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        EUR, 18/09/2009-19/09/2014
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        In accordance with the regulation in force, no information is available on performances for unit /share classes launched within the previous 12 months.
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        Source: Pictet Funds S.A.
         
         
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                    Source: Pictet Funds S.A.
                     
                    Austria 30/06/2006
                    Belgium 12/09/2006
                    Chile 05/11/2013
                    Cyprus 04/07/2011
                    Finland 28/06/2006
                    France 13/06/2006
                    Germany 30/06/2006
                    Great Britain 28/06/2006
                    Greece 17/01/2008
                    Italy 05/11/2007
                    Liechtenstein 28/06/2006
                    Luxembourg 15/06/2006
                    Netherlands 30/06/2006
                    Portugal 11/07/2006
                    Singapore 04/07/2006
                    Spain 14/07/2006
                    Sweden 29/06/2006
                    Switzerland 30/06/2006
                     
                    EUR, 19/09/2014
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                    In accordance with the regulation in force, no information is available on performances for unit /share classes launched within the previous 12 months.
                     CumulativeAnnualised
                    Period Fund Index* Fund Index*
                    YTD 6.36% 7.10% - -
                    1 month 1.83% 1.84% - -
                    3 months 4.42% 4.20% - -
                    6 months 17.92% 16.77% - -
                    1 year 7.14% 7.58% 7.14% 7.58%
                    3 years 41.09% 40.24% 12.16% 11.93%
                    5 years 60.09% 51.26% 9.87% 8.63%
                    Since inception 0.54% 9.74% 0.07% 1.13%
                    • *Current Index: Topix (Yen)
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                    Source: Pictet Funds S.A.
                     
                    At 21/09/2014
                    The sub-fund invests at least two-thirds of its total assets in the shares of companies whose main business and/or registered office is in Japan. The sub-fund seeks to grow the capital invested by optimising the alpha-generating potential with a 130/30 management approach, i.e. by combining a long strategy on 130% of total assets with a short strategy on 30%. Net exposure is maintained at 100%.
                    Source: Pictet Funds S.A.
                     
                    At 21/09/2014
                    Adrian Hickey
                    • Regional Equities
                    • Pictet Asset Management, London
                    • At Pictet since 2006
                    • 22 years of experience
                    Sam Perry
                    • Global Equities
                    • Pictet Asset Management, London
                    • At Pictet since 1997
                    • 17 years of experience
                    Serena Robinson
                    • Regional Equities
                    • Pictet Asset Management, London
                    • At Pictet since 2000
                    • 15 years of experience
                    Takeshi Suzuki
                    • Pictet Asset Management (Japan)
                    • Pictet Asset Management, Tokyo
                    • At Pictet since 2001
                    • 17 years of experience
                    Go Shiina
                    • Pictet Asset Management, Tokyo
                    • At Pictet since 2009
                    • 17 years of experience
                     
                    At 21/09/2014
                    TER 2.06% - As at end of August 2014
                    Management fee 1.7%
                    Custody fees 0.02%
                    Administration fees 0.28%
                    Source: Pictet Funds S.A.
                     
                    ISIN LU0255979584
                    Telekurs 002565006
                    Bloomberg PFJPEQY LX
                    CUSIP L7598Q342
                    Euroclear France LU0255979584
                    Lipper 65033202
                    SEDOL B61H1Z3
                    WKN A0J4DJ
                     
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                          EN
                          06/08/2014
                           
                          Fund summary
                          At
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                          NAVEUR 52.19
                          0.83%
                          Since previous NAV
                          Fund sizeEUR 1,229 mio
                          Risk level
                          Lower riskHigher risk
                          Typically lower rewardsTypically higher rewards