Irish UCITS funds for non-US investors
Putnam Global High Yield Bond Fund | Fact sheet PDF
The fund consists of a diversified portfolio of intermediate and long-duration bonds from a range of industries and issuers in the high-yield corporate market. Through extensive fundamental and credit analysis, the fund uses a strategy of extensive fundamental analysis to target high-yielding, lower-rated debt securities that represent the best relative value and market technicals.
Putnam New Flag Euro High Yield Fund | Fact sheet PDF
The investment objective of Putnam New Flag Euro High Yield Fund is to provide a superior total return compatible with a prudent credit appraisal process that recognises the risks being taken in the types of assets in which the fund invests. Maintaining rigorous and thorough investment monitoring, the fund invests in predominantly non-investment-grade debt obligations issued by European-based companies or non-European-based companies that have a substantial share of their revenues or income based in Europe.
Putnam Total Return Fund
Designed to help meet investors’ needs for absolute return in different economic environments. The management team develops a comprehensively diversified, multi-asset class portfolio that incorporates a broad array of active return strategies to seek to enhance returns in any market environment.
Die bereitgestellten Informationen dienen ausschlieβlich Informationszwecken und stellen nicht ein Angebot oder eine Einladung ein Angebot zu legen dar, die erwähnten Produkte zu kaufen oder zu verkaufen. Jeder Anleger hat professionelle Beratung und Aufklärung abgestimmt auf seine persönlichen Umstände und sein spezifisches Wissen vor einer Investitionsentscheidung, zB von einem Rechtsanwalt oder Steuerberater, zu suchen. Die Informationen, die auf dieser Website bereitgestellt werden, stellen keine Anlageberatung iSd Wertpapieraufsichtsgesetzes (“WAG”) oder des Bankwesengesetzes (“BWG”) oder eines anderen österreichischen Gesetzes dar.
Vergangene Wertsteigerungen erlauben keine Schlüsse auf zukünftige Wertentwicklungen der Fonds. Auβergewöhnliche Marktsituationen können einen negativen Einfluss auf die Liquidität der Fonds haben und diese sogar illiquid machen. Diesfalls kann sogar ein Verkauf der Fonds unmöglich sein. Marktschwankungen und regressive Entwicklungen des Marktes können den Investor zwingen, Entscheidungen zu treffen oder Teile von Fonds zu verkaufen um seinen vertraglichen oder regulatorischen Verpflichtungen nachkommen zu können. In der Folge kann es vorkommen, dass der Investor Fonds unter ungünstigen Marktbedingungen liquidieren muss, die auch zu einem Totalausfall des Investments führen können. Keine Zusicherung kann gegeben werden, dass die momentane Gesetzeslage oder regulatorische Bestimmungen für gewisse oder alle Fonds nicht geändert oder anders interpretiert werden.
The provided information serves solely general information purposes and does not constitute an offer or an invitation to make an offer to purchase or sell the products referred herein. Prospective investors should not construe the contents of this disclosure document as legal, tax or financial advice. Each investor shall seek professional advice and clarification tailored to his or her personal circumstances and specific knowledge, e.g. from an attorney or a tax advisor, prior to taking an investment decision. Therefore, the information provided on this website is neither investment advice in the sense of the Austrian Securities Supervision Act (“WAG”) or the Austrian Banking Act (“BWG”) nor any other applicable Austrian law.
Past performance results do not allow any conclusion to be drawn for the future development of the funds. Exceptional market circumstances may have an adverse effect on the liquidity of the funds, and even render the products entirely illiquid. In this case it might not be possible to sell the funds. Fluctuations and regressive developments in the market might require the investor to make provisions or sell portions of the investor’s holdings in the funds in order to enable the investor to comply with its contractual or regulatory obligations. As a consequence, the investor may have to liquidate the funds under unfavorable market conditions, which might lead to a loss of the entire investment. No assurance can be given that existing laws and regulations will not be changed or interpreted adversely to certain or all funds.
It is important that you read this page before proceeding. It provides information about Putnam’s UCITS funds (the “Funds”) and where they are authorised for sale.
I understand that Putnam’s Funds and products shown on this website may not be distributed to persons who are citizens or residents of the United States or who are located in any country where the Funds are not authorised for distribution. I understand that it is the responsibility of the investor or his or her dealer/advisor to ensure that the offering and sale of Fund units or shares complies with the relevant national and/or local law.
Information contained in the website is provided for informational purposes only and does not constitute an offer to sell any securities in any jurisdiction in which such distribution or offer is not authorised or where they are not available for distribution in the jurisdiction of the reader. It does not constitute advice, a recommendation or an expression of our view as to whether a particular security or financial instrument is suitable for any investor accessing the website or meets his, her or its financial or any other objectives.
This website is not directed to persons who are residents or citizens of the United States (including persons who are “US Persons” under US federal income tax or securities laws) or who are located in any country, state or jurisdiction where the Funds are not authorised for distribution or in which the dissemination of information regarding the Funds on the Internet is not permitted. The information on the website is not for distribution, and does not constitute an offer to sell or the solicitation of any offer to buy any securities, to or for the benefit of “US Persons” within the meaning of Regulation S under the United States Securities Act of 1933 or US federal income tax law.
Putnam’s non-US affiliates manage products designed for investors outside of the United States. These products and the information about these products that is contained on this website are directed at and available only to investors in specific countries.
Applications for units or shares in any Fund referred to in the website should be made only on the basis of the information contained in the current Prospectus, Key Investor Information Documents, annual report and/or semiannual report, as applicable (“Offering Documents”) relating to the Funds.
If you are in any doubt about the information contained in the website, please consult your Putnam representative or financial advisor. The information is current at the date of publication, but is subject to change without notification.
If you have accessed this website via a link from another site, Putnam Investments is not responsible for the accuracy of information contained within the sites of other providers who have links to any pages of this website.
The information contained in the website is to the best of the knowledge of Putnam Investments in accordance with the facts and does not omit anything likely to affect the import of such information. However, no warranty of accuracy is given and no liability in respect of any errors or omissions created by any third party is accepted by Putnam Investments. By proceeding, you agree to the exclusion by Putnam Investments and its affiliates of any liability in respect of any errors or omissions to the extent permitted by applicable law.
Fund securities are not covered by any government deposit insurer. There can be no assurances that a money market fund will be able to maintain its net asset value per unit at a constant amount, or that the full amount of your investment in any Fund will be returned to you.
When a subscription involves a foreign exchange transaction, it may be subject to the fluctuations of currency values. For Funds that invest in emerging markets, volatility and the risk to your capital may be greater.
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