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Refinitiv Lipper Fund Awards UK 2022

Credit Suisse Asset Management wins a Refinitiv Lipper Fund Award

March 25, 2022

Logo Refinitiv Lipper Fund Awards 2020

We are delighted to announce that the following fund managed by Credit Suisse Asset Management was recognized for outstanding performance at the Refinitiv Lipper Fund Awards 2022 for the United Kingdom.

Fund Award

Fund

Refinitiv Lipper Fund Awards UK 2022

Credit Suisse (Lux) Infrastructure Equity Fund B USD

Equity Theme Infrastructure: best fund over three years

The Refinitiv Lipper Fund Awards recognize funds and fund management firms that have excelled in providing strong risk-adjusted performance over three, five, or ten years relative to their peers. These awards underscore the superior and consistent performance of our investments, and are a testament to our understanding and knowledge of the market.

For more information about the award methodology, time frame, and the number of funds included in the analysis, please visit lipperfundawards.com.

Factsheets and further fund information can be found here.

Possible risks:

  • Potential loss: There is no capital protection for investors. They may receive back less than they invested.
  • Market risk: Market conditions can trigger fluctuations in total returns.
  • Exposure to emerging markets: Investments in emerging markets entail greater risks than investments in industrialized countries. These risks include a certain degree of political instability, relatively unpredictable financial markets still in the developmental stage, and dependence on the economic situation.
  • Liquidity risk: Some investments may entail liquidity risk.
  • Foreign currency risk: A given investment’s total value can be adversely affected by exchange rate fluctuations.
  • Company-specific risk: If an investee company becomes insolvent, investors may lose all of their invested capital.

 

The Refinitiv Lipper Fund Awards, granted annually, highlight funds and fund companies that have excelled in delivering consistently strong risk-adjusted performance relative to their peers. The Refinitiv Lipper Fund Awards are based on the Lipper Leader for Consistent Return rating, which is a risk-adjusted performance measure calculated over 36, 60 and 120 months. The fund with the highest Lipper Leader for Consistent Return (Effective Return) value in each eligible classification wins the Refinitiv Lipper Fund Award. For more information, see www.lipperfundawards.com. Although Refinitiv Lipper makes reasonable efforts to ensure the accuracy and reliability of the data contained herein, the accuracy is not guaranteed by Refinitiv Lipper.
Lipper Fund Awards, ©2022 Refinitiv. All rights reserved. Used under license.

Source: Credit Suisse, unless otherwise specified.
Unless noted otherwise, all illustrations in this document were produced by Credit Suisse Group AG and/or its affiliates with the greatest of care and to the best of its knowledge and belief.

This material constitutes marketing material of Credit Suisse Group AG and/or its affiliates (hereafter "CS"). This material does not constitute or form part of an offer or invitation to issue or sell, or of a solicitation of an offer to subscribe or buy, any securities or other financial instruments, or enter into any other financial transaction, nor does it constitute an inducement or incitement to participate in any product, offering or investment. Nothing in this material constitutes investment research or investment advice and may not be relied upon. It is not tailored to your individual circumstances, or otherwise constitutes a personal recommendation. The information and views expressed herein are those of CS at the time of writing and are subject to change at any time without notice. They are derived from sources believed to be reliable. CS provides no guarantee with regard to the content and completeness of the information and where legally possible does not accept any liability for losses that might arise from making use of the information. If nothing is indicated to the contrary, all figures are unaudited. The information provided herein is for the exclusive use of the recipient. The information provided in this material may change after the date of this material without notice and CS has no obligation to update the information. This material may contain information that is licensed and/or protected under intellectual property rights of the licensors and property right holders. Nothing in this material shall be construed to impose any liability on the licensors or property right holders. Unauthorised copying of the information of the licensors or property right holders is strictly prohibited. The full offering documentation including, the prospectus or offering memorandum, the Key Investor Information Document (KIID), the Key Information Document (KID) for Swiss products, the fund rules, as well as the annual and bi-annual reports ("Full offering documentation"), as the case may be, may be obtained free of charge in one of the languages listed below from the legal entity/entities indicated below or where available via FundSearch (credit-suisse.com/fundsearch). Information on your local distributors, representatives, information agent, paying agent, if any, and your local contacts in respect of the investment product(s) can be found below. The only legally binding terms of any investment product described in this material, including risk considerations, objectives, charges and expenses are set forth in the prospectus, offering memorandum, subscription documents, fund contract and/or any other fund governing documents. For a full description of the features of the products mentioned in this material as well as a full description of the opportunities, risks, and costs associated with the respective products, please refer to the relevant underlying securities prospectuses, sales prospectuses, or other additional product documents, which we will be pleased to provide to you at any time upon request. This material may not be forwarded or distributed to any other person and may not be reproduced. Any forwarding, distribution or reproduction is unauthorized and may result in a violation of the U.S. Securities Act of 1933, as amended (the “Securities Act”). The securities referred to herein have not been, and will not be, registered under the Securities Act, or the securities laws of any states of the United States and, subject to certain exceptions, the securities may not be offered, pledged, sold or otherwise transferred within the United States or to, or for the benefit or account of, U.S. persons. In addition, there may be conflicts of interest with regard to the investment. In connection with the provision of services, Credit Suisse AG and/or its affiliates may pay third parties or receive from third parties, as part of their fee or otherwise, a one-time or recurring fee (e.g., issuing commissions, placement commissions or trailer fees). Prospective investors should independently and carefully assess (with their tax, legal and financial advisers) the specific risks described in available materials, and applicable legal, regulatory, credit, tax and accounting consequences prior to making any investment decision. The alternative investment fund manager or the management company, as applicable, may decide to terminate local arrangements for the marketing of the shares/units of a fund, including terminating registrations or notifications with the local supervisory authority.
A summary of investor rights for investing in Luxembourg can be obtained via www.cssf.lu/en/consumer/, local laws relating to investor rights may apply.
Important information for investors in United Kingdom
This marketing material is distributed to professional clients by Credit Suisse Asset Management Ltd.

Copyright © 2022 CREDIT SUISSE GROUP AG and/or its affiliates. All rights reserved.

Distributor: Credit Suisse Asset Management Limited1, One Cabot Square, London E14 4QJ, United Kingdom I Language version available: English I Supervisor (Entity of Registration): Financial Conduct Authority (FCA), 12
1 Legal entity, from which the full offering documentation, the key investor information document (KIID), the fund rules, as well as the annual and bi-annual reports, if any, may be obtained free of charge.