AVIS AUX PORTS/ACTIONNAIRES Paris, le 18/01/2018 Chère Madame, cher Monsieur, La Société de Gestion a décidé de modifier la dénomination des OPCVM comme cela est précisé dans le tableau ci-après. Ces modifications seront reflétées dans le Prospectus et le Document d Informations Clés pour l Investisseur des OPCM concernés aux dates indiquées dans la colonne «date d effet». OPCVM Concerné Nom de l OPCVM à partir de la date d effet Code ISIN Date d effet LYXOR CAC 40 (DR) UCITS - D- Lyxor CAC 40 (DR) UCITS - Dist FR0007052782 22/01/2018 LYXOR EASTERN OPE (CECE NTR ) UCITS - C- LYXOR EASTERN OPE (CECE NTR ) UCITS - D- LYXOR DOW JONES INDUSTRIAL AVERAGE UCITS - D- LYXOR FTSE ATHEX LARGE CAP UCITS Lyxor Eastern Europe (CECE NTR ) UCITS - FR0010204073 22/01/2018 Lyxor Eastern Europe (CECE NTR ) UCITS - Dist FR0011656198 22/01/2018 Lyxor Dow Jones Industrial Average UCITS - Dist FR0007056841 22/01/2018 Lyxor FTSE Athex Large Cap UCITS - Dist FR0010405431 22/01/2018 LYXOR DAILY SHORTDAX X2 UCITS - C- Lyxor Daily ShortDAX x2 UCITS - FR0010869495 22/01/2018 LYXOR O CORPORATE BOND UCITS - C- Lyxor Euro Corporate Bond UCITS - c FR0010737544 22/01/2018 LYXOR O CASH UCITS Lyxor Euro Cash UCITS - FR0010510800 22/01/2018 LYXOR O CORPORATE BOND EX FINANCIALS - C- UCITS Lyxor Euro Corporate Bond Ex Financials UCITS - FR0010814236 22/01/2018 LYXOR FTSE MIB UCITS LYXOR HONG KONG (HSI) UCITS - D- LYXOR FTSE EPRA/NAREIT Developed Europe UCITS - D- Lyxor FTSE MIB UCITS - Dist Lyxor Hong Kong (HSI) UCITS - Dist Lyxor FTSE EPRA/NAREIT Developed Europe UCITS - Dist FR0010010827 24/01/2018 FR0010361675 24/01/2018 FR0010833558 24/01/2018 LYXOR IBEX 35 DOBLE APALANCADO DIARIO UCITS - C- Lyxor IBEX 35 Doble Apalancado Diario UCITS - FR0011042753 24/01/2018 LYXOR IBEX 35 DOBLE INVERSO DIARIO UCITS Lyxor IBEX 35 Doble Inverso Diario UCITS - FR0011036268 24/01/2018 LYXOR IBEX 35 INVERSO DIARIO UCITS Lyxor IBEX 35 Inverso Diario UCITS - FR0010762492 24/01/2018 LYXOR MSCI WORLD UCITS - D- Lyxor MSCI World UCITS - Dist FR0010315770 26/01/2018 LYXOR MSCI WORLD UCITS - MONTHLY HEDGED D- Lyxor MSCI World UCITS - Monthly Hedged to - Dist FR0011660927 26/01/2018
LYXOR MSCI WORLD UCITS - MONTHLY HEDGED D-USD LYXOR MSCI AC ASIA PACIFIC EX JAPAN UCITS - C- LYXOR MSCI AC Asia Ex Japan UCITS - C- LYXOR MSCI EM LATIN AMERICA UCITS - C- Lyxor MSCI World UCITS - Monthly Hedged to USD - Dist FR0011669845 26/01/2018 Lyxor MSCI AC Asia Pacific Ex Japan UCITS - FR0010312124 26/01/2018 Lyxor MSCI AC Asia Ex Japan UCITS - FR0010652867 26/01/2018 Lyxor MSCI EM Latin America UCITS - FR0010410266 26/01/2018 LYXOR NEW ENERGY UCITS - D- LYXOR MSCI TAIWAN UCITS - C- Lyxor New Energy UCITS - Dist Lyxor MSCI Taiwan UCITS - FR0010524777 26/01/2018 FR0010444786 26/01/2018 LYXOR DAILY SHORT CAC 40 UCITS Lyxor CAC 40 Daily (-1x) Inverse UCITS - FR0010591362 26/01/2018 LYXOR DAILY LEVERAGE CAC 40 UCITS Lyxor CAC 40 Daily (2x) Leveraged UCITS - FR0010592014 26/01/2018 LYXOR O STOXX 50 DAILY DOUBLE SHORT UCITS Lyxor O STOXX 50 Daily (-2x) Inverse UCITS - FR0010424143 26/01/2018 LYXOR O STOXX 50 DAILY LEVERAGE UCITS Lyxor O STOXX 50 Daily (2x) Leveraged UCITS - FR0010468983 26/01/2018 LYXOR O STOXX 50 DAILY SHORT UCITS LYXOR FTSE MIB DAILY SHORT (Bear) UCITS LYXOR FTSE MIB DAILY DOUBLE SHORT (Xbear) UCITS LYXOR FTSE MIB DAILY LEVERAGED UCITS Lyxor O STOXX 50 Daily (-1x) Inverse UCITS - FR0010424135 26/01/2018 Lyxor FTSE MIB Daily (-1x) Inverse (Bear) UCITS - FR0010446146 26/01/2018 Lyxor FTSE MIB Daily (-2x) Inverse (Xbear) UCITS - FR0010446666 26/01/2018 Lyxor FTSE MIB Daily (2x) Leveraged UCITS - Dist FR0010446658 26/01/2018 LYXOR NASDAQ-100 DAILY LEVERAGE UCITS Lyxor NASDAQ-100 Daily Leverage UCITS - FR0010342592 26/01/2018 LYXOR DAILY DOUBLE SHORT SMI UCITS - C-CHF Lyxor SMI Daily (-2x) Inverse UCITS - FR0010869438 26/01/2018 LYXOR DAILY LEVERAGED SMI UCITS - C-CHF Lyxor SMI Daily (2x) Leveraged UCITS - FR0010908426 26/01/2018 LYXOR JAPAN (TOPIX) (DR) UCITS - DAILY HEDGED D- LYXOR MSCI MALAYSIA UCITS - C- Lyxor Japan (TOPIX) (DR) UCITS - Daily Hedged to - Dist Lyxor MSCI Malaysia UCITS - FR0011475078 26/01/2018 FR0010397554 26/01/2018 LYXOR DAILY DOUBLE SHORT BUND UCITS LYXOR PEA DOW JONES INDUSTRIAL AVERAGE UCITS - C- LYXOR PEA CHINA ENTERPRISE (HSCEI) UCITS - C- LYXOR PEA BRAZIL (IBOVESPA) UCITS - C- LYXOR STOXX OPE 600 BANKS UCITS LYXOR RUSSIA (Dow Jones Russia GDR) UCITS - C- LYXOR RUSSIA (Dow Jones Russia GDR) UCITS - D-GBP LYXOR STOXX OPE 600 HEALTHCARE UCITS Lyxor Bund Daily (-2x) Inverse UCITS - FR0010869578 26/01/2018 Lyxor PEA Dow Jones Industrial Average UCITS - FR0011869270 26/01/2018 Lyxor PEA Chine (HSCEI) UCITS - FR0011871078 26/01/2018 Lyxor PEA Brésil (Ibovespa) UCITS - FR0011869205 26/01/2018 Lyxor STOXX Europe 600 Banks UCITS - FR0010345371 29/01/2018 Lyxor Russia (Dow Jones Russia GDR) UCITS - FR0010326140 29/01/2018 Lyxor Russia (Dow Jones Russia GDR) UCITS - Dist FR0011495944 29/01/2018 Lyxor STOXX Europe 600 Healthcare UCITS - FR0010344879 29/01/2018 LYXOR STOXX OPE 600 FOOD & BEVERAGE UCITS LYXOR STOXX OPE 600 INDUSTRIAL GOODS & SERVICES UCITS Lyxor STOXX Europe 600 FOOD & BEVERAGE UCITS - Lyxor STOXX Europe 600 Industrial Goods & Services UCITS - FR0010344861 29/01/2018 FR0010344887 29/01/2018
LYXOR STOXX OPE 600 AUTOMOBILES & PARTS UCITS LYXOR STOXX OPE 600 CONSTRUCTION & MATERIALS UCITS Lyxor STOXX Europe 600 Automobiles & Parts UCITS - Lyxor STOXX Europe 600 Construction & Materials UCITS - FR0010344630 29/01/2018 FR0010345504 29/01/2018 LYXOR SOUTH AFRICA (FTSE JSE TOP 40) UCITS - C- LYXOR STOXX OPE 600 FINANCIAL SERVICES UCITS Lyxor South Africa (FTSE JSE TOP 40) UCITS - FR0010464446 29/01/2018 Lyxor STOXX Europe 600 Financial Services UCITS - FR0010345363 29/01/2018 LYXOR PRIVEX UCITS - D- Lyxor PRIVEX UCITS - Dist FR0010407197 29/01/2018 LYXOR STOXX OPE 600 CHEMICALS UCITS Lyxor STOXX Europe 600 Chemicals UCITS - FR0010345470 29/01/2018 LYXOR PEA RUSSIA (DOW JONES RUSSIA GDR) UCITS - C- LYXOR PEA MSCI EMERGING MARKETS UCITS - C- Lyxor PEA Russie (Dow Jones Russia GDR) UCITS - Lyxor PEA Emergents (MSCI Emerging Markets) UCITS - FR0011869387 29/01/2018 FR0011440478 29/01/2018 LYXOR PEA NASDAQ-100 UCITS - C- Lyxor PEA NASDAQ-100 UCITS - FR0011871110 29/01/2018 LYXOR PEA SOUTH AFRICA (FTSE JSE TOP 40) UCITS - C- Lyxor PEA Afrique du Sud (FTSE JSE TOP 40) UCITS - FR0011871144 29/01/2018 LYXOR PEA MSCI KOREA UCITS - C- LYXOR PEA MSCI INDIA UCITS - C- Lyxor PEA Corée (MSCI Korea) UCITS - FR0011869338 29/01/2018 Lyxor PEA Inde (MSCI India) UCITS - FR0011869320 29/01/2018 LYXOR PEA MSCI AC ASIA PACIFIC EX JAPAN UCITS - C- LYXOR PEA S&P 500 UCITS - C- Lyxor PEA Asie Pacique (MSCI AC Asia Pacific Ex UCITS - Lyxor PEA S&P 500 UCITS - Japan) FR0011869312 29/01/2018 FR0011871128 29/01/2018 LYXOR PEA MSCI USA UCITS - C- LYXOR PEA MSCI WORLD UCITS - C- LYXOR PEA JAPAN (TOPIX) UCITS - C- Lyxor PEA Amérique (MSCI USA) UCITS - FR0011869346 29/01/2018 Lyxor PEA Monde (MSCI World) UCITS - FR0011869353 29/01/2018 Lyxor PEA Japon (TOPIX) UCITS - FR0011871102 29/01/2018 LYXOR PEA JAPAN (TOPIX) UCITS - Daily Hedged C- Lyxor PEA Japon (TOPIX) UCITS - Couverte en - FR0011884121 29/01/2018 LYXOR PEA TURKEY (DJ TURKEY TITANS 20) UCITS - C- LYXOR PEA WORLD WATER UCITS - C- Lyxor PEA Turquie (DJ Turkey Titans 20) UCITS - FR0011869395 29/01/2018 Lyxor PEA Eau (World Water) UCITS - FR0011882364 29/01/2018 LYXOR PEA FTSE EPRA/NAREIT Developed Europe - C- LYXOR PEA EASTERN OPE (CECE NTR ) UCITS - C- LYXOR PEA NEW ENERGY UCITS - C- UCITS Lyxor PEA Immobilier Europe (FTSE EPRA/NAREIT) UCITS - Lyxor PEA Europe de l'est (CECE NTR ) UCITS - Lyxor PEA Nouvelles Energies (New Energy) UCITS - FR0011869304 29/01/2018 FR0011871086 29/01/2018 FR0011869379 29/01/2018 LYXOR PEA HONG KONG (HSI) UCITS - C- Lyxor PEA Hong Kong (HSI) UCITS - FR0011871094 29/01/2018 Lyxor Commodities Thomson Reuters/CoreCommodity CRB EX- Energy TR UCITS - C- Lyxor Commodities Thomson Reuters/CoreCommodity CRB EX-Energy TR UCITS - FR0010346205 31/01/2018
Lyxor O STOXX 50 (DR) UCITS - D- Lyxor O STOXX 50 (DR) UCITS - Dist FR0007054358 31/01/2018 Lyxor O STOXX 50 (DR) UCITS - Daily Hedged C-USD Lyxor O STOXX 50 (DR) UCITS - Daily Hedged C-GBP Lyxor O STOXX 50 (DR) UCITS - Daily Hedged C-CHF LYXOR WORLD WATER UCITS - D- Lyxor O STOXX 50 (DR) UCITS - Daily Hedged to USD - Lyxor O STOXX 50 (DR) UCITS - Daily Hedged to GBP - Lyxor O STOXX 50 (DR) UCITS - Daily Hedged to CHF - Lyxor World Water UCITS - Dist FR0012399806 31/01/2018 FR0012399772 31/01/2018 FR0012399731 31/01/2018 FR0010527275 31/01/2018 Lyxor China Enterprise (HSCEI) UCITS - C- Lyxor China Enterprise (HSCEI) UCITS - FR0010204081 31/01/2018 Lyxor Brazil (IBOVESPA) UCITS - C- Lyxor Brazil (Ibovespa) UCITS - FR0010408799 31/01/2018 LYXOR STOXX OPE SELECT DIVIDEND 30 UCITS Lyxor STOXX OPE 600 BASIC RESOURCES UCITS LYXOR STOXX OPE 600 OIL & GAS UCITS Lyxor STOXX Europe Select Dividend 30 UCITS - Dist FR0010378604 31/01/2018 Lyxor STOXX Europe 600 Basic Resources UCITS - FR0010345389 31/01/2018 Lyxor STOXX Europe 600 Oil & Gas UCITS - FR0010344960 31/01/2018 LYXOR STOXX OPE 600 TELECOMMUNICATIONS UCITS Lyxor CAC MID 60 UCITS - D- Lyxor STOXX Europe 600 Telecommunications UCITS - Lyxor CAC MID 60 UCITS - Dist FR0010344812 31/01/2018 FR0011041334 31/01/2018 LYXOR Turkey (DJ Turkey TITANS 20) UCITS LYXOR STOXX OPE 600 INSURANCE UCITS LYXOR STOXX OPE 600 TECHNOLOGY UCITS Lyxor Turkey (DJ Turkey TITANS 20) UCITS - FR0010326256 31/01/2018 Lyxor STOXX Europe 600 Insurance UCITS - FR0010344903 31/01/2018 Lyxor STOXX Europe 600 Technology UCITS - FR0010344796 31/01/2018 LYXOR STOXX OPE 600 UTILITIES UCITS Lyxor STOXX Europe 600 Utilities UCITS - FR0010344853 31/01/2018 LYXOR STOXX OPE 600 RETAIL UCITS Lyxor STOXX Europe 600 Retail UCITS - FR0010344986 31/01/2018 LYXOR STOXX OPE 600 PERSONAL & HOUSEHOLD GOODS UCITS Lyxor STOXX Europe 600 Personal & Household Goods UCITS - FR0010344978 31/01/2018 LYXOR STOXX OPE 600 MEDIA UCITS LYXOR STOXX OPE 600 TRAVEL & LEISURE UCITS Lyxor CAC 40 Daily Double Short UCITS Lyxor STOXX Europe 600 Media UCITS - FR0010344929 31/01/2018 Lyxor STOXX Europe 600 Travel & Leisure UCITS - FR0010344838 31/01/2018 Lyxor CAC 40 Daily (-2x) Inverse UCITS - FR0010411884 31/01/2018 Lyxor Commodities Thomson Reuters/CoreCommodity CRB TR UCITS - C- LYXOR MSCI OPE UCITS - D- LYXOR MSCI USA UCITS - D- LYXOR MSCI USA UCITS - C- LYXOR IBEX35 (DR) UCITS - D- Lyxor Commodities Thomson Reuters/CoreCommodity CRB TR UCITS - Lyxor MSCI Europe UCITS - Dist Lyxor MSCI USA UCITS - Dist Lyxor MSCI USA UCITS - Lyxor IBEX 35 (DR) UCITS - Dist FR0010270033 02/02/2018 FR0010261198 02/02/2018 FR0010296061 02/02/2018 FR0011363423 02/02/2018 FR0010251744 02/02/2018 LYXOR RUSSELL 1000 GROWTH UCITS - C-USD LYXOR RUSSELL 1000 GROWTH UCITS - D-USD Lyxor Russell 1000 Growth UCITS - c FR0011119171 02/02/2018 Lyxor Russell 1000 Growth UCITS - Dist FR0011119155 02/02/2018
LYXOR RUSSELL 1000 VALUE UCITS - C-USD Lyxor PEA PME (DR) UCITS - D- LYXOR RUSSELL 2000 UCITS - C-USD Lyxor Russell 1000 Value UCITS - Lyxor PEA PME (DR) UCITS - Dist Lyxor Russell 2000 UCITS - FR0011119205 02/02/2018 FR0011770775 02/02/2018 FR0011119254 02/02/2018 Lyxor O STOXX Banks (DR) UCITS - C- Lyxor O STOXX Banks (DR) UCITS - FR0011645647 05/02/2018 Lyxor FTSE Italia Mid Cap PIR (DR) UCITS - C- Lyxor FTSE Italia Mid Cap PIR (DR) UCITS - FR0011758085 05/02/2018 LYXOR GERMAN MID-CAP MDAX UCITS - D- Lyxor MSCI World Ex EMU UCITS - C-USD LYXOR FORTUNE SG MSCI CHINA A (DR) UCITS - C-USD Lyxor German Mid-Cap MDAX UCITS - Dist FR0011857234 05/02/2018 Lyxor MSCI World Ex EMU UCITS - c FR0013209921 05/02/2018 Lyxor Fortune SG MSCI China A (DR) UCITS - FR0011720911 05/02/2018 LYXOR BEL 20 TR (DR) UCITS LYXOR MSCI SELECT OECD EMERGING MARKETS GDP UCITS - C- LYXOR MSCI INDONESIA UCITS - C- Lyxor BEL 20 TR (DR) UCITS - Dist Lyxor MSCI Select OECD Emerging Markets GDP UCITS - Lyxor MSCI Indonesia UCITS - FR0000021842 05/02/2018 FR0011645605 05/02/2018 FR0011067511 05/02/2018 LYXOR THAILAND (SET50 NET TR) UCITS - C- Lyxor Thailand (SET50 NET TR) UCITS - FR0011067529 05/02/2018 LYXOR BARCLAYS FLOATING RATE O 0-7Y UCITS - C- Lyxor Barclays Floating Rate Euro 0-7Y UCITS - FR0012386696 05/02/2018 Lyxor BofAML High Yield Ex-Financial Bond UCITS Lyxor BofAML High Yield Ex-Financial Bond UCITS - Dist FR0010975771 05/02/2018 LYXOR IBOXX $ TREASURIES 10Y+ (DR) UCITS - D-USD Lyxor iboxx $ Treasuries 10Y+ (DR) UCITS - Dist FR0010961003 05/02/2018 LYXOR IBOXX $ TREASURIES 10Y+ (DR) UCITS - MONTHLY HEDGED D- Lyxor iboxx $ Treasuries 10Y+ (DR) UCITS - Monthly Hedged to - Dist FR0013217718 05/02/2018 LYXOR IBOXX GERMANY 1-3Y (DR) UCITS - C- Lyxor iboxx Germany 1-3Y (DR) UCITS - FR0012283398 05/02/2018 LYXOR OMTS HIGHEST RATED MACRO-WEIGHTED GOVT BOND 3-5Y (DR) UCITS - LYXOR BONO 10Y - MTS SPAIN GOVERNMENT BOND (DR) UCITS - C- LYXOR OMTS HIGHEST RATED MACRO-WEIGHTED GOVT BOND 1-3Y (DR) UCITS - LYXOR OMTS HIGHEST RATED MACRO-WEIGHTED GOVT BOND 5-7Y (DR) UCITS - Lyxor EuroMTS Highest Rated Macro-Weighted Govt Bond 3-5Y (DR) UCITS - Lyxor Bono 10Y - MTS Spain Government Bond (DR) UCITS - Lyxor EuroMTS Highest Rated Macro-Weighted Govt Bond 1-3Y (DR) UCITS - Lyxor EuroMTS Highest Rated Macro-Weighted Govt Bond 5-7Y (DR) UCITS - FR0011146349 05/02/2018 FR0011384148 05/02/2018 FR0011146315 05/02/2018 FR0011146356 05/02/2018 LYXOR DAILY DOUBLE SHORT 10Y US TREASURY - C-USD LYXOR DAILY DOUBLE SHORT BTP UCITS LYXOR DAILY LEVERAGED BTP UCITS - UCITS Lyxor 10Y US Treasury Daily (-2x) Inverse UCITS - FR0011607084 05/02/2018 Lyxor BTP Daily (-2x) Inverse UCITS - FR0011023621 05/02/2018 Lyxor BTP Daily (2x) Leveraged UCITS - FR0011023639 05/02/2018 LYXOR DAILY LEVERAGED BUND UCITS - Lyxor Bund Daily (2x) Leveraged UCITS - FR0011023654 05/02/2018 LYXOR MSCI EM LATIN AMERICA PEA UCITS - C- Lyxor PEA Amerique Latine (MSCI EM Latin America) UCITS - FR0011551019 05/02/2018
Tous les OPCVM visés ci-dessus conservent l ensemble de leurs autres caractéristiques, notamment leurs codes de négociation et leurs frais de gestion. Les Prospectus et Documents d Informations Clés pour l Investisseur des OPCVM visés ci-dessus sont consultables sur le site de l AMF www.amf-france.org ou disponibles sur le site www.lyxoretf.com ou sur demande à l adresse : client-services-etf@lyxor.com. Votre conseiller se tient à votre disposition pour vous fournir toute information complémentaire. Vous remerciant pour votre confiance et votre fidélité, nous vous prions de bien vouloir agréer, chère Madame, cher Monsieur, l expression de nos salutations distinguées. La Société de Gestion