External Debt
Ashmore SICAV Global Liquidity US$ Fund
Dealing frequency
Daily
Share class
Institutional USD Income
Fund launch date |
|
---|---|
ISIN |
LU2357941447
|
Income type |
Inc
|
Share class launch date |
|
Currency hedged |
No
|
Domicile |
Luxembourg
|
Financial year end |
|
Fund base currency | USD |
Fund code |
ALF
|
Minimum investment | 1,000,000 |
Minimum additional investment |
None
|
Annual management charge % |
0.45%
|
Administrator | Northern Trust Global Services SE, is a credit institution authorised in Luxembourg. |
Auditor | KPMG Audit |
Custodian | Northern Trust Global Services SE, is a credit institution authorised in Luxembourg. |
Registrar | Northern Trust Global Services SE, is a credit institution authorised in Luxembourg. |
To obtain UK reportable income details for this fund, please go to https://www.kpmgreportingfunds.co.uk/
To the extent permitted by applicable laws and regulations, Ashmore may provide investors holding security interests in the Fund with additional historical portfolio information which is not routinely available to other investors in such funds. Ashmore will determine the level of additional information that may be provided. Investors who want to receive such information should make a request to Ashmore and they may be subject to additional confidentiality requirements.