Three Rock Capital Management Limited is the UCITS Management Company for Premium Selection UCITS ICAV (the “Receiving UCITS”), an Irish UCITS established as an umbrella fund with segregated liability between its sub-funds under the Irish Collective Asset-management Vehicles Act 2015, having its registered office at 1 WML Windmill Lane, Dublin 2, Ireland, D02 F206, registered under the laws of Ireland with number C431615

On 05 April 2023, a merger has occurred between:

(1) 11 sub-funds of the Luxembourg UCITS Multicooperation SICAV (each an “Absorbed Sub-Fund”);

and

(2) 9 sub-funds of the Receiving UCITS (each a “Receiving Sub-Fund”);

(the “Merger”).

On 05 April 2023, all the assets and liabilities of each Absorbed Sub-Fund will be transferred to each Receiving Sub-Fund and shareholders of the Absorbed Sub-Funds will automatically receive registered shares of the relevant share class in the Receiving Sub-Funds. As from 05 Apr 2023, such shareholders will acquire rights as shareholders of the Receiving Sub-Funds and will thus participate in any increase or decrease in the net asset value of the Receiving Sub-Funds.

The fund administrator for the Receiving Sub-Funds will be responsible for calculating the exchange ratio and allocating the shares in the Receiving Sub-Funds to the shareholders of the Absorbed Sub- Funds.

The Receiving Sub-Funds will not comprise any assets or liabilities at the date of the Merger. The Receiving Sub-Funds’ share classes will be issued on 05 Apr 2023. Where share classes of the Absorbed Sub-funds are merged into corresponding share classes of the Receiving Sub-Funds, the net asset value of the latter on 05 Apr 2023 will be set to be equal to the prevailing net asset value of the corresponding share class of the Absorbed Sub-Fund. The exchange ratio as of 05 Apr 2023 will therefore be equal to 1 and shareholders will receive a share of the relevant share class of the Receiving Sub-Fund for each Absorbed Sub- Fund’s share of the relevant share class exchanged.

Where share classes of the Absorbed Sub-Fund are merged into share classes of the Receiving Sub-Fund with different characteristics, the exchange ratio will be calculated on the basis of the respective net asset values of the Absorbed Sub-Fund’s share class and of the Receiving Sub- Fund’s share class, whereby the net asset value of the Receiving Sub-Fund’s share class will be defined as described in the above paragraph. This exchange ratio will be used to calculate the number of shares of the relevant share class of the Receiving Sub-Fund which a shareholder will receive.

Please find enclosed below the Initial Offering Price of each share class.

 

 

 

Fund name   Absorbed Sub-Fund ISIN Receiving Sub-Fund ISIN Initial Offering Price
       
Julius Baer Equity Global Excellence North America   LU1079019813 IE0007MIUHP2 194.15
Julius Baer Equity Global Excellence North America   LU1079020076 IE00040A9EC0 196.42
Julius Baer Equity Global Excellence North America   LU1600590951 IE000T86VCU9 168.97
       
Julius Baer Fixed Income Asia   LU2139626803 IE00059RUKI0 78.42
Julius Baer Fixed Income Asia   LU2139627793 IE000WFBH543 77.1
Julius Baer Fixed Income Asia LU2139628502 IE0001W44QW0 78
Julius Baer Fixed Income Asia   LU2139626985 IE000MBPMM11 86.01
Julius Baer Fixed Income Asia   LU2139627876 IE000LZLMKF2 84.03
Julius Baer Fixed Income Asia   LU2139628684 IE000ZDOGWD5 85.11
Julius Baer Fixed Income Asia   LU2139627017 IE000WNB98B7 87.31
Julius Baer Fixed Income Asia   LU2247932606 IE000NW4GHS1 78.26
       
Julius Baer Dynamic Asset Allocation   LU1649326482 IE000OEPN5K0 108.49
Julius Baer Dynamic Asset Allocation   LU1649326565 IE000BLRCMU6 77.18
Julius Baer Dynamic Asset Allocation   LU1649326995 IE00069QQMT2 120.53
Julius Baer Dynamic Asset Allocation   LU1649327027 IE0007ZZ0IO7 104.5
Julius Baer Dynamic Asset Allocation   LU1649327373 IE000P3SQGF8 106.97
Julius Baer Dynamic Asset Allocation   LU1649327456 IE000W8AVTA0 124.93
Julius Baer Dynamic Asset Allocation   LU1649327969 IE000W8AVTA0 124.93
Julius Baer Dynamic Asset Allocation   LU1649328264 IE0009DL5QQ4 110.85
Julius Baer Dynamic Asset Allocation   LU1687712155 IE000IBUD805 79.7
Julius Baer Dynamic Asset Allocation   LU1649327530 IE00029RHVV0 108.28
Julius Baer Dynamic Asset Allocation   LU1649328009 IE00029RHVV0 108.28
Julius Baer Dynamic Asset Allocation   LU1649326722 IE000EY5A8B7 96.49
Julius Baer Dynamic Asset Allocation   LU1649327704 IE0009DL5QQ4 110.85
Julius Baer Dynamic Asset Allocation   LU1687712312 IE0001VFLQN7 99.19
Julius Baer Dynamic Asset Allocation   LU1649328348 IE000ULPQRJ2 113.66
Julius Baer Dynamic Asset Allocation   LU2132505319 IE0003L42YG0 112.7
Julius Baer Dynamic Asset Allocation   LU1649328777 IE000XONPR58 89.04
       
Julius Baer Fixed Income Investment Grade Corporate (EUR)   LU1079022874 IE000LLCZH09 93.6
Julius Baer Fixed Income Investment Grade Corporate (EUR)   LU1079023096 IE000U4N9H37 92.82
Julius Baer Fixed Income Investment Grade Corporate (EUR)   LU1139423807 IE000PLSU7V1 106.73
Julius Baer Fixed Income Investment Grade Corporate (EUR)   LU1139424102 IE000MP9ZUK0 87.98
Julius Baer Fixed Income Investment Grade Corporate (EUR)   LU1394336611 IE000E1Z2A23 89.44
Julius Baer Fixed Income Investment Grade Corporate (EUR)   LU1394336702 IE000CRSIPQ7 106.6
Julius Baer Fixed Income Investment Grade Corporate (EUR)   LU1600591413 IE000E1Z2A23 89.44
Julius Baer Fixed Income Investment Grade Corporate (EUR)   LU1079022957 IE000U4N9H37 92.82
Julius Baer Fixed Income Investment Grade Corporate (EUR)   LU1264760510 IE000CP0BRK8 98.94
Julius Baer Fixed Income Investment Grade Corporate (EUR)   LU1805377329 IE000LI04B68 86.72
Julius Baer Fixed Income Investment Grade Corporate (EUR)   LU1805377592 IE000W9KLXD4 89.41
     
Julius Baer Strategy Balanced (CHF)   LU0047988216 IE000X6R9HM7 165.1
Julius Baer Strategy Balanced (CHF)   LU0818795592 IE0004QX1SB7 131.93
Julius Baer Strategy Balanced (CHF)   LU0047988133 IE000FG9VDV2 118.98
Julius Baer Strategy Balanced (CHF)   LU0150365327 IE000X6R9HM7 165.1
Julius Baer Strategy Balanced (CHF)   LU1692979757 IE00094QCS46 100.88
Julius Baer Strategy Balanced (CHF)   LU0108179515 IE000FG9VDV2 118.98
Julius Baer Strategy Balanced (CHF)   LU0108178970 IE000X6R9HM7 165.1
Julius Baer Strategy Balanced (CHF)   LU0150370756 IE000X6R9HM7 165.1
Julius Baer Strategy Balanced (CHF)   LU0818796137 IE0004QX1SB7 131.93
Julius Baer Strategy Balanced (CHF)   LU1692980334 IE00094QCS46 100.88
       
Julius Baer Strategy Balanced (EUR)   LU0099841354 IE000MMWNPK2 179.39
Julius Baer Strategy Balanced (EUR)   LU0099841511 IE000F75O4Y9 121.38
Julius Baer Strategy Balanced (EUR)   LU0818795758 IE000JEQKLW7 143.53
Julius Baer Strategy Balanced (EUR)   LU0818795675 IE000JEQKLW7 143.53
Julius Baer Strategy Balanced (EUR)   LU0150369311 IE000MMWNPK2 179.39
Julius Baer Strategy Balanced (EUR)   LU1692979914 IE0009TPHC75 107.53
Julius Baer Strategy Balanced (EUR)   LU1775550707 IE0007P4BXU5 114.14
Julius Baer Strategy Balanced (EUR)   LU0891033556 IE000IVNWX44 106.5
Julius Baer Strategy Balanced (EUR)   LU0818796301 IE000JEQKLW7 143.53
Julius Baer Strategy Balanced (EUR)   LU1692980508 IE0009TPHC75 107.53
Julius Baer Strategy Balanced (EUR)   LU0108180364 IE000F75O4Y9 121.38
Julius Baer Strategy Balanced (EUR)   LU0108179945 IE000MMWNPK2 179.39
Julius Baer Strategy Balanced (EUR)   LU0150371051 IE000MMWNPK2 179.39
       
Julius Baer Strategy Balanced (USD)   LU0236394168 IE0000QBMWU9 166.68
Julius Baer Strategy Balanced (USD)   LU0818795915 IE000G1LLM86 153.58
Julius Baer Strategy Balanced (USD)   LU0236393608 IE000EYS3C81 133.99
Julius Baer Strategy Balanced (USD)   LU0818795832 IE000G1LLM86 153.58
Julius Baer Strategy Balanced (USD)   LU0236394598 IE0000QBMWU9 166.68
Julius Baer Strategy Balanced (USD)   LU0891033804 IE000PEKYQ95 127.05
Julius Baer Strategy Balanced (USD)   LU1692980177 IE000QEKLGJ0 110.59
       
Julius Baer Strategy Income (CHF)   LU0099839291 IE000KWRWT41 119.13
Julius Baer Strategy Income (CHF)   LU0099839614 IE000VW74BL0 87.43
Julius Baer Strategy Income (CHF)   LU0818796566 IE000VVD6688 111.28
Julius Baer Strategy Income (CHF)   LU0818796483 IE000VVD6688 111.28
Julius Baer Strategy Income (CHF)   LU0150368693 IE000KWRWT41 119.13
Julius Baer Strategy Income (CHF)   LU1692980763 IE000BOSOHS7 94.34
       
Julius Baer Equity Asia   LU1079020589 IE000GSEB1X3 98.34
Julius Baer Equity Asia LU1079020746 IE000TQQP059 128.83
Julius Baer Equity Asia LU1079020662 IE000TQQP059 128.83
Julius Baer Equity Asia   LU1600590795 IE00080U63F9 104.66
Julius Baer Equity Asia   LU1410361908 IE000CEDJIC0 144.59