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Key Information Document as of 6 July 2022PDFJul 7, 2022
GFS Side Pockets Quarterly Report June 2022PDFJun 30, 2022
Income Equivalent to Distributions 2021 (in German)PDFApr 11, 2022
GFS Annual Report 2021PDFApr 4, 2022
GFS Side Pockets Quarterly Report March 2022PDFMar 28, 2022
GFS Side Pockets Quarterly Report December 2021PDFDec 21, 2021
Notice to Shareholders - 2 November 2021PDFNov 3, 2021
Prospectus Global Fund Selection SICAV November 2021 in EnglishPDFNov 3, 2021
GFS Side Pockets Quarterly Report September 2021PDFSep 27, 2021
Key Information Document as of 31 August 2021PDFAug 27, 2021

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This document is an advertisement. Unless indicated otherwise, source: Sparkasse Schwaz AG. Our languages of communication are German and English.

The prospectus for UCITS (including any amendments) is published in Amtsblatt zur Wiener Zeitung in accordance with the provisions of the InvFG 2011 in the currently amended version. Information for Investors pursuant to § 21 AIFMG is prepared for the alternative investment funds (AIF) administered by Sparkasse Schwaz AG pursuant to the provisions of the AIFMG in connection with the InvFG 2011. The fund prospectus, Information for Investors pursuant to § 21 AIFMG, and the key investor document/KID can be viewed in their latest versions at the web site www.globalfundselection.com 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 investor document is available, and any additional locations where the documents can be obtained can be viewed on the web site www.globalfundselection.com.

Important information for investors from Austria: Global Fund Selection SICAV is not allowed to be distributed in Austria.

This document serves to provide additional information to our investors and reflects the knowledge of its authors at the time of going to press.

Our analyses and conclusions are general in nature and do not take into account the personal needs of our investors in terms of income, fiscal situation, and attitude of risk.

If fund portfolio positions are described in this document, they are based on the status of market developments as of the editorial deadline. The described portfolio positions can change at any time in the course of the active management of the given fund.

For the purposes of Article 6 of Regulation (EU) 2020/852 (SFDR): The investments underlying this financial product do not take into account the EU criteria for environmentally or socially sustainable investments.

*) The performance is calculated in accordance with the OeKB method. The management fee as well as any performance-related remuneration is already included. The issue premium which might be applicable on purchase and as well as any individual transaction specific costs or ongoing costs that reduce earnings (e.g. account- and deposit fees) have not been taken into account in this presentation. Past performance is not a reliable indicator of the future performance of a fund.

Please note that an investment in securities entails opportunities and risks. The value of the holdings together with the income may rise or fall. Changes of exchange rates may also affect the value of an investment, either positive or negative.

In case of a disposal of the shares it is therefore possible that you receive less than the originally invested amount back. Persons who are interested in acquiring investment fund shares should read the current prospectus, in particular the contained risk factors, before any investment.

Please find the details of the constrictions concerning the distribution to American citizens in the “Vollständigen Prospekt“ [Full Prospectus]. Errors and omissions excepted.