SYNCHRONY (LU) FUNDS from 01/07/1988 to 22/11/2024 The price-sensitive information presented in other languages is a literal translation of the price-sensitive information stated in Spanish 21/08/2024 11:31 SYNCHRONY (LU) FUNDS Other price sensitive information regarding CIS Regulación del porcentaje del NAV en circulación tras la superación del 20% de los activos netos en liquidez. Register number: 309132 14/08/2024 11:40 SYNCHRONY (LU) FUNDS Other price sensitive information regarding CIS Superación de los limites de inversión del subfondo Synchrony (LU) High Dividend US Stocks Register number: 309117