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Investment product brochures

 

Key information documents of investment products

Definition of Key Information Document (KID):
In accordance with Regulation (EU) No 1286/2014 on Key Information Documents (KID) for Packaged Retail and Insurance-based Investment Products (PRIIPs), the key information document is a short document that contains the most important information related to a so-called packaged retail investment product or insurance-based investment product.
Packaged investment products (PRIIPs) may include complex investment products such as e.g. certificates, warrants, structured bonds, OTC derivatives, or unit-linked insurance contracts.

 

Key information documents for packaged investment products (PRIIPs KID)

For the key information document, please click on the name of the issuer of the packaged investment product (PRIIP) (in the case of foreign PRIIP relevant products, KIDs are available in the English language, in accordance with the governing laws):

Raiffeisen Bank Zrt.

Raiffeisen Centrobank

Barclays

BNP Paribas

CommerzBank

Citi Group

CIBC

Crédit Agricole

Credit Suisse

Deutsche Bank

Erste Group

Erste Bank Magyarország

Goldman Sachs

HandelsBanken

HSBC

Natixis

Nordea

Morgan Stanley

SEB

Société Générale

Unicredit Group

Uniqa Biztosító Zrt.

Vontobel

 

Key information documents of stock exchange derivatives

Budapest Stock Exchange (BSE)

Eurex Exchange

New York Mercantile Exchange, Chicago Board of Trade - CBOT, Chicago Mercantile Exchange - CME, GLOBEX, Commodity Exchange - COMEX

London International Financial Futures Exchange - Liffe

Intercontinental Exchange - ICE

London Metal Exchange - LME

 

Key Information Documents (PRIIPs KIDs) and other documents for investment funds

In accordance with Regulation (EU) No 1286/2014 on key information documents for packaged retail and insurance-based investment products (PRIIPs) and Section 130 of Act XVI of 2014 on collective investment forms and their managers, Key Information Documents (PRIIPs KIDs) prepared for publicly offered, open-ended investment funds have been available since 1 January 2023.

Please click on the name of the relevant investment fund manager to access the Key Information Document (KID) and other official documents relating to the selected fund. Where available, separate links are provided to documents in Hungarian (HU) and English (EN).

Raiffeisen Investment Fund Management (Raiffeisen Befektetési Alapkezelő Zrt.) (HU)

Raiffeisen Investment Fund Management (Raiffeisen Befektetési Alapkezelő Zrt.) (EN)

Raiffeisen Capital Management (RCM) (HU) ; (EN)

Accorde Alapkezelő Zrt. (HU)

AllianceBernstein (HU); (EN)

Allianz Global Investors (HU)

Allianz Global Investors (EN)

Amundi Alapkezelő Zrt. (HU)

Amundi Asset Management (HU)

Amundi Asset Management (EN)

APELSO Capital Befektetési Alapkezelő Zrt. (HU)

AXIOM Alapkezelő Zrt. (HU)

BlackRock (HU)

BlackRock (EN)

C-Quadrat ARTS (HU)

Equilor Alapkezelő Zrt. (HU)

Erste Asset Management GmbH (HU)

Erste Asset Management GmbH (EN)

Fidelity International (HU); (EN)

Franklin Templeton Investments Magyarország (HU)

Franklin Templeton Investments Magyarország (EN)

Generali Investments CEE Magyarországi Fióktelepe (HU)

Hold Alapkezelő Zrt. (HU)

Invesco (HU)

Invesco (EN)

J.P. Morgan Asset Management – Key Information Documents (KID) (HU)

J.P. Morgan Asset Management – other documents (EN)

MARKETPROG Asset Management Befektetési Alapkezelő Zrt. (HU)

MBH Alapkezelő Zrt. (HU)

OTP Alapkezelő Zrt. (HU)

Parvest (HU)

Parvest (EN)

Schroders (HU)

Schroders (EN)

VIG Befektetési Alapkezelő Magyarország Zrt. (HU)

VIG Befektetési Alapkezelő Magyarország Zrt. (EN)



Funds no longer available for subscription – redemption of existing holdings only

abrdn Investments (EN)

UBS Asset Management – former Credit Suisse funds (EN)