Terms of Use

This Website is not intended for and should not be accessed by persons located or resident in any jurisdiction where by reason of that person’s nationality, domicile, residence or otherwise the publication or availability of this website is prohibited or contrary to local laws and regulations, or would subject the Fund or any of its delegates to any registration or licensing requirements in such jurisdictions. Persons under these restrictions should not access this Website.

Nothing contained on this Website constitutes any tax, accounting, legal or investment advice. The information and opinion contained on this Website do not constitute promotion, recommendation, solicitation or offer to buy or sell any securities, collective investment schemes or other financial instruments or services, and no such securities, collective investment schemes or financial instruments or services are being offered to any person in any jurisdiction in which such offer, solicitation, purchase or sale would be unlawful under the laws of that jurisdiction. Decisions based on information contained on this Website are the sole responsibility of the visitor.

The investments and strategies discussed in this Website may not be suitable for all investors. No representation is being made that the contents are appropriate for use in all locations, or that products discussed in this website are available or appropriate for use in all jurisdictions, or by all investors or counterparties. Visitors accessing this Website do so on their own initiative and are responsible for compliance with applicable local laws and regulations.

Investment involves risk and may lose value. If you are considering making an investment, you are advised to obtain your own independent professional advice and to carefully consider all relevant risk factors. The price of units or shares and the income from them in relation to any investment may go down as well as up, and any past performance is not indicative of future performance.

When making an investment in funds which are listed on one or more stock exchanges, the price of the shares or units will be determined by supply and demand. It is not necessarily the same as the value per share or unit of the fund’s assets. At any time the share or unit price may be at a discount or premium to the asset value. However, because of the exchange-traded fund structure, it is expected that a significant discount or premium of price to asset value will not be sustainable over the long term. Any projections or examples (including calculations used therein) are for illustrative purposes only and are not guaranteed to be accurate or complete. You should note that shares or units may only be redeemed directly from the funds by persons or entities registered as participating dealers in very large redemption sizes. Listing of the shares or units of the funds does not guarantee a liquid market for them.

The information on this Website is provided for information purposes only and is subject to change without notice.

Issuer: ICBC Credit Suisse UCITS ETF SICAV


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