Shareholder Information

Carmignac Profil Réactif 75 and Carmignac Profil Réactif 100 Information for Investors

17.02.2020

ISIN:

CARMIGNAC PROFIL REACTIF 75: FR0010148999;

CARMIGNAC PROFIL REACTIF 100: FR0010149211.

Paris, 17 February 2020


The prospectuses of the CARMIGNAC PROFIL REACTIF 75 and CARMIGNAC PROFIL REACTIF 100 funds will be updated on 19 February 2020, but this did not result in material changes.

Following a reorganisation within the Carmignac Group, the CARMIGNAC PROFIL REACTIF 75 and CARMIGNAC PROFIL REACTIF 100 prospectuses have been amended to reflect the fact that financial management is no longer delegated to Carmignac Gestion Luxembourg. From now on, Carmignac Gestion will carry out all financial management duties from Paris.

No action is required on your part as a result of this change. It has no effect on your investment fund’s risk/return profile and does not give rise to any additional fees.

The Autorité des Marchés Financiers (AMF) was informed of this update.

For further information, please read the fund prospectus bearing the above date or contact your usual adviser. It may take up to one month to register the new prospectus in each of the countries in which our funds are distributed.

The KIID, prospectuses (including the management regulations) and latest annual and semi-annual reports are available in French, English, German, Italian, Spanish and Dutch at www.carmignac.com and also :

In Switzerland, with the representative CACEIS (Switzerland) SA, Route de Signy, 35, CH-1260 Nyon.

The Swiss Paying Agent is CACEIS Bank Luxembourg, succursale de Nyon / Suisse, Route de Signy 35, CH-1260 Nyon.

CARMIGNAC GESTION