Financial Intermediaries
On this website, Financial Intermediaries are investors that qualify as both a Professional Client and a Qualified Investor.
A person who can both be classified as a professional client under the Markets in Financial Instruments Directive II (2014/65/EU, “MiFID”), as implemented in Finland, and a qualified investor under the Prospectus Regulation (EU) 2017/1129) will generally need to meet one or more of the following requirements:
(1) it is required to be authorised or regulated to operate in the financial markets. The following list includes all authorised entities carrying out the characteristic activities of the entities mentioned, whether authorised by an EEA State or a third country and whether or not authorised by reference to a directive:
(a) a credit institution;
(b) an investment firm;
(c) a stock exchange;
(d) an insurance company;
(e) a collective investment scheme or the management company of such a scheme;
(f) a pension insurance company, a pension foundation or a pension fund;
(g) a central securities depository or central counterparty;
(h) a commodity or commodity derivatives dealer;
(i) a local;
(j) any other institutional investor;
(2) it is a large undertaking that meets two of the following tests: (i) a balance sheet total of EUR 20,000,000; (ii) an annual net turnover of EUR 40,000,000; or (iii) own funds of EUR 2,000,000;
(3) it is a national or regional government, a public body that manages public debt, a central bank, an international or supranational institution (such as the World Bank, the IMF, the ECB, the EIB) or another similar international organization;
(4) a institutional investor whose main activity is to invest in financial instruments, including an entity dedicated to the securitisation of assets or other financing transactions;
(5) a natural person resident in an EEA State that permits the authorisation of natural persons as professional clients and qualified investors, who expressly asks to be treated as a professional client and a qualified investor and who meets at least two of the following criteria: (i) he/she has carried out transactions, in significant size, on securities markets at an average frequency of, at least, 10 per quarter over the previous four quarters before the application, (ii) the size of his/her financial instrument portfolio, defined as including cash deposits and financial instruments exceeds EUR 500,000, (iii) he/she works or has worked for at least one year in the financial sector in a professional position which requires knowledge of securities investment.
Please note that the above summary is provided for information purposes only. If you are uncertain as to whether you can both be classified as a professional client under MiFID and classed as a qualified investor under the Prospectus Regulation then you should seek independent advice.
Terms and conditions
Please read this page before proceeding, as it explains certain restrictions imposed by law on the distribution of this information and the countries in which our funds are authorised for sale. It is your responsibility to be aware of and to observe all applicable laws and regulations of any relevant jurisdiction.
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By confirming that you have read this important information, you also:
(i) Agree that such information will apply to any subsequent access to the Individual Investors (or Institutions / Intermediaries) section of this website by you, and that all such subsequent access will be subject to the disclaimers, risk warnings and other information set out herein; and
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The offshore funds described in the following pages are administered and managed by companies within the BlackRock Group and can be marketed in certain jurisdictions only. It is your responsibility to be aware of the applicable laws and regulations of your country of residence. Further information is available in the Prospectus or other constitutional document for each fund.
This does not constitute an offer or solicitation to sell shares in any of the funds referred to on this site, by anyone in any jurisdiction in which such offer, solicitation or distribution would be unlawful or in which the person making such offer or solicitation is not qualified to do so or to anyone to whom it is unlawful to make such offer or solicitation.
Specifically, the funds described are not available for distribution to or investment by US investors. The units/shares will not be registered under the US Securities Act of 1933, as amended (the "Securities Act") and, except in a transaction which does not violate the Securities Act or any other applicable US securities laws (including without limitation any applicable law of any of the States of the USA) may not be directly or indirectly offered or sold in the USA or any of its territories or possessions or areas subject to its jurisdiction or to or for the benefit of a US Person.
The funds described have not been, nor will they be, qualified for distribution to the public in Canada as no prospectus for these funds has been filed with any securities commission or regulatory authority in Canada or any province or territory thereof. This website is not, and under no circumstances is to be construed, as an advertisement or any other step in furtherance of a public offering of shares in Canada. No person resident in Canada for the purposes of the Income Tax Act (Canada) may purchase or accept a transfer of shares in the funds described unless he or she is eligible to do so under applicable Canadian or provincial laws.
Applications to invest in any fund referred to on this site, must only be made on the basis of the offer document relating to the specific investment (e.g. prospectus, simplified prospectus, key investor information document or other applicable terms and conditions).
As a result of money laundering regulations, additional documentation for identification purposes may be required when you make your investment. Details are contained in the relevant Prospectus or other constitutional document.
If you are unsure about the meaning of any information provided please consult your financial or other professional adviser.
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The information contained on this site is published in good faith but no representation or warranty, express or implied, is made by BlackRock (Netherlands) B.V. (“BNBV”) or by any person as to its accuracy or completeness and it should not be relied on as such. BNBV shall have no liability for any loss or damage arising out of the use or reliance on the information provided including without limitation, any loss of profit or any other damage, direct or consequential. No information on this site constitutes investment, tax, legal or any other advice.
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Risk Warnings
Capital at risk. The value of investments and the income from them can fall as well as rise and are not guaranteed. Investors may not get back the amount originally invested.
Past performance is not a reliable indicator of current or future results and should not be the sole factor of consideration when selecting a product or strategy.
Changes in the rates of exchange between currencies may cause the value of investments to diminish or increase. Fluctuation may be particularly marked in the case of a higher volatility fund and the value of an investment may fall suddenly and substantially. Levels and basis of taxation may change from time to time.
BlackRock has not considered the suitability of this investment against your individual needs and risk tolerance. The data displayed provides summary information. Investment should be made on the basis of the relevant Prospectus which is available from the manager.
For your protection, telephone calls and/or other electronic communications which result in, or are intended to result in, transactions will be recorded or saved.
Investors should read the offering documents for further details including the risk factors before making an investment.
Please note that while some of the BlackRock funds are "ring-fenced", others form part of a single company and are not. For BlackRock funds that do not have segregated liability status, in the event of a single BlackRock fund being unable to meet liabilities attributable to that BlackRock fund out of the assets attributable to it, the excess may be met out of the assets attributable to the other BlackRock funds within the same company. We refer you to the Prospectus or other relevant terms and conditions of each BlackRock fund for further information in this regard.
The views expressed herein do not necessarily reflect the views of BlackRock as a whole or any part thereof, nor do they constitute investment or any other advice.
Any research found on these pages has been procured and may have been acted on by BlackRock for its own purposes.
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TÄRKEÄÄ TIETOA: Pääomariski. Sijoitusten arvo ja niistä saatava tuotto voivat sekä laskea että nousta, eikä sitä voida taata. Sijoittajat eivät välttämättä saa takaisin alun perin sijoittamaasi summaa.
Korkotason muutoksilla, luottoriskillä ja/tai liikkeeseenlaskijan maksuhäiriöillä on merkittävä vaikutus korkopaperien tuotto- ja arvonkehitykseen. Sijoituskelpoista huonommaksi luokitellut korkopaperit voivat olla herkempiä näille riskeille kuin korkeamman luottoluokituksen korkopaperit. Luottoluokituksen mahdollinen tai toteutunut aleneminen voi nostaa riskitasoa. Kehittyvät markkinat reagoivat yleensä herkemmin taloudellisiin ja poliittisiin olosuhteisiin kuin kehittyneet markkinat. Muita tekijöitä ovat suurempi likviditeettiriski, sijoituksia tai varainsiirtoa koskevat rajoitukset, rahaston odottamien arvopaperitoimitusten tai maksujen myöhästyminen/laiminlyönti sekä ympäristöystävällisyyteen liittyvät riskit. Johdannaiset voivat olla erittäin herkkiä kohde-etuuden arvon muutoksille ja voivat voimistaa tappioita ja voittoja ja altistaa siten rahaston suurille arvon vaihteluille. Vaikutus rahastoon voi olla suurempi, jos johdannaisten käyttö on laajaa tai monimutkaista. Rahasto pyrkii sulkemaan pois yrityksiä, jotka harjoittavat tiettyjä ESG-kriteerien vastaisia toimia. Sijoittajan tulee siis itse arvioida eettiseltä kannalta rahaston ESG-seulonta ennen rahastoon sijoittamista. Tällainen ESG-seulonta voi vaikuttaa haitallisesti rahaston sijoituksiin verrattuna rahastoon, jossa sellaista ei harjoiteta.Kaikki tämän rahaston valuuttasuojatut osuuslajit käyttävät johdannaisia valuuttariskiltä suojautumiseen. Johdannaisten käyttö jossakin osuuslajissa voi mahdollisesti aiheuttaa leviämisriskin (heijastusvaikutuksen) rahaston muihin osuuslajeihin. Rahaston hallinnointiyhtiö varmistaa, että käytössä on asianmukaiset menettelyt, joilla leviämisriski toisiin osuuslajeihin minimoidaan. Voit katsoa kaikki rahaston osuuslajit rahaston nimen alla olevasta avattavasta luetteloruudusta. Valuuttasuojatut osuuslajit tunnistaa osuuslajin nimessä olevasta sanasta ”Hedged”. Lisäksi rahaston hallinnointiyhtiö toimittaa pyydettäessä kattavan listan kaikista valuuttasuojatuista osuuslajeista.
Mikäli Rahasto harjoittaa arvopaperilainausta kustannusten pienentämiseksi, Rahasto saa siitä perittävistä kuluista 62,5 % ja BlackRock arvopapereiden lainaajana loput 37,5 %. Koska arvopaperilainauksesta syntyvien tulojen jakaminen ei nosta Rahaston toimintakustannuksia, tätä osuutta ei ole laskettu mukaan juokseviin kuluihin.
Täsmäytyspäivä | Viim. päivä | Maksupäivämäärä |
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Tässä kaaviossa näkyy rahaston tuotto prosentteina 7 viime vuosien aikana. Se voi auttaa sinua arvioimaan, kuinka rahastoa on hoidettu aiemmin, ja vertaamaan sitä vertailuindeksiinsä.
Mainitut luvut kertovat aiemmasta kehityksestä. Aiempi kehitys ei ennakoi luotettavasti tulevaa kehitystä, eikä sitä tule pitää ainoana huomioitavana tekijänä tuotetta tai strategiaa valittaessa.
Osuuslajin ja vertailuindeksin kehitys on esitetty GBP:nä, hedgerahaston vertailuindeksin kehitys on esitetty EUR:nä.
Kehitys on esitetty substanssiarvon pohjalta, kun bruttotulot on sijoitettu uudelleen soveltuvin osin. Sijoituksesi tuotto voi kasvaa tai heikentyä valuuttakurssien vaihtelun vuoksi, jos sijoitukseen käytetään eri valuuttaa kuin aiemman kehityksen laskentaan. Lähde: Blackrock
ESG-integrointi on käytäntö, jossa ympäristöä, yhteiskuntaa ja hallintoa (ESG) koskevat merkittävät tiedot tai näkemykset sekä perinteiset toimet sisällytetään sijoituspäätösprosessiin sijoitussalkkujen pitkäaikaisten taloudellisten tulosten parantamiseksi. Ellei rahaston asiakirjoissa muuta mainita ja ellei tämä maininta sisälly rahaston sijoitustavoitteeseen, tämä maininta ei tarkoita, että rahastolla on ESG-periaatteiden mukainen sijoitustavoite, vaan se pikemminkin kuvaa, miten ESG-tiedot huomioidaan osana kokonaissijoitusprosessia.
Rahastonhoitaja huomioi ESG-näkökohdat sijoitusprosessin sijoitustutkimus-, salkunrakennus- ja sijoitusten seurantavaiheissa. Rahastonhoitaja ylläpitää sisäisiä ESG-tuloskortteja uusille ensisijaisille liikkeeseenlaskijoille, joihin sijoittamista harkitaan, ja nykyisille pörssinoteerattujen arvopapereiden liikkeeseenlaskijoille. Näillä tuloskorteilla analysoidaan ja seurataan sisäisiä ja ulkoisia tutkimusnäkymiä erilaisten ympäristö-, yhteiskunta- ja hallintotekijöiden pohjalta, jotka on hankittu ensisijaisista ja kolmansien osapuolten ESG-tiedoista ja tutkimuksista. Salkunhoitotiimit huomioivat sektorin ja liikkeeseenlaskijan ESG-näkymät ja -pisteet valitessaan yksittäisiä sijoituksia salkun rakentamisen aikana. ESG-tekijöistä keskustellaan ja niitä harkitaan sijoituspäätöksiä tehtäessä. Rahastonhoitaja huomioi ESG-kriteerit myös sijoitusten jälkeen tapahtuvassa seurannassa ja suorittaa säännöllisin väliajoin salkun riskiarviointeja sijoitustiimin ja riski- ja kvantitatiiviseen analysointiin erikoistuneen ryhmän kanssa. Näiden arviointien yhteydessä keskustellaan salkun altistuksesta merkittäville ESG-riskeille.
Tässä jaksossa annetaan kestävyyteen liittyviä tietoja rahastosta SFDR-asetuksen 10 artiklan mukaisesti.
Nimi | Painotus (%) |
---|---|
RCI BANQUE SA RegS 2.625 02/18/2030 | 1,71 |
COMMERZBANK AG RegS 6.125 12/31/2049 | 1,31 |
DEUTSCHE BANK AG MTN RegS 4 06/24/2032 | 1,30 |
BELLIS ACQUISITION COMPANY PLC RegS 3.25 02/16/2026 | 1,17 |
GOLDSTORY SAS RegS 5.375 03/01/2026 | 1,04 |
Nimi | Painotus (%) |
---|---|
INTESA SANPAOLO SPA PNC7.5 RegS 5.5 12/31/2049 | 1,03 |
BANCO BILBAO VIZCAYA ARGENTARIA SA RegS 6 12/31/2049 | 1,03 |
CELLNEX TELECOM SA RegS 0.75 11/20/2031 | 1,03 |
BAYER AG NC5.5 RegS 4.5 03/25/2082 | 1,01 |
UNITED GROUP BV RegS 4.875 07/01/2024 | 1,00 |
% markkina-arvosta
% markkina-arvosta
% markkina-arvosta
% markkina-arvosta
Sijoittajalaji | Valuutta | Osingonjaon ajankohta | NAV | NAV-määrän muutos | NAV % muutos | NAV alkaen | 52 vk korkea | 52 vk matala | ISIN | TIS |
---|---|---|---|---|---|---|---|---|---|---|
Class D4 Hedged | GBP | Vuotuinen | 9,64 | 0,01 | 0,10 | 27.01.2023 | 10,82 | 8,71 | LU1258858023 | - |
Class D2 | EUR | Ei ole | 12,09 | 0,02 | 0,17 | 27.01.2023 | 13,18 | 10,97 | LU1191877965 | - |
Class Z2 | USD | - | 9,40 | 0,02 | 0,21 | 27.01.2023 | 9,95 | 8,43 | LU2414815147 | - |
Class D4 | EUR | Vuotuinen | 9,18 | 0,01 | 0,11 | 27.01.2023 | 10,43 | 8,33 | LU1258857561 | - |
Class A2 Hedged | SEK | Ei ole | 115,16 | 0,20 | 0,17 | 27.01.2023 | 126,16 | 104,48 | LU1258857645 | - |
Class Z2 | EUR | - | 9,93 | 0,02 | 0,20 | 27.01.2023 | 10,78 | 9,00 | LU2099034311 | - |
Class A2 Hedged | CHF | Ei ole | 11,24 | 0,02 | 0,18 | 27.01.2023 | 12,35 | 10,25 | LU1258857728 | - |
Class A2 | EUR | Ei ole | 11,61 | 0,02 | 0,17 | 27.01.2023 | 12,70 | 10,54 | LU1191877379 | - |
Class X2 | EUR | Ei ole | 12,77 | 0,02 | 0,16 | 27.01.2023 | 13,81 | 11,56 | LU1264796209 | - |