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BNP Paribas InstiCash EUR
Federated Short-Term US Prime Fund
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Please read this page before proceeding, as it explains certain legal and regulatory restrictions, which apply to the information contained and investment products referred to within this Web site.

Permitted Investors  
    The Cash Funds International Web site (this “Web site”) is intended for non-U.S. residents and should not be accessed by any person resident in the United States. Shares in the CFI Funds have not been registered under the US Securities Act of 1933 (the “1933 Act”) and may not be directly or indirectly offered or sold in the US to or for the benefit of a US Person (as defined by Regulation S of the 1933 Act).

This Web site is only directed towards investors in countries where units of BNP Paribas Insticash EUR, Federated Short-Term U.S. Prime Fund, and Henderson Liquid Assets Fund, (each a “CFI Fund”, together the “CFI Funds”) have been lawfully registered for sale and must not be considered an offer for purchase or sale, or as solicitation for an offer of purchase, for investors outside of countries where the units may lawfully be sold. Please see the appropriate fund prospectus or contact us for more information or questions concerning the jurisdictions in which the funds are registered for public offer. Prior to any subscription for CFI Fund shares, investors should verify any legal constraints or restrictions there may be in their jurisdiction in connection with the subscription, possession, or sale of such fund shares.
 
       
About us  
    This Web site is created and maintained jointly by BNP Paribas Asset Management (BNPP AM), Henderson Global Investors (Henderson) and Federated Investors (UK) Ltd. (Federated). BNPP AM, Henderson and Federated are hereafter referred to as the “CFI Member Firms” or “us”. Henderson and Federated are each separately authorised and regulated in the UK by the Financial Services Authority. BNPP AM is authorised and regulated in France by the Autorité des Marchés Financiers (AMF).

BNPP AM is an investment manager registered with the AMF in France. BNP Paribas InstiCash EUR is a sub-fund of BNP Paribas InstiCash, an umbrella Sicav organised and authorised as an undertaking for collective investment in transferable securities (UCITS) in Luxembourg.

Federated is authorised and regulated in the conduct of its investment business by the Financial Services Authority. Federated International Funds plc (the “Federated Funds”) is an umbrella fund with segregated liability between sub-funds, established as an investment company with variable capital under the laws of Ireland and regulated pursuant to the European Communities (Undertakings for Collective Investment in Transferable Securities) Regulations 2003, as amended. The manager of the Federated Funds has voluntarily agreed to waive a portion of its management fee in order to limit fund expenses. Such waivers may be terminated at any time by the manager upon notice to the Federated Funds.

Henderson Global Investors is the name under which Henderson Global Investors Limited (registered no. 906355), Henderson Fund Management plc (registered no. 2607112), Henderson Administration Limited (registered no. 290577), Henderson Investment Funds Limited (registered no. 2678531), Henderson Investment Management Limited (registered no. 1795354) Henderson Alternative Investment Advisor Limited (registered no. 962757) and Henderson Equity Partners Limited (registered no.2606646) (each incorporated and registered in England and Wales with registered office at 4 Broadgate, London EC2M 2DA and authorised and regulated by the Financial Services Authority) provide investment products and services. All these companies are wholly owned subsidiaries of Henderson Group plc (incorporated and registered in England and Wales, registered no. 2072534, registered office 4 Broadgate, London EC2M 2DA).
 
       
CFI Funds  
    The current sales prospectus of each CFI Fund containing its terms and conditions of sale, together with the the current annual and/or semi-annual report of the such CFI Fund, is the only binding authority for the purchase of investment units in that CFI Fund. You may receive these documents at the appropriate CFI Member Firm’s web site: visit www.bnpparibas-am.com; http://fiml.federatedinvestors.com; or www.henderson.com.  
       
Disclaimers  
    The information contained on this Web site is produced for information purposes only and does not constitute an offer to buy or a solicitation to sell, nor shall it form the basis of or be relied upon in connection with any contract or commitment whatsoever or be taken as investment advice. Subscriptions will only be received and units/shares issued on the basis of a CFI Fund’s current prospectus. You should read each CFI Fund’s prospectus carefully and consult your own legal and tax advisors for additional information regarding the legal and tax implications of investing before investing in the fund. Other restrictions may apply.

Past performance is not a guide to future performance. Income (yield) may fluctuate in accordance with market conditions and taxation arrangements. Changes in exchange rates may have an adverse effect on the value price or income of the product, depending on an investor’s home currency. Although each Fund attempts to maintain a stable NAV, there is no guarantee it will be able to do so.
 
       

Our Liability

 
   

The following sections exclude or limit the legal liability of the CFI Member Firms for the Web site. You should read them carefully. They apply only as far as the law permits.

Although we believe that the information contained on this Web site is accurate, we do not guarantee its accuracy or currency. The information is provided on an "as is", "as available" basis and we do not give or make any warranty or representation of any kind, whether express or implied in relation to the same. The information on this Web site may be amended at any time.

Any market analyses or evaluations provided on this Web site are made as of the date stated therein and market conditions may change. These market analyses and evaluations may be changed at any time without notification and are only published for illustration purposes.

The CFI Funds, CFI Member Firms, and each of their affiliated companies do not accept any liability for any loss or damage arising out of or in connection with the use or contents of this Web site, whether in contract, tort or otherwise, or for any claims, awards, costs and expenses of whatsoever nature and howsoever arising.

 
       

Intellectual Property Rights

 
    All material contained on the Web site, including text and images and their arrangements, unless otherwise stated, is proprietary to the CFI Member Firms. All copyright and other intellectual property rights in the design and contents of the Web site are reserved to the CFI Member Firms.  
       

Your use of the Web site

 
   

Otherwise than as specifically set out, the information on this Web site must in no circumstances be copied, reproduced or redistributed in whole or in part.

You may download or print copies of some of the documentation contained on this web site for your own private use only, provided that you do not change any copyright, trademark or other proprietary notices.

You may not reverse engineer, decompile or disassemble the Web site or any of its contents.

 
       

E-mail communications

 
    Messages sent by e-mail via the Web site may not be secure. We recommend that you do not send any confidential information to us by e-mail. If you choose to send any confidential information to us via e-mail you do so at your own risk with the knowledge that a third party may intercept this information.  
       

External Links

 
    “Hyperlinks” from other unrelated web sites may be established to this Web site without the knowledge or consent of the CFI Member Firms. The CFI Member Firms and their affiliates have no control over the installation of such links and assume no liability for any statements, advice, contents or representations on web sites which contain hyperlinks to the Web site. The CFI Member Firms have not and will not review or update such information and caution you that any use made of such information is at your own risk.  
       
Interests in transactions  
    Our affiliates, officers and/or employees may have holdings in our investment products and may otherwise be interested in transactions that you effect in those products.  

For more complete information on each of the CFI Funds, including the CFI Funds’ simplified and full prospectuses, you may contact BNP Securities Services at +00 352 2696 2121.