Notice to investors
Transcription
Notice to investors
CS Investment Funds 2 P.O. Box 369 5, Rue Jean Monnet L-2180 Luxembourg R.C.S. Luxembourg B. 124 019 Notice to Investors in the CS Investment Funds 2 Dear Investor, This is to inform you that the Board of Directors of CS Investment Funds 2 has decided to pay to the shareholders of distribution share classes the following distribution: Fund ISIN Curr. LU0439729285 LU1144416861 LU1380458387 Share Class -A-UA-DAH- EUR EUR CHF Total amount per share 0.28 0.21 19.64 Credit Suisse (Lux) European Dividend Plus Equity Fund Credit Suisse (Lux) European Dividend Plus Equity Fund Credit Suisse (Lux) European Dividend Plus Equity Fund Credit Suisse (Lux) Global Dividend Plus Equity Fund Credit Suisse (Lux) Global Dividend Plus Equity Fund LU0439730374 LU1144417596 -A-UA- USD USD 0.13 0.12 The distribution will be made to the shareholders who are registered in the Shareholders' Register of the Company on 14/06/2016 and the payment will be effected with value date 16/06/2016. Investors may obtain the Prospectus, the Key Investor Information Document, the latest annual and semi-annual reports and copies of the Articles of Incorporation free of charge from the registered office of the Company, on the internet at www.credit-suisse.com or from the registered office of the Swiss representative. Swiss representative: Credit Suisse Funds AG, Zürich Swiss paying agent: Credit Suisse AG, Zürich