexible | 01/06/2016 | |
Global Conservative | Fund name change to Global Multi-Asset Conservative | 01/06/2016 | |
Global Recovery | Re-wording of investment objective and policy | 01/06/2016 | |
Global Equity Yield | Re-wording of investment objective and policy | 01/06/2016 | |
European Dividend Maximiser | Re-wording of investment objective and policy | 01/06/2016 | |
Asian Dividend Maximiser | Re-wording of investment objective and policy | 01/06/2016 | |
Global Dividend Maximiser | Re-wording of investment objective and policy | 01/06/2016 | |
All funds | NAV per share changed from 2 decimal places to 4 decimal places | 02/05/2016 |
|
Strategic Beta 10 | Expected leverage level change | 12/04/2016 | |
EURO Credit Conviction
| Distribution change - Class A Dis EUR change from variable distributions paid quarterly to fixed distributions of 3% per annum paid semi-annually | 06/01/2016 |
For further information on these funds please visit the Fund Centre.
Hedged share classes for all funds - introduction of currency hedging fee for all hedged share classes. Information regarding the charge for holders of I, IA, IZ, P and X hedged share classes can be found here: http://www.schroders.com/getfunddocument?oid=1.9.2939396. Information regarding the charge for holders of A, A1, AX, B, C, CN, D, E, R, S and Z hedged share classes can be found here: http://ice.london.schroders.com/FundRange/Schroder%20ISF/SISF-Currency-Hedging-retail-LUEN.pdf.
Source: Schroders as at 30/03/2018
2015
Schroder ISF | Action | Effective Date | |
---|---|---|---|
Multi Manager Global Diversity | Liquidation of fund | 07/12/2015 |
|
Wealth Preservation EUR | Fund name change to Wealth Preservation | 02/11/2015 | Shareholder letter |
Global Conservative | Subscription and redemption settlement period reduce from 4 business days to 3 business day. Dealing cut-off change to from one day before dealing day to dealing day. Re-wording of investment objective and policy | 02/11/2015 | Shareholder letter |
USD Liquidity | Subscription and redemption settlement period reduce from 3 business days to 1 business day | 02/11/2015 | Shareholder letter |
Japan DGF | Subscription settlement period reduce from 4 business days to 2 business days | 02/11/2015 | Shareholder letter |
Asian Diversified Growth | Merger of Asian Diversified Growth into Global Diversified Growth | 28/10/2015 | |
European Dividend Maximiser | Distribution change - all fixed distribution share classes' distribution change from 8% to 7% | 08/10/2015 | |
Global Dividend Maximiser | Distribution change - all fixed distribution share classes' distribution change from 8% to 7%. Class A Dis RMB Hedged to pay out currency premium | 08/10/2015 | |
Global Equity Yield | Distribution change - all fixed distribution share classes' distribution change from 4% to 3% | 08/10/2015 | |
Asia Pacific Property Securities | Benchmark change from GPR General Asia Net Index to FTSE EPRA/NAREIT Developed Asia Index. Fund manager change. | 01/10/2015 | |
Global Small Cap Energy
| Merger of Global Small Cap Energy into Global Energy | 30/09/2015 | Global Small Cap Energy shareholder letter Global Energy shareholder letter |
European Small & Mid Cap Value | Liquidation of fund | 16/09/2015 | |
Global Managed Currency | Liquidation of fund | 19/08/2015 | |
Wealth Preservation USD | Liquidation of fund | 15/07/2015 | |
European Equity Yield | Distribution change - Class A Dis RMB Hedged to pay out currency premium | 09/06/2015 |
|
Global Corporate Bond | Distribution change - Class A Dis RMB Hedged to pay out currency premium | 09/06/2015 |
|
Hong Kong Dollar Bond | Benchmark change from HSBC ALBI Hong Kong Dollar Bond Index to 50% 3 month HIBOR + 50% HSBC ALBI Hong Kong Dollar Bond Index | 01/05/2015 |
|
European Equity Absolute Return | Fee reduction for A and B shares from 2% to 1.5% and C shares from 1% to 0.75% | 01/04/2015 |
|
European Opportunities | Re-wording of investment objective and policy. Removal of PEA eligibility | 01/04/2015 |
|
European Equity (ex-UK) | Re-wording of investment objective and policy. Removal of PEA eligibility | 01/04/2015 |
|
RMB Fixed Income | Re-wording of investment objective and policy | 01/04/2015 |
|
Strategic Credit | Re-wording of investment objective and policy | 01/04/2015 |
|
UK Opportunities | Re-wording of investment objective and policy | 01/04/2015 |
|
Emerging Asia | Benchmark change from MSCI Emerging Asia (Price) to MSCI Emerging Asia (Net TR) | 01/02/2015 |
|
Global Managed Currency | Removal of benchmark | 01/01/2015 |
|
For further information on these funds please visit the Fund Centre.
Hedged share classes for all funds - introduction of currency hedging fee for all hedged share classes. Information regarding the charge for holders of I, IA, IZ, P and X hedged share classes can be found here: http://www.schroders.com/getfunddocument?oid=1.9.2939396. Information regarding the charge for holders of A, A1, AX, B, C, CN, D, E, R, S and Z hedged share classes can be found here: http://ice.london.schroders.com/FundRange/Schroder%20ISF/SISF-Currency-Hedging-retail-LUEN.pdf.
Source: Schroders as at 30/03/2018
2014
Schroder ISF | Action | Effective Date |
---|---|---|
European Opportunities | Benchmark change from FTSE World Europe to MSCI Europe Net (TR) | 02/06/2014 |
US Equity Alpha | Merger of US Equity Alpha into US Large Cap | 01/07/2014 |
Global Small Cap Energy | Benchmark change from MSCI World Energy to MSCI World Energy Small Cap | 01/09/2014 |
QEP Global Emerging Markets | Fee Reduction for C shares from 1.00% to 0.75% | 01/10/2014 |
UK Opportunities | Fund manager change | 08/09/2014 |
Balanced Portfolio | Fund restructured to become Global Multi-Asset Allocation | 03/02/2014 |
Growth Portfolio | Fund merged into Global Multi-Asset Allocation | 03/02/2014 |
|
|
|
Confirmation of the merger of the Cazenove Irish funds into the Schroder ISF range |
---|
Cazenove merging fund | Schroder ISF receiving fund |
---|---|
Cazenove European Alpha Absolute Return Fund | Schroder ISF European Alpha Absolute Return |
Cazenove European Equity Absolute Return Fund | Schroder ISF European Equity Absolute Return |
Cazenove UK Equity Absolute Return Fund | |
Cazenove Leveraged UK Equity Absolute Return Fund |
For further information on these funds please visit the Fund Centre.
Hedged share classes for all funds - introduction of currency hedging fee for all hedged share classes. Information regarding the charge for holders of I, IA, IZ, P and X hedged share classes can be found here: http://www.schroders.com/getfunddocument?oid=1.9.2939396. Information regarding the charge for holders of A, A1, AX, B, C, CN, D, E, R, S and Z hedged share classes can be found here: http://ice.london.schroders.com/FundRange/Schroder%20ISF/SISF-Currency-Hedging-retail-LUEN.pdf.
Source: Schroders as at 30/03/2018
2013
Schroder ISF | Action | Effective Date |
---|---|---|
Emerging Market Sovereign Bond | Emerging Market Local Currency Bond and investment policy change | 01/10/2013 |
Emerging Europe Debt Absolute Return | Fund restructured to become Wealth Preservation EUR | 01/07/2013 |
Various | Change of benchmark from gross to net - Asian Equity Yield, Asian Opportunities, China Opportunities, Greater China, Indian Equity & Hong Kong Equity | 02/04/2013 |
EURO Bond | Re-wording of investment objective | 02/01/2013 |
EURO Short Term Bond | Re-wording of investment objective | 02/01/2013 |
Global Corporate Bond | Change of investment objective to remove flexibility to implement active currency positions | 02/01/2013 |
Global Credit Duration Hedged | Change of investment objective to remove flexibility to implement active currency positions | 02/01/2013 |
Global Inflation Linked Bond | Re-wording of investment objective | 02/01/2013 |
US Dollar Bond | Change of investment objective to include flexibility to implement active currency positions | 02/01/2013 |
Asian Bond Absolute Return | USD C Distribution share class payment frequency change from annual variable to annual fixed at 5% and EUR Hedged A1 Distribution share class payment amount change from monthly fixed at 4.5% to monthly fixed at 5% | 01/01/2013 |
Emerging Europe Debt Absolute Return | EUR A1 Distribution, EUR B1 Distribution & USD A1 Distribution share class payment frequencies and amounts change from monthly fixed at 4% to annual variable | 01/01/2013 |
Emerging Markets Debt Absolute Return | EUR Hedged A Distribution, SGD Hedged A Distribution, USD A Distribution & USD B Distribution share class payment amounts from quarterly fixed at 7% to quarterly fixed at 5% and AUD Hedged A1 Distribution, EUR Hedged A1 Distribution, EUR B1 Distribution, USD A1 Distribution & USD B1 Distribution share class payment amounts change from monthly fixed at 7% to monthly fixed at 5% | 01/01/2013 |
Global Managed Currency | EUR A Distribution, USD A Distribution & USD A1 Distribution share class payment frequencies and amounts change from quarterly fixed at 3% to annual variable | 01/01/2013 |
Strategic Bond | EUR Hedged A Distribution, EUR A1 Distribution & EUR B Distribution share class payment frequencies and amounts change from semi-annual variable to quarterly fixed at 3% and USD A Distribution share class payment amount change from monthly fixed at 4% to monthly fixed at 3% | 01/01/2013 |
Global Equity Yield | A1 USD Distribution share class payment frequency change from quarterly fixed at 4% to monthly fixed at 4% | 01/01/2013 |
All Funds | Change in distribution policy for all classes paying a variable distribution. Income will now be distributed before the deduction of fund expenses. Previously income was distributed after the deduction of expenses. |
|
For further information on these funds please visit the Fund Centre.
Hedged share classes for all funds - introduction of currency hedging fee for all hedged share classes. Information regarding the charge for holders of I, IA, IZ, P and X hedged share classes can be found here: http://www.schroders.com/getfunddocument?oid=1.9.2939396. Information regarding the charge for holders of A, A1, AX, B, C, CN, D, E, R, S and Z hedged share classes can be found here: http://ice.london.schroders.com/FundRange/Schroder%20ISF/SISF-Currency-Hedging-retail-LUEN.pdf.
Source: Schroders as at 30/03/2018
2012
Schroder ISF | Action | Effective Date |
---|---|---|
European Allocation | Merger of European Allocation into European Total Return | 07/12/2012 |
European Defensive | Merger of European Defensive into Global Multi-Asset Income | 07/12/2012 |
US All Cap | Merger of US All Cap into US Equity Alpha | 07/12/2012 |
Asian Equity Yield | C share change in distribution policy from quarterly variable to monthly fixed at 4% | 01/10/2012 |
EURO Credit Duration Hedged | Fund closed | 19/09/2012 |
EURO Government Liquidity | Fund closed | 19/09/2012 |
Asian Smaller Companies | Removal of performance fee and change of benchmark from MSCI AC Far East ex Japan index to the MSCI AC Asia ex Japan Small Cap index | 03/09/2012 |
Global Managed Currency | Clarification of investment objective to include the aim of providing income | 03/09/2012 |
QEP Global Dynamic Blend | Name change to QEP Global Blend | 03/09/2012 |
Middle East | Change of benchmark - 20% of the benchmark changed from S&P Saudi Arabia Large / Mid Cap to MSCI Saudi Arabia Domestic | 01/09/2012 |
EURO Active Value | Merger of EURO Active Value into SISF European Large Cap | 25/07/2012 |
All Funds | Merger of Schroder Strategic Solutions SICAV into Schroder ISF SICAV | 02/07/2012 |
All Funds | Introduction of Key Investor Information Documents (KIIDs) and Supplementary Information Documents replacing Simplified Prospectuses and Fund Information pages. | 14/05/2012 |
Asian Bond JPY | Change in fixed distribution amount (from JPY60/unit to JPY48/unit) and USD (from USD0.60/unit to USD0.48/unit) | 31/01/2012 |
Asian Bond Absolute Return | Investment objective/policy change to include flexibility to implement active currency positions and move to VaR | 02/04/2012 |
Asian Local Currency Bond | Investment objective/policy change to include flexibility to implement active currency positions and move to VaR | 02/04/2012 |
Converging Europe Bond JPY | Change in fixed distribution (from JPY48/unit to JPY36/unit) and EUR (from EUR0.48/unit to EUR0.36/unit) | 31/01/2012 |
EURO Bond | Investment objective/policy change to include flexibility to implement active currency positions | 02/04/2012 |
EURO Credit Duration Hedged | Clarification of investment objective to add in active currency wording | 02/04/2012 |
EURO Government Bond | Investment objective/policy change to include flexibility to implement active currency positions and management fee reduction from A, A1 and B from 0.50% to 0.40% | 02/04/2012 |
EURO Short Term Bond | Investment objective/policy change to include flexibility to implement active currency positions | 02/04/2012 |
Global Credit Duration Hedged | Investment objective/policy change to include flexibility to implement active currency positions | 02/04/2012 |
Global Corporate Bond | Investment objective/policy change to include flexibility to implement active currency positions | 02/04/2012 |
Global Emerging Market Opportunities | Change of investment objective to clarify the investment objective, to allow investment in fixed income securities worldwide and liquidities for defensive purposes and to remove any references to financial indices | 02/04/2012 |
Global High Income Bond | Investment objective/policy change to include flexibility to implement active currency positions | 02/04/2012 |
Global Inflation Linked Bond | Investment objective/policy change to include flexibility to implement active currency positions | 02/04/2012 |
Japanese Large Cap | Name change to Japanese Opportunities, investment objective change and AMC increase (A - 1.50%, C - 1%) | 02/04/2012 |
Pacific Equity | Name change to Asian Opportunities | 02/04/2012 |
For further information on these funds please visit the Fund Centre.
Hedged share classes for all funds - introduction of currency hedging fee for all hedged share classes. Information regarding the charge for holders of I, IA, IZ, P and X hedged share classes can be found here: http://www.schroders.com/getfunddocument?oid=1.9.2939396. Information regarding the charge for holders of A, A1, AX, B, C, CN, D, E, R, S and Z hedged share classes can be found here: http://ice.london.schroders.com/FundRange/Schroder%20ISF/SISF-Currency-Hedging-retail-LUEN.pdf.
Source: Schroders as at 30/03/2018
2011
Schroder ISF | Action | Effective Date |
---|---|---|
Asia Pacific Property Securities | Clarification of investment objective to reflect more accurately the types of investments the fund may make. The fund no longer has the ability to invest in debt securities | 01/10/2011 |
Global Property Securities | Clarification of investment objective to reflect more accurately the types of investments the fund may make. The fund no longer has the ability to invest in debt securities | 01/10/2011 |
Asian Total Return | Clarification of investment objective is to reflect more accurately the name of the fund within the objective i.e. capital growth & income | 01/10/2011 |
Strategic Bond | Clarification of investment objective to provide investors with additional information regarding the types of investment the fund may make i.e. ABS/MBS | 01/10/2011 |
US Dollar Bond | Clarification of investment objective to provide investors with additional information regarding the types of investment the fund may make i.e. ABS/MBS | 01/10/2011 |
Global Bond | Clarification of investment objective to provide investors with additional information regarding the types of investment the fund may make i.e. ABS/MBS | 01/10/2011 |
Asian Local Currency Bond | Benchmark changed from HSBC Asian Local Bond Index ex-China, ex-India to HSBC Asian Local Bond Index Overall | 01/09/2011 |
Asian Total Return | Fee change for C share class from 0.75% to 1.00% | 01/04/2011 |
EURO Bond | Change in distribution policy from annual variable to semi-annual variable | 30/06/2011 |
EURO Dynamic Growth | Merged into EURO Equity | 12/05/2011 |
Global Bond | Investment clarification to include the flexibility to implement active currency positions | 01/04/2011 |
Global Demographics & Wealth Dynamics | Fund name changed to Global Demographic Opportunities | 01/02/2011 |
Global Dividend Maximiser | Benchmark changed from MSCI All Countries World TR Net to MSCI World TR Net | 01/01/2011 |
Global Equity Income | Benchmark changed from MSCI All Countries World TR Net to MSCI World TR Net | 01/01/2011 |
Global Equity Yield | Benchmark changed from MSCI All Countries World TR Net to MSCI World TR Net | 01/01/2011 |
Global Tactical Asset Allocation | Change in dealing terms from T-2 dealing and T+5 redemption settlement to T-1 dealing and T+3 redemption settlement | 23/02/2011 |
QEP US Core | Merged into QEP Global Core | 12/05/2011 |
Strategic Bond | Investment clarification to include the flexibility to implement active currency positions | 01/04/2011 |
US Dollar Liquidity | Fee reduction as follows:
| 01/01/2011 |
For further information on these funds please visit the Fund Centre.
Hedged share classes for all funds - introduction of currency hedging fee for all hedged share classes. Information regarding the charge for holders of I, IA, IZ, P and X hedged share classes can be found here: http://www.schroders.com/getfunddocument?oid=1.9.2939396. Information regarding the charge for holders of A, A1, AX, B, C, CN, D, E, R, S and Z hedged share classes can be found here: http://ice.london.schroders.com/FundRange/Schroder%20ISF/SISF-Currency-Hedging-retail-LUEN.pdf.
Source: Schroders as at 30/03/2018
2010
Schroder ISF | Action | Effective Date |
---|---|---|
Asian Bond | 1. Fund name changed to Asian Bond Absolute Return
| 01/08/2010 |
Asian Equity Yield | Change in distribution for the following share classes: Asian Equity Yield USD A Distribution & A1 Distribution - changed to 4% pa fixed | 30/09/2010 |
Emerging Markets Debt Absolute Return | Change in distribution to fixed for Emerging Markets Debt Absolute Return USD B Distribution to 7% pa paid quarterly | 31/12/2010 |
EURO Corporate Bond | Change in distribution to fixed for EURO Corporate Bond EUR A Distribution, A1 Distribution and B Distribution to 3% pa fixed semi-annually | 31/12/2010 |
Euro Equity Secure 2010 | Fund closed | 12/11/2010 |
European Defensive Monthly | Fund merged into European Defensive | 30/06/2010 |
European Defensive 6 Monthly | Fund merged into European Defensive | 30/06/2010 |
Global Corporate Bond | Change in distribution for the following share classes: Global Corporate Bond EUR A Distribution - changed to 3% pa fixed quarterly | 30/09/2010 |
Global Tactical Asset Allocation | Hard closed at launch excluding I share class (issued 07/06/2010) | 17/02/2010 |
Global Tactical Asset Allocation | Change in dealing settlement | 07/06/2010 |
Middle East | Benchmark changed from MSCI Arab Markets and Turkey with Saudi Arabia capped at 20% to customised MSCI / S&P Middle East Index (MSCI Arabian Markets + MSCI Turkey + S&P Saudi Arabia Large/Mid Cap (fixed at 20%)) | 01/10/2010 |
USD Bond | Change in distribution for the following share classes: USD Bond USD A Distribution - changed to 3% pa fixed quarterly | 30/09/2010 |
World Defensive 3 Monthly | Fund merged into European Defensive | 30/06/2010 |
For further information on these funds please visit the Fund Centre.
Hedged share classes for all funds - introduction of currency hedging fee for all hedged share classes. Information regarding the charge for holders of I, IA, IZ, P and X hedged share classes can be found here: http://www.schroders.com/getfunddocument?oid=1.9.2939396. Information regarding the charge for holders of A, A1, AX, B, C, CN, D, E, R, S and Z hedged share classes can be found here: http://ice.london.schroders.com/FundRange/Schroder%20ISF/SISF-Currency-Hedging-retail-LUEN.pdf.
Source: Schroders as at 30/03/2018
2009
Schroder ISF | Action | Effective Date |
---|---|---|
All funds | Introduction of swing pricing | 12/01/2009 |
Asian Equity Alpha | Fund closed | 26/05/2009 |
Asian Local Currency Bond | Benchmark change from iBoxx Asia Custom Index to HSBC Asian Local Bond Index ex-China, ex India | 01/12/2009 |
Asian Total Return | 1. Performance fee removed
| 01/07/2009 |
EURO Government Liquidity | Distribution charge reduced for A1 share class from 0.50% to 0.10% | 01/10/2009 |
EURO Liquidity | Distribution charge reduced for A1 share class from 0.50% to 0.10% | 01/10/2009 |
European Absolute Return | 1. Fund name changed to European Allocation
| 01/06/2009 |
European Active Value | Merged into EURO Active Value | 29/09/2009 |
European Bond | Benchmark changed from Lehman EURO Aggregate to Barclays Capital EURO Aggregate | 01/01/2009 |
European Bond | 1. Fund name changed to EURO Government Bond
| 01/06/2009 |
European Dynamic Growth | Merged into European Special Situations | 01/12/2009 |
European Equity | Merged into European Large Cap | 23/01/2009 |
European Equity Opportunities | Fund closed | 10/06/2009 |
Global Emerging Markets Commodities | Fund closed | 29/09/2009 |
Global Government Bond | Annual Management Charge reduced from 0.5% to 0.4% (A, A1, AX, B. B1 and D) | 02/02/2009 |
Global Government Bond | 1. Fund name changed to EUR Government Liquidity
| 01/03/2009 |
Strategic Credit | Benchmark changed from Merrill Lynch Euro Corporate to 3 Month Euribor | 01/07/2009 |
Strategic Credit | 1. Fund name changed to Global Credit Duration Hedged
| 01/10/2009 |
USD Liquidity | Distribution charge reduced for A1 share class from 0.50% to 0.10% | 01/10/2009 |
US Large Cap Alpha | 1. Fund name changed to US All Cap
| 01/10/2009 |
For further information on these funds please visit the Fund Centre.
Hedged share classes for all funds - introduction of currency hedging fee for all hedged share classes. Information regarding the charge for holders of I, IA, IZ, P and X hedged share classes can be found here: http://www.schroders.com/getfunddocument?oid=1.9.2939396. Information regarding the charge for holders of A, A1, AX, B, C, CN, D, E, R, S and Z hedged share classes can be found here: http://ice.london.schroders.com/FundRange/Schroder%20ISF/SISF-Currency-Hedging-retail-LUEN.pdf.
Source: Schroders as at 30/03/2018
2008
Schroder ISF | Action | Effective Date |
---|---|---|
Absolute Return Bond | Merged into Strategic Bond | 18/12/2008 |
Absolute Return Bond R1 | Fund closed | 30/09/2008 |
Asian Absolute Return | 1. Fund name change to Asian Total Return
| 01/06/2008 |
Converging Europe Bond | 1. Fund name changed to Emerging Europe Debt Absolute Return
| 01/06/2008 |
Emerging Asia | Benchmark changed from MSCI All Countries Asia ex Japan with China capped at 10% to MSCI Emerging Markets Asia USD | 01/09/2008 |
Emerging Markets Debt | 1. Fund name changed to Emerging Markets Debt Absolute Return
| 01/06/2008 |
EURO Corporate Bond | Annual Management Charge reduced for A, A1, B, B1 shares from 1.00% to 0.75% and C shares from 0.60% to 0.45% | 01/05/2008 |
EURO Equity Alpha | Fund closed | 18/07/2008 |
Global Corporate Bond | Annual Management Charge reduced for A, A1, B, B1 shares from 1.00% to 0.75% and C shares from 0.60% to 0.45% | 01/05/2008 |
Global Energy | Benchmark changed from MSCI All Countries World Energy (Gross) to MSCI World Energy Sector Net Total Return USD | 01/01/2008 |
Global Equity Sigma | 1. Fund name changed to QEP Global Core
| 26/09/2008 |
Global Quality Growth Equity | Fund name changed to QEP Global Quality | 01/06/2008 |
Global Quantitative Active Value | Fund name changed to QEP Global Active Value | 01/06/2008 |
Global Technology | Merged into Global Equity Alpha | 26/09/2008 |
Hong Kong Dollar Bond | Benchmark changed from HKD HIBOR 3 Months to HSBC Hong Kong Dollar Bond | 01/01/2008 |
Japanese Equity Select | Fund closed | 06/06/2008 |
Latin American | Benchmark changed from MSCI Emerging Markets Latin America Net Total Return to MSCI Emerging Markets Latin America 10/40 Net Dividend Reinvested | 01/01/2008 |
North American Equity Sigma | 1. Fund name changed to QEP US Core
| 26/09/2008 |
For further information on these funds please visit the Fund Centre.
Hedged share classes for all funds - introduction of currency hedging fee for all hedged share classes. Information regarding the charge for holders of I, IA, IZ, P and X hedged share classes can be found here: http://www.schroders.com/getfunddocument?oid=1.9.2939396. Information regarding the charge for holders of A, A1, AX, B, C, CN, D, E, R, S and Z hedged share classes can be found here: http://ice.london.schroders.com/FundRange/Schroder%20ISF/SISF-Currency-Hedging-retail-LUEN.pdf.
Source: Schroders as at 30/03/2018