Kyron Global Corporate ESG Bond Class A1

Kyron UCITS Sicav is a collective investment fund with variable capital based in Luxembourg. The fund is managed by AISM and is dedicated to both Institutional and Retail Investors.The SICAV has four sub-funds: the Fixed Income Fund, the Equity Absolute Return Fund, the Global Corporate ESG Bond and the Global Smart Trend Fund.

The objective of the Sub-Fund is to offer investors fixed income returns by investing in bonds issued by companies worldwide and with attention to their environmental, social and governance ("ESG") metrics.

The Sub-Fund will invest mainly in investment grade bonds, selected on the basis of fundamental analysis, with the following characteristics:

- denominated in USD

- issued by companies whose business activities are mainly in Developed Markets, or

- issued by governmental or quasi-governmental entities

- with at least 70% of the bonds having an ESG rating of the bonds of BBB or higher according to MSCI ESG Ratings.

ISIN

LU2082324448

Vehicle

UCITS V

Currency

USD

Inception date

13/12/2019

Management fees

0.8%

Performance fees

0%

Kyron Global Corporate ESG Bond Class A1H

Kyron UCITS Sicav is a collective investment fund with variable capital based in Luxembourg. The fund is managed by AISM and is dedicated to both Institutional and Retail Investors.The SICAV has four sub-funds: the Fixed Income Fund, the Equity Absolute Return Fund, the Global Corporate ESG Bond and the Global Smart Trend Fund.

The objective of the Sub-Fund is to offer investors fixed income returns by investing in bonds issued by companies worldwide and with attention to their environmental, social and governance ("ESG") metrics.

The Sub-Fund will invest mainly in investment grade bonds, selected on the basis of fundamental analysis, with the following characteristics:

- denominated in USD

- issued by companies whose business activities are mainly in Developed Markets, or

- issued by governmental or quasi-governmental entities

- with at least 70% of the bonds having an ESG rating of the bonds of BBB or higher according to MSCI ESG Ratings.

ISIN

LU2082324521

Structure

UCITS V

Currency

EUR

Inception date

11/09/2020

Management fees

0.8%

Performance fees

0%

Terms and Conditions

The website accessible at www.aism.lu is for information purpose only. Nothing contained herein constitutes or shall be deemed to constitute a financial, legal, tax or other advice of any kind and no information on the Website shall constitute or deem to constitute a solicitation or an offer to purchase or invest in, any financial products which are referred to on the Website.

If, in spite of the above, you were to take or consider taking an investment decision based on the information contained on the Website, then you expressly acknowledge and/or agree: that you must be, as the case may be, an investor who is legally or otherwise duly authorised to seek information about the funds referred to or described on the Website; that no investment decision shall be made solely on the basis of the information provided on the Website; that investment in any of the funds referred to on the Website can only be made after careful review, as the case may be with the assistance of its financial advisor, of the corresponding funds' or sub-funds' relevant documentation; that careful attention should, in particular, be given to, as the case may be, the articles of incorporation or management regulations, detailed prospectus or key investor information document, latest available annual and semi-annual reports, as applicable, and of the specific risks exposed in such documents; and that all investments involve risks and that it is your responsibility to collect relevant information about the risks inherent to any investment; that the value of investments and the income from them may go down as well as up and that you may not get back the amount originally invested, and that past performance is not a guide to future performance, hence that any past performance figures shown are not indicative of future performance.

Through this Site, Alpha Investor Services Management  will not collect any personal data about you (e.g. your name, address, telephone number or email address) unless you voluntary choose to provide us with this information (e.g. by registration, survey or some other means), provide your consent, or unless otherwise permitted by applicable laws and regulations for the protection of your personal data. The investment funds mentioned in the Website are not available to US persons unless otherwise indicated in their constitutional documents. Reasonable care has been taken to ensure that the information contained on this Website is accurate at the date of publication. However, no representation or warranty, express or implied, is made to its accuracy or completeness.

Select your region