iMaps Product

Derivatives Expert ETI

iMaps ETI AG • ISIN: DE000A4AE5K3

Remarque : pour des raisons juridiques, cette page produit n’est disponible qu’en anglais.

Details

ETI Description

The Derivatives Expert ETI is an Exchange Traded Instrument in the form of an Actively Managed Certificate allowing for participation in the performance of the underlying Segregated Portfolio of a wholly owned subsidiary of the issuer, which is calculated net of relevant costs and fees as further described below. The underlying Segregated Portfolio comprises a Portfolio managed by the Delegated Investment Manager.

General Information about the Portfolio:

The Portfolio is an actively managed Portfolio denominated in EUR. The portfolio composition is created and maintained by the Delegated Investment Manager, Everon AG. The Portfolio aims to replicate the performance of:

Long and/or short positions in stocks, ETFs Long and/or short positions in bonds Long and/or short positions in options Long and/or short positions in futures Long and/or short positions in FOREX/currencies

that are included in the iMaps Investment Universe, which consists of all financial instruments available through Interactive Brokers, traded under their standard business terms. For the avoidance of doubt, up to 100% of the Portfolio can comprise cash.

The Delegated Investment Manager will create the Portfolio by selecting initial Portfolio Components on the Issue Date with an initial level of 1000 EUR (the "Initial Portfolio Level"). The initial Portfolio Constituents are 100% cash held in EUR. The Delegated Investment Manager is responsible for adjusting the composition of the Portfolio (any such adjustment being a "Rebalancing") from time to time, which can, for the avoidance of doubt, be executed on an intraday basis. Certain limitations apply to the composition of the Portfolio from time to time.

The level of the Portfolio, as determined by the Calculation Agent in accordance with the Conditions of the Securities (the "Portfolio Level"), is calculated in the Base Currency net of certain fees and costs associated with the creation, maintenance, and management of the underlying Portfolio.

Portfolio Components:

The Portfolio, whose composition may vary from time to time, is actively managed by the Delegated Investment Manager and represents investments in the Portfolio Components. The Delegated Investment Manager is entitled to select any securities, assets, exposures, or contracts that are part of the iMaps Investment Universe described above for inclusion in the Portfolio (with such securities, assets, exposures, or contracts becoming "Portfolio Constituents" after inclusion in the Portfolio). In the case of any rebalancing, the inclusion price of the eligible assets will take into account the trading and execution costs charged by the broker from which the asset is selected within the investment universe. Any dividends paid by eligible assets comprised within the Portfolio shall be added to the cash position of the Portfolio, minus any applicable withholding tax.

Investment Restrictions:

Portfolio Constituents may be selected by the Delegated Investment Manager for notional purchase or, as the case may be, sale or unwind in accordance with the following investment restrictions (the "Investment Restrictions"). For the avoidance of doubt, the responsibility and legal duty to ensure that the Portfolio complies with the Investment Restrictions is solely with the Delegated Investment Manager.

Portfolio Investment Restrictions:

The sum of the Exposures of all Portfolio Constituents excluding FOREX, CFD, and Derivative Constituents is capped at a maximum of 300% (the "Leverage Threshold") at all times during the lifetime of the Securities. The Delegated Investment Manager can achieve additional leverage by adding derivative contracts to the Portfolio, whereas the leverage is restricted by the margin applicable by the broker. The Weight of the sum of the Cash Position, less any margin for derivative contracts, shall at all times be greater than -200% (the “Restriction on Borrowing”).

Whenever the Portfolio contains less than 50% cash, the Portfolio shall be diversified into at least four assets. The composition of the Portfolio (including the respective Weights) is published on a monthly basis on the website of the Issuer.

Rebalancings of the Portfolio:

A Rebalancing may be initiated by the Delegated Investment Manager at any time, including intraday rebalancings, following the Issue Date effective immediately. In case any Rebalancing leads to a breach of the investment restrictions, the Issuer is authorized, but for the avoidance of doubt, not obliged to change the composition of the Portfolio at its discretion to remedy such a breach.

Supporting Documentation

ETI ISIN DE000A4AE5K3
Delegated Investment Manager Everon AG
Address of Delegated Investment Manager Gartenstrasse 17
8002 Zürich, Schweiz
Delegated Investment Manager Regulator FINMA
Brokers & Custodians Interactive Brokers
ETI Currency EUR
ETI Issuing Price 1,000 EUR
Stock Exchange Quote Go to boerse-stuttgart.de

Charts

ALL 1 YEAR 6 MONTHS 3 MONTHS

Fees

Total Management Fee* n/a %
Performance Fee n/a %
Max. Spread n/a %

*) The Total Management Fee comprises fixed Maintenance Fees, which include costs for audit, collateralization, listing, and paying agency fees, as well as Management Fees charged by the Master Investment Manager (iMaps ETI AG) and the Delegated Investment Manager. These fees diminish the value of the ETI and are updated monthly. Upon the launch of an ETI, the maximum possible fee amount is disclosed as the Total Management Fee: 4.5% for non-exempt offers, which are public offerings to retail investors, and 6.0% for exempt offers, which include offerings to professional investors and private placements.

Performance

1 Month n/a %
3 Months n/a %
6 Months n/a %
YTD n/a %
1 an s/o %
5 ans s/o %
Depuis le lancement s/o %

Allocation du portefeuille

Répartition du portefeuille en date du : s.o.

Identifier Description Price in Euro % of Segregated Portfolio

Veuillez noter que les informations fournies ne constituent pas une offre ou une sollicitation pour l’achat ou la vente d’instruments financiers, mais sont uniquement destinées à des fins de relations avec les investisseurs. Les titres susmentionnés ont été offerts au public et sont actuellement négociés sur le marché secondaire à la bourse mentionnée ci-dessus. Il est recommandé aux investisseurs qui envisagent d’investir dans l’un de ces titres de consulter un conseiller financier agréé MiFID avant d’investir.

Glossaire des identifiants

Des valeurs sans identifiant : Il s’agit de CfDs – Contract for Differences. Les CfD sont des produits dérivés négociés de gré à gré dans lesquels deux parties concluent un contrat portant sur la différence d’évolution du prix d’un actif sous-jacent. L’actif sous-jacent du CfD est spécifié dans la rubrique Description. La spécification « identifier=empty » et par exemple « description= amazon inc » signifie donc qu’il s’agit d’un CfD sur l’action amazon.

Valeur avec identifiant ISIN : L’ISIN est le numéro d’identification international à douze chiffres des titres. Il peut s’agir d’actions, d’obligations, mais aussi de fonds et d’ETF. Un ISIN commence toujours par deux lettres désignant le pays d’émission, par exemple DE pour l’Allemagne, ou par la désignation « XS » pour les titres transfrontaliers émis. La désignation du pays est régulièrement suivie d’un zéro, puis d’une combinaison de neuf chiffres et de lettres.

Étant donné qu’un ISIN n’est émis qu’une seule fois pour chaque titre, il est facile de trouver des informations supplémentaires sur l’actif sous-jacent en saisissant l’ISIN, par exemple dans le masque de recherche de Google ou de Bing.

Valeurs avec l’identifiant Derivatives ticker : Le ticker des produits dérivés est l’identifiant des produits dérivés standardisés négociés en bourse. Il s’agit notamment des contrats à terme et des options. L’identifiant commence par une combinaison de lettres à trois chiffres suivie d’une date qui indique la date d’échéance du produit dérivé. Dans le cas des options d’achat, un « C » complète l’identifiant, et dans le cas des options de vente, un « P »

Valeurs avec identifiants cryptographiques : Les actifs numériques ont généralement des combinaisons de lettres à trois ou quatre chiffres comme identifiants. Celles-ci peuvent être utilisées, par exemple, sur le site web coinmarketcap.com pour obtenir de plus amples informations sur la crypto-monnaie concernée.

Autres actifs : Il s’agit des frais courus ou des frais payés d’avance qui ont été activés à des fins de calcul de la VNI.

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