UCITS KIIDs and PRIIPs KIDs

Please use the table below to view our UCITS Funds investor and product key documents.

 

Fund

Share Class

Document

Language

ISIN

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By viewing the documents on this page, you confirm and accept that you are an institutional client and are acting on behalf of your client as their authorised adviser or are seeking information as a representative of an institution and that you have read and understood the terms on which the information is being provided.

The information in this section of the website is for information purposes only and does not constitute a recommendation or investment advice to buy or sell securities.

Some Brown Advisory strategies may meet your needs and objectives more effectively than those referred to in this section of the website. For more information, please contact us directly. For more information on U.S. strategies, please see U.S. Investment Capabilities.

This section of the website contains information about the funds of Brown Advisory Funds plc (the “Company” or the “Funds”). The Company is an investment company with variable capital authorised in Ireland as an undertaking for collective investment in transferable securities (“UCITS”). Information in relation to the Funds is provided in the United Kingdom by Brown Advisory Limited, which is authorised and regulated by the Financial Conduct Authority of the United Kingdom. The Funds are all recognised schemes under s.264 of the Financial Services and Markets Act 2000. In the United Kingdom, any information contained in this section of the website that relates to the Funds is communicated only to, and/or directed only at persons who fall within the definitions of “professional client” or “eligible counterparty” as set out in the FCA Handbook of Rules and Guidance. In the United Kingdom, the opportunity to invest in the Funds is only available to such persons and no other person should act or rely on the information contained in this section of the website that relates to the Funds.

The contents of this section of the website have not been prepared for the benefit of investors outside the United Kingdom. They are not directed at any person or entity in the United States, nor are they intended for distribution or to be used by any person or entity in the United States. In some countries, the distribution of information in this section of the website may be restricted: it is your responsibility to find out what those restrictions are and to observe them. Brown Advisory cannot be liable for a breach of such restrictions. Non-UK investors should consider their local regulations before considering investment.

Any subscription to shares in the Funds can only take place under the terms of the Company’s Prospectus which may differ from the terms set out in this section of the website.