Legal terms and conditions
1 Protection is explicitly guaranteed by Amundi (Fitch Rating: A+) and is provided for an initial period of five years (from 05/21/21 to 05/21/26 for Sabadell Consolida 94, FI, and from 01/ 04/22 to 04/01/27 for Sabadell Consolida 90, FI and Sabadell Consolida 85, FI), with possible subsequent renewals for periods of one year.
The summary risk indicator is a guide to the risk level of the product compared to other products. It shows how likely it is that the product will lose money because of movements in the markets or because we are not able to pay you. Products are ranked on a scale from 1 to 7, where 1 means the lowest risk and 7 means the highest risk. For a more complete description of the risks or the investment policy of the individual funds, please refer to the respective Key Information Documents (KIDs). Before making any investment decision, it is recommended to consult the prospectus for each investment fund.
The funds are registered with the Spanish Securities Market Commission (CNMV). Sabadell Consolida 94, FI; Sabadell Consolida 90, Fl; and Sabadell Consolida 85, FI are registered with the Spanish Securities Market Commission (CNMV in its Spanish initials) under numbers 5530, 5608, and 5607, respectively. The prospectus, the Key Information Document (KID) for investors and the periodic reports are available to the public at the sales branches and at www.sabadellassetmanagement.com. They are NON-COMPLEX MiFID products. Although there is a guarantee, there are clauses that set out conditions as to its effectiveness, which can be referred to in its respective prospectus. Sabadell Inversión Ética y Solidaria, FI is registered with the CNMV under number 2,871.
The guarantor is Amundi, S.A., the management company is Sabadell Asset Management, S.A., S.G.I.I.C. S.U, with CNMV Registry no. 58, and the depository entity is BNP Paribas S.A., Spain Branch, with CNMV Registry no. 240.