Announcement about the discontinuation of distribution

 

Aegon Hungary Investment Fund Management Company Limited by Shares (registered office: H-1091 Budapest, Üllői street 1., company registration number: 01-10-044261, hereinafter as: Company), in compliance with its legal obligation, with reference to §113 (1) of Collective Investment Act hereby informs its investors that the distribution of

 Aegon Investment Funds

will be discontinued between 15 October 2022.

First day of distribution after discontinuation: 17. October 2022., Tuesday

 

Our Company informs the National Bank of Hungary, as a supervisory authority, about the above-mentioned discontinuation of the distribution of the Fund.

 

Budapest, 27. September 2021.

Aegon Hungary Investment Fund Management Co.

Announcement by VIG Befektetési Alapkezelő Magyarország Zrt. on the amendment of the documents of Aegon BondMaxx Absolute Return Bond Investment Fund

 

Pursuant to Section 139(1)(b) and (f) of the Collective Investments Act, VIG Befektetési Alapkezelő Magyarország Zrt. (registered office: H-1091 Budapest, Üllői út 1, company registration number: 01-10-044261, hereinafter: Company) hereby informs its investors that in line with MNB Resolution No. H-KE-III-531/2022, with effect from 20 October 2022, it amends the documents of

Aegon BondMaxx Absolute Return Bond Investment Fund

(prospectus, fund management policy, key investor information).

Reason for the amendment: change of the investment policy and the name of the Fund, following which the name of the Fund will be changed to:

VIG BondMaxx Absolute Return Bond Investment Fund

The information listed in this Announcement is not exhaustive and, as such, for accurate and detailed information, please read the Prospectus of the Fund referred to, consolidated with amendments.

Our Announcement, as well as the prospectuses, are available to view at the Fund Manager’s official publication sites, at the https://kozzetetelek.mnb.hu website, at the Fund’s points of distribution and on the https://www.vigam.hu website.

 

Budapest, 21 September 2022

VIG Befektetési Alapkezelő Magyarország Zrt.

Announcement by VIG Befektetési Alapkezelő Magyarország Zrt. on the expansion of the scope of distributors

 

In compliance with its statutory disclosure obligation, VIG Befektetési Alapkezelő Magyarország Zrt. (registered office: H-1091 Budapest, Üllői út 1), hereby informs its investors pursuant to Section 139(1)(f) of the Collective Investment Trusts and Their Managers, and on the Amendment of Financial Regulations that in the case of

VIG MegaTrend Equity Investment Fund

it has amended its Management Policy and Prospectus pursuant to Section 72(4)/b of the Collective Investment Trusts and Their Managers, and on the Amendment of Financial Regulations.

The amendment of the documents was necessary due to the expansion of the scope of Distributors of the funds – the addition of Conseq Investment Management a. s. as a new distributor. The amendment will take effect on 14 September 2022.

 

The information listed in this Announcement is not exhaustive and, as such, for accurate and detailed information, please read the Prospectus of the Fund referred to, consolidated with amendments.

Our Announcement, as well as the prospectuses, are available to view at the Fund Manager’s official publication sites, at the https://www.kozzetetelek.mnb.hu website, at the Fund’s points of distribution and on the https://www.vigam.hu website.

 

Budapest, 14 September 2022

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