We use cookies to enhance your browsing experience. Please select which cookies you consent to.
Cookie Preferences
Required
Necessary cookies help make a website usable by enabling basic functions like page navigation and access to secure areas of the website. The website cannot function properly without these cookies.
Name
kosmos*
Type
HTTP Cookie
Storage Duration
Session
Provider
www.merillfunds.com
Purpose
We use essential cookies to make our website work properly. These cookies are temporary and do not store personal information.
Name
cookie_consent
Type
HTTP Cookie
Storage Duration
182 days
Provider
www.merillfunds.com
Purpose
Stores the user's cookie consent state for the current domain
Optional
Preference cookies enable a website to remember information that changes the way the website behaves or looks, like your preferred language or the region that you are in.
No cookies found in this category.
Optional
Statistic cookies help website owners to understand how visitors interact with websites by collecting and reporting information anonymously.
No cookies found in this category.
Optional
Marketing cookies are used to track visitors across websites. The intention is to display ads that are relevant and engaging for the individual user and thereby more valuable for publishers and third party advertisers.
No cookies found in this category.
Optional
Unclassified cookies are cookies that we are in the process of classifying, together with the providers of individual cookies.
A pool of funds collected from a number of individuals, which is then invested in different securities to yield a return.
All UCITS funds can be marketed and sold across the countries within the European Union and are regulated by the UCITS Directive
A fund is an investment vehicle which allows for a diversification strategy with lower transaction costs while providing liquidity to the investor.
Subscription to the fund represents a request to buy and invest in the fund. A Redemption represents a request from the investor to sell his holdings in the fund.
This is a document which contains details about the fund including its investment objectives and strategies as well as details on any fees and distribution policies involved. This document provides the necessary information for an investor to take an informed decision.
The Key Information Document contains salient information relating to a particular Fund or (as appropriate) to a particular class or classes of Investor Shares in a Fund, as required by the MFSA Rules and the UCITS Regulations
Net Asset Value of any Fund represents the price per share. UCITS funds require the NAV to be calculated daily.
— GET IN TOUCH
Need more information about Merill Funds?
Our team is happy to answer all the queries. It is a simple and clear process to begin investing in the locally regulated Merill funds.