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        EUR, 09/02/2007-02/02/2012
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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 09/08/2002
                          Belgium 27/10/2003
                          Cyprus 04/07/2011
                          Finland 16/08/2002
                          France 04/10/2002
                          Germany 15/10/2002
                          Great Britain 07/08/2002
                          Greece 17/01/2008
                          Hong Kong 28/12/2007
                          Italy 27/09/2002
                          Liechtenstein 10/10/2002
                          Luxembourg 14/12/1998
                          Macao 25/07/2008
                          Netherlands 11/09/2002
                          Portugal 10/11/2003
                          Singapore 21/04/2005
                          Spain 19/09/2002
                          Sweden 27/09/2002
                          Switzerland 28/08/2002
                          Taiwan 31/07/2007
                           
                          EUR, 02/02/2012
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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 Benchm.* Fund Benchm.*
                          YTD 9.74% 7.21% - -
                          1 month 9.74% 7.21% - -
                          3 months 6.43% 12.63% - -
                          6 months 0.40% 10.10% - -
                          1 year 6.45% 6.66% 6.45% 6.66%
                          3 years 137.37% 94.04% 33.40% 24.73%
                          5 years 15.87% -2.46% 2.99% -0.50%
                          Since inception 62.45% 24.11% 7.55% 3.29%
                          • *Current benchmark: MSCI World Consumer Discretionary
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                          Source: Pictet Funds S.A.
                           
                          At 05/02/2012
                          The sub-fund seeks capital growth by investing at least two-thirds of its total assets in the shares of companies in the premium brands sector providing high-quality services and products. The investment universe will not be restricted to any particular region.
                          Source: Pictet Funds S.A.
                           
                          At 05/02/2012
                          Caroline Reyl
                          • Sector & Theme Funds
                          • Pictet Asset Management, Geneva
                          • At Pictet since 2002
                          • 17 years of experience
                          Laurent Belloni
                          • Sector & Theme Funds
                          • Pictet Asset Management, Geneva
                          • At Pictet since 2001
                          • 11 years of experience
                          Alice De Lamaze
                          • Sector & Theme Funds
                          • Pictet Asset Management, Geneva
                          • At Pictet since 2008
                          • 11 years of experience
                           
                          At 05/02/2012
                          TER 1.92%
                          Management fee 1.6%
                          Custody fees 0.03%
                          Administration fees 0.3%
                          Source: Pictet Funds S.A.
                           
                          ISIN LU0217139020
                          Telekurs 002119464
                          Bloomberg PPGPMBP LX
                          CUSIP L7579Y116
                          Euroclear France LU0217139020
                          Lipper 65004429
                          SEDOL B1YVDR3
                          WKN A0ET47
                           
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                                Context
                                Switzerland
                                 
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                                27/01/2012
                                 
                                Fund summary
                                At
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                                NAVEUR 95.73
                                0.39%
                                Since previous NAV
                                Fund size EUR 530 mio
                                Risk level
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                                Typically lower rewardsTypically higher rewards
                                 
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