“NATIXIS AM FUNDS”
Dear Sir, dear Madam,
The “Natixis AM Funds” SICAV is managed by Natixis Asset Management, a BPCE Group investment management company. Natixis Asset Management has decided to bring the following modifications to the Prospectus of the SICAV.
The changes described hereafter will come into force on 19th February 2016.
The Key Investor Information Documents (KIID) and the Fund prospectus, the articles of association and the most recent periodic reports, which describe the features of the Fund in full, may be obtained without any charge:
• From the registered office of Natixis Asset Management:
NATIXIS ASSET MANAGEMENT
Immeuble Grand Seine
21 Quai d’Austerlitz
75634 Paris Cedex 13, France
These will be sent to you within one week of receipt of a written request;
• from the website www.nam.natixis.com
• or at the facilities agent Société Générale Securities Custody London, 9th Floor Exchange House 12 Primrose Street EC2A 2EG London, England.
Luxembourg, 19th January 2016
For the Board of Directors of “Natixis AM Funds”.
NOTICE TO SHAREHOLDERS (pdf)