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Please read the important information below before continuing to our website

The Lyxor ETFs on this website may be restricted for certain individuals or in certain countries pursuant to the national regulations applicable to those individuals or countries. It is therefore your responsibility to ensure that you are authorised to invest in the Lyxor ETFs on this website. 

 

If you are an investor in the United Kingdom, please go to www.lyxoretf.co.uk  

If you are an investor in the Netherlands, please go to www.lyxoretf.nl  

If you are an investor in Italy, please go to www.lyxoretf.it  

If you are an investor in Spain, please go to www.lyxoretf.es  

If you are an investor in Austria, please go to www.lyxoretf.at  

If you are an investor in Germany, please go to www.lyxoretf.de   

If you are an investor in Singapore, please go to www.lyxoretf.com.sg  

If you are an investor in Switzerland, please go to www.lyxoretf.ch  

If you are an investor in Belgium, please go to www.lyxoretf.be  

If you are an investor in Poland, please go to www.lyxoretf.pl 

If you are an investor in Norway, please go to www.lyxoretf.no

If you are an investor in Denmark, please go to www.lyxoretf.dk

If you are an investor in Luxembourg, please go to www.lyxoretf.lu

If you are an investor in Sweden, please go to www.lyxoretf.se

If you are an investor in Finland, please go to www.lyxoretf.fi

If you are an investor in Luxembourg, please got to www.lyxoretf.lu

 

 

The Lyxor ETFs on this website are undertakings for collective investment in transferable securities (UCITS) (i) domiciled in France and approved by the Autorité des Marchés Financiers (AMF) or, (ii) domiciled in Luxembourg, approved by the Commission de Surveillance du Secteur Financier (CSSF) and authorised to market their units or shares in the French Republic in accordance with the notification procedure under Article 93 of Directive 2009/65/EC. Investors should note that the prospectuses of certain Lyxor ETFs under Portugal law that have been notified in accordance with this procedure are only available on the website in English.

 

The information on this website is not intended for persons or entities that are resident, located or registered in jurisdictions that are not authorised to distribute Lyxor ETFs. As a result, the information on this website does not constitute an offer or solicitation to buy or sell units or shares in these ETFs by anyone in any jurisdiction:

 

(a)   in which such an offer or solicitation is unauthorised;

(b)   in which Lyxor is not qualified to make such an offer or solicitation; or 

(c)   in which it is unlawful to make such an offer or solicitation.

 

In particular, the Lyxor ETFs on this website are not and will not be registered under the United States Securities Act of 1933, as amended. As such, they may not be offered or sold within the United States of America, except in specific cases where transactions are exempt from registration under the Securities Act. The ETFs listed on this website may not be sold to US citizens or transferred to the United States by any other means, unless this transaction is not subject to any specific registration under US law. 

 

Any person from a jurisdiction to which the above-mentioned restrictions apply should inform themselves of and observe these restrictions.

This website is intended for commercial purposes and is not regulatory in nature. Although the information provided has been drawn up on the basis of sources considered to be reliable, there is no guarantee that it is accurate, complete or relevant. Some of the information on this website is provided on the basis of market data collected at a specific time and may therefore vary over time. Lyxor advises investors to read the risk factors section of the prospectus and the key investor information document carefully. These documents can be found on the website.

 

The net asset value (“NAV”) of Lyxor ETFs may at any time be subject to considerable price fluctuations, which in some cases may lead to the loss of all of the capital invested. Investors should note that some ETFs may be sensitive to fluctuations in the exchange rate between their reference currency and that of the underlying index, as well as of the components of the underlying index.

 

Before investing in a Lyxor ETF, you should carry out your own risk analysis of the product from a legal, tax and accounting perspective, rather than basing your decision solely on the information provided. If necessary, you should consult your own advisers or any other qualified professional. 

 

Subject to compliance with the legal obligations by which they are bound, Lyxor or any entity within the same group shall not be held liable for any financial or other consequences of an investment in the product. 

 

 

By clicking on institutional or individual above, I confirm that I have read and understood the information provided herein, and that I am resident or registered in Portugal.

 

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29 nov 2019

Comunicação Aos Acionistas - ComStage S&P 500 UCITS ETF

 Comunicação Aos Acionistas - ComStage S&P 500 UCITS ETF

ComStage S&P 500 UCITS ETF
(ISIN: LU0488316133 / WKN: ETF012)

Os acionistas do ComStage S&P 500 UCITS ETF são informados pela presente da seguinte alteração do índice financeiro:
A alteração do índice deve-se ao fato de o patrocinador do índice Commerzbank AG deixar de disponibilizar o índice relevante para o subfundo a partir 30 de dezembro de 2019.
A política de investimentos do subfundo não é afetada pela alteração do índice, salvo no que diz respeito ao próprio índice.

Os acionistas que não concordem com as alterações supramencionadas poderão resgatar as suas ações sem quaisquer encargos de resgate até 27 de dezembro de 2019, 16h30 CET, junto da Sociedade Gestora, do Distribuidor ou da Sociedade de Recompra, ou do Agente Pagador e de Informação ou, se as ações tiverem sido adquiridas no mercado secundário, vendê-las nesse mercado até 27 de dezembro de 2019. Os pedidos de resgate recebidos pelas entidades supramencionadas após este prazo não poderão ser executados. Os pedidos de resgate serão processados pela Sociedade de Recompra (Commerzbank AG, CM-EMC, Kaiserplatz, 60311 Frankfurt am Main).
Caso subsistam dúvidas sobre a presente comunicação, contacte o seu consultor financeiro ou a Sociedade de Recompra através do número +49 (0) 69 717 4444, ou por e-mail para “info@lyxoretf.de”.
O prospeto de venda, as informações fundamentais destinadas aos investidores, os estatutos e os relatórios anuais e semestrais estão disponíveis gratuitamente em alemão junto da Sociedade Gestora Lyxor Funds Solutions S.A., 22, Boulevard Royal, L-2449 Luxemburgo e nos seguintes escritórios, em papel ou em formato eletrónico, em www.comstage-etf.com.
Agente de Informação na Alemanha: Société Générale, Niederlassung Frankfurt, Neue Mainzer Strasse 46-50, D-60311 Frankfurt am Main
Agente Pagador e de Informação na Áustria: Erste Bank der oesterreichischen Sparkassen AG, Am Belvedere 1, A-1100 Viena
Representante e Agente Pagador na Suíça: Société Générale, Paris, Zweigniederlassung Zürich, Talacker 50, Postfach 5070, CH-8021 Zurique
O Conselho de Administração da Sociedade
Luxemburgo, 30 de novembro de 2019