CS INVESTMENT FUNDS 2 «...678910...» Page 9 out of 11 from 01/07/1988 to 14/10/2024 The price-sensitive information presented in other languages is a literal translation of the price-sensitive information stated in Spanish 10/02/2012 07:00 CS INVESTMENT FUNDS 2 NAV and number of investors of foreign CIS La entidad comunica número de accionistas y patrimonio Register number: 157707 02/12/2011 10:29 CS INVESTMENT FUNDS 2 Other price sensitive information regarding CIS Revisión y modificación del Folleto Register number: 154214 10/06/2011 11:58 CS INVESTMENT FUNDS 2 Other price sensitive information regarding CIS Información sobre cuotas de liquidación de Credit Suisse SICAV One (Lux) Global Tactical Asset Allocation (GTAA) VaR 10% Register number: 145467 19/05/2011 11:51 CS INVESTMENT FUNDS 2 Other price sensitive information regarding CIS Liquidación subfondo Credit Suisse SICAV One (Lux) Global Tactical Asset Allocation (GTAA) VaR 10% Register number: 144156 26/04/2011 13:49 CS INVESTMENT FUNDS 2 Other price sensitive information regarding CIS Modificaciones relativas a diversos compartimentos Register number: 142789 05/04/2011 16:49 CS INVESTMENT FUNDS 2 Other price sensitive information regarding CIS Tipos de cambio de las acciones del subfondo transferido Credit Suisse SICAV One (Lux) Equity Middle East & North Africa Register number: 141803 25/03/2011 10:25 CS INVESTMENT FUNDS 2 Other price sensitive information regarding CIS Liquidación compartimentos: Credit Suisse SICAV One (Lux) IndexSelection Balanced (US$), Credit Suisse SICAV One (Lux) IndexSelection Capital Gains Oriented (US$) y Credit Suisse SICAV One (Lux) IndexSelection Income Oriented (US$) Register number: 140703 07/03/2011 14:50 CS INVESTMENT FUNDS 2 Other price sensitive information regarding CIS Posposición de la fusión prevista entre Credit Suisse SICAV One (Lux) Equity Middle East & North Africa y Credit Suisse SICAV One (Lux) Equity Global Emerging Markets Register number: 139809 01/03/2011 13:31 CS INVESTMENT FUNDS 2 Other price sensitive information regarding CIS Liquidación compartimentos: Credit Suisse SICAV One (Lux) IndexSelection Balanced (US$), Credit Suisse SICAV One (Lux) IndexSelection Capital Gains Oriented (US$) y Credit Suisse SICAV One (Lux) IndexSelection Income Oriented (US$) Register number: 139424 03/02/2011 00:00 CS INVESTMENT FUNDS 2 NAV and number of investors of foreign CIS La entidad comunica número de accionistas y patrimonio Register number: 137697 Page 9 out of 11 «...678910...»