Survey
* Your assessment is very important for improving the workof artificial intelligence, which forms the content of this project
* Your assessment is very important for improving the workof artificial intelligence, which forms the content of this project
THIS IS A COUNTRY SUPPLEMENT FOR INVESTORS IN AUSTRIA (“COUNTRY SUPPLEMENT”) TO THE PROSPECTUS OF INSIGHT GLOBAL FUNDS II PLC (the “COMPANY”) DATED 1st FEBRUARY 2017. The Country Supplement forms part of, and should be read in conjunction with the Prospectus. The following sub-funds of Insight Global Funds II plc are available for shareholders in Austria: Insight LIBOR Plus Fund Insight Euro Corporate Bond Fund Insight Liquid ABS Fund Insight Total Return Bond Fund The following sub-funds have not been registered for distribution in Austria and shares in these sub-funds may not be offered to investors in Austria: Insight Emerging Market Debt Fund Insight Global (Ex-UK) Fund Insight Diversified Corporate Bond Fund Insight Buy and Maintain Bond Fund Insight Short-Dated High Yield Bond Fund Insight Emerging Market Bond Opportunities Fund Insight Global Credit Fund Société Générale, Vienna Branch, Prinz-Eugen-Straße 32, A-1040 Wien, has been appointed as the paying and information agent in Austria (the “Austrian Paying and Information Agent”). Applications for subscription, redemption and conversion of shares may be sent to the Austrian Paying and Information Agent. If a subscription or redemption order is sent to the Austrian Paying and Information Agent by any investor a processing fee of EUR 250.00 (plus 20% VAT) shall be deducted by the Austrian Paying and Information Agent. Investors should also refer to the "Fees and Expenses" section of the Prospectus. Redemption proceeds and potential distributions may, upon request, be paid, through the Austrian Paying and Information Agent. Issue, redemption and conversion prices are available, free of charge and in hardcopy at the registered office of the Investment Manager and at the Austrian Paying and Information Agent. The issue, redemption and conversion prices will also be published on the following website: www.fundinfo.com. The prospectus, the key investor information documents (KIIDs), the memorandum and articles of association, the annual and interim report and financial statements and all further information required by law is available, free of charge, in hardcopy at the registered office of the Investment Manager and at the Austrian Paying and Information Agent. 10 February 2017