Mirae Asset Global Discovery Fund as an umbrella account under UCITS regulations has within its different sub-funds (the ‘Funds’) investing mainly in equities and collateral related securities, each with a different risk profile. Some Funds may spend money on emerging markets that need to be regarded as having a higher degree of liquidity and volatility than buying developed countries. Investors may suffer loss of the entire amount invested.
Some Funds may invest in single markets or specific industries at the mercy of higher focus risk and liquidity risk than other funds with a varied portfolio of investments. The expected maximum degree of leverage due to cash borrowing is 10% of the sub-fund’s net asset value (‘NAV’). Collateral preparations with respect to the writing of options or the purchase or sale of ahead or futures agreements are not considered to constitute “borrowings” for the purpose of this limitation. The expected maximum level of leverage due to the use of financial derivative devices computed using the dedication approach is 100% of the sub-fund’s NAV.
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The actual level of leverage may be higher than such expected level in exceptional circumstances, for example, when there are sudden actions in market and/or investment prices. Investment consists of risks. Investors should not only base on this website alone to make investment decisions. Before making any investment decision, prospective investor should read the Funds’ offering documents carefully for even more details, like the product features and risk factors, and should consider seeking independent professional advice. Mirae Asset Discovery Fund as an umbrella finance domiciled in Hong Kong has within its different sub-funds (the ‘Funds’) investing mainly in equities and equity-related securities, each with a different risk profile.
Some Funds may spend money on emerging markets that should be regarded as having a higher level of liquidity and volatility than buying developed countries. Investors may suffer a lack of the entire amount spent. Some Funds may spend money on single marketplaces or specific areas at the mercy of higher focus risk and liquidity risk than other money with a varied portfolio of investments. Investment involves risks. Investors shouldn’t only bottom on this website by itself to make investment decisions.
Before making any investment decision, prospective investor should browse the Funds’ offering documents carefully for even more details, like the product features and risk factors, and really should consider seeking independent expert advice. Mirae Asset Horizons Leveraged and Inverse Series are an umbrella fund with a series of different sub-funds monitoring the inverse or 2 times the performance with an index on a regular basis. Mirae Asset Horizons Leveraged and Inverse Series is different from typical exchange traded money as it seeks leveraged or inverse investment results in accordance with the Index in support of on a Daily basis.
This product is not intended for holding longer than one day as the performance of the product over a longer period may deviate from and become uncorrelated to the leveraged performance of the Index over the time. Certain Funds are subject to concentration risk consequently of monitoring the performance of a single country, single geographical region (Asia) or one sector. Certain Funds spend money on Asian emerging marketplaces and are therefore subject to greater risk of loss compared with investments in developed markets due to better political, economic, taxation, and regulatory uncertainty and dangers associated with volatility and market liquidity.
An investment in the devices of the Funds may straight or indirectly involve exchange rate risk. The systems of the Funds may operate at a considerable discount or superior with their world-wide web asset value. Due to fees and expenses of the Funds, liquidity of the marketplace, for costs, and changes to the regulatory policies, the earnings of the Funds might deviate from that of their respective underlying indices. Investment involves risks. Investors may lose part or all of their investment.
Investors should not base on this site alone to make investment decisions. Prior to making any investment decision, prospective investor should browse the Funds’ offering documents carefully for even more details, like the product features and risk factors, and should consider seeking self-employed professional advice. THIS WEBSITE is intended for Hong Kong investors ONLY. This site is not aimed to any person in virtually any jurisdiction where (by reason of this person’s nationality, residence, or otherwise) the publication or availability of this site is prohibited. Persons according of whom such prohibitions apply or people apart from those given above should never access this site.
It is your responsibility to understand and to observe all applicable laws and regulations of any relevant jurisdiction. By proceeding, you are representing and warranting that the applicable laws and regulations of your jurisdiction enable you to access the info. The information or this site has been provided exclusively for information purposes and should not be construed as a solicitation of the offer of securities or related financial devices in virtually any jurisdiction and is strictly for your information only.
The information is dependent on certain assumptions, information, and conditions relevant at a certain time and may be subject to change at any right time without notice. No assurance can get that the investment objective of any investment products will be performed. Any past performance, projection, or forecast stated is not indicative of future performance necessarily. No representation or promise as to the performance of any investment products or the return with an investment is manufactured.