YOU INVEST GREEN

Investing was never so smart.

Simple, transparent, flexible – This is what our new investment concept looks like. Different goals require different investment strategies – our experts take care of the specifics. Do you want to save up for your children’s education, make sure you get a pension once you have retired, or set aside money for your lifetime dream? YOU INVEST GREEN stands for a fair balance between return and risk.

Simple, transparent, flexible – This is what our new investment concept looks like. Different goals require different investment strategies – our experts take care of the specifics. Do you want to save up for your children’s education, make sure you get a pension once you have retired, or set aside money for your lifetime dream? YOU INVEST GREEN stands for a fair balance between return and risk.

Products

Invest once or regularly?

Get to know YOU INVEST GREEN and find the optimal solution to your needs.

Products

Invest once or regularly?

Get to know YOU INVEST GREEN and find the optimal solution to your needs.

YOU INVEST GREEN solid

The fund with the least risk appetite. As a result, the expected growth in net asset value is comparatively lower.

YOU INVEST GREEN progressive

The fund with a higher risk appetite. The price fluctuations may be comparatively significant.

YOU INVEST GREEN balanced

The fund with medium risk appetite. The investment strategy pursues a balance between opportunities and risks.

YOU INVEST GREEN advanced

The fund with the highest risk appetite. The price fluctuations may be comparatively significant.

YOU INVEST GREEN active

This is the fund for investors with a medium risk appetite. The price fluctuations may be comparatively significant.

Disclaimer and legal notes

YOU INVEST GREEN advanced

YOU INVEST GREEN solid

YOU INVEST GREEN balanced

YOU INVEST GREEN progressive

YOU INVEST GREEN active

Disclaimer

This document is an advertisement. Please refer to the prospectus of the UCITS or to the Information for Investors pursuant to Art 21 AIFMG of the alternative investment fund and the Key Information Document before making any final investment decisions. All data is sourced from Erste Asset Management GmbH, unless indicated otherwise. Our languages of communication are German and English.

The prospectus for UCITS (including any amendments) is published in accordance with the provisions of the InvFG 2011 in the currently amended version. Information for Investors pursuant to Art 21 AIFMG is prepared for the alternative investment funds (AIF) administered by Erste Asset Management GmbH pursuant to the provisions of the AIFMG in connection with the InvFG 2011.

The fund prospectus, Information for Investors pursuant to Art 21 AIFMG, and the Key Information Document can be viewed in their latest versions at the  web site www.erste-am.com within the section mandatory publications  or obtained in their latest versions free of charge from the domicile of the management company and the domicile of the custodian bank. The exact date of the most recent publication of the fund prospectus, the languages in which the Key Information Document is available, and any additional locations where the documents can be obtained can be viewed on the web site www.erste-am.com. A summary of investor rights is available in German and English on the website www.erste-am.com/investor-rights as well as at the domicile of the management company.

The management company can decide to revoke the arrangements it has made for the distribution of unit certificates abroad, taking into account the regulatory requirements.

Detailed information on the risks potentially associated with the investment can be found in the fund prospectus or Information for investors pursuant to Art 21 AIFMG of the respective fund. If the fund currency is a currency other than the investor's home currency, changes in the corresponding exchange rate may have a positive or negative impact on the value of his investment and the amount of the costs incurred in the fund - converted into his home currency.

Our analyses and conclusions are general in nature and do not take into account the individual needs of our investors in terms of earnings, taxation, and risk appetite. Past performance is not a reliable indicator of the future performance of a fund.

The issue and redemption of unit certificates and the execution of payments to unit holders has been transferred to the Fund's custodian bank/depositary, Erste Group Bank AG, Am Belvedere 1, 1100 Vienna, Austria. Redemption requests can be submitted by investors to their custodian bank, which will forward them to the Custodian Bank/Depositary of the Fund for execution via the usual banking channels. All payments to investors are also processed via the usual banking clearing channel with the investor's custodian bank. In Germany, the issue and return prices of shares are published in electronic form on the web site www.erste-am.com (and also at www.fundinfo.com). Any other information for Shareholders is published in the Bundesanzeiger, Cologne.