Investor Notice

The fund information provided in this publication has been prepared for general information purposes. They do not replace your own market research or other legal, tax or financial information or advice. This is a marketing document and not a mandatory investment law document that meets all legal requirements for the impartiality of financial analyses. This publication may not comply with all of the regulatory requirements for such a document that other countries other than Germany and Luxembourg have defined for this purpose. This is a summary summary of key fund features and serves solely to inform investors. The publication does not constitute a call to buy or sell or investment advice. This publication does not contain all information essential for economically important decisions and may differ from information and assessments from other sources/market participants. The information contained herein is protected by copyright for Martluther Investment GmbH and may not be reproduced or distributed. No liability is assumed for their accuracy, completeness or topicality. Neither 1741 Fund Services S.A., its bodies and employees nor Plutos Vermögensverwaltung AG can be held liable for losses arising from the use of this publication or its contents or in any other connection with this publication. Complete information about the fund can be found in the current sales prospectus and, if applicable, the basic information sheet, supplemented by the last audited annual report or the last unaudited semi-annual report. These documents mentioned above represent the sole binding basis for the purchase of fund shares. They are available free of charge in electronic or printed form in German from Martluther Investment GmbH or from 1741 Group, 94B, Waisstroos, 5440 Remerschen / Luxembourg. All statements are based on our assessment of the current legal and tax situation. All statements of opinion reflect the current assessment of the Management Company or the Fund Manager or the Investment Adviser or the Distributor and Information Agent, which is subject to change without notice. The issued shares of these funds may only be offered for sale or sold in jurisdictions in which such offer or sale is permitted. The units in this fund may not be offered for sale or sold to US citizens or US persons resident in the USA, nor to or for the account of US citizens. This publication and the information contained in it may not be distributed in the United States. The distribution and publication of this publication as well as the offer or sale of shares may also be subject to restrictions in other jurisdictions. Please note: Past performance is not a reliable indicator of future performance. Funds are subject to market-related price fluctuations, which can lead to losses, up to and including the total loss of the capital invested. Express reference is made to the risk information in the respective sales prospectus. The gross value development (BVI method) already takes into account all costs incurred at the fund level and assumes that any distributions will be reinvested. Unless otherwise stated, all performance shown corresponds to gross performance. The net value development is based on a model calculation with an invested amount of €1,000, the maximum entry fee and a redemption fee (if provided, see master data). It does not take into account any other individual costs the investor may incur, such as a portfolio management fee. Note on the presentation of the rolling 12-month performance: The presentation is limited to the immediately preceding 5 years. Since the issue surcharge only applies to purchases (assumed here in the first year shown) and a redemption fee only applies to sales (assumed here at this point in time), the gross/net presentation only differs in the first year shown and, if applicable, in the current year.