Raiffeisen-Europa-HighYield (R)

Performance*

From 05/12/1999 Up to 10/23/2019

Source: Depository Bank (Raiffeisen Bank International AG)

* Performance (incl. disbursements) From 05/12/1999 Up to 10/23/2019

Raiffeisen KAG calculates performance based on the published fund price, using the OeKB methodology. Past performance is not a reliable indicator for the future development of the fund.

Funds Information  10/22/2019

Fund currency EUR
Pay-out date 15.04.
Financial year From 01.02. Up to 31.01.
Management fee 0.96 %
Initial publication date 05/12/1999

Performance in per cent (yoy)

Since launch 10 years 5 years 3 years 1 year
5.36 6.55 3.34 2.88 4.69

Prices From 10/22/2019

 Accumulating trancheFull income-retaining tranche
ISINAT0000796537AT0000765599
NAV215,56291,18
Redemption price215,56291,18

Raiffeisen KAG calculates performance based on the published fund price, using the OeKB methodology. Individual costs – such as the issue premium (maximum 3 %), the return fee (maximum 0 %), the investor’s securities account fees, and taxes – are not taken into account in calculating performance. These would reduce the performance if they were included. Past value is not a reliable indicator of the fund’s future performance.

Regarding our clients whose home currency differs from the fund currency, we would like to point out that the yield may rise or fall also due to currency fluctuations.

Tax treatment depends on the investor’s personal situation and may be subject to future changes.

The published prospectuses, information for investors pursuant to § 21 AIFMG, and customer information documents (Key Investor Information Documents) for the investment funds of Raiffeisen Kapitalanlage-Gesellschaft m.b.H. which are registered for sale in the Czech Republic are available in English and in Czech at www.rcm-international.com/cz and at Raiffeisenbank, a. s. (Hvezdova 1716/2b, 140 78 Prague 4).