OMR ASI Global Ethical Equity

New Fund Name: OMR ASI Global Sustainable and Responsible Investment Equity

New Objective: The underlying fund aims to generate growth over the long term (5 years or more) by investing in global equities (company shares) which adhere to the ASI Sustainable and Responsible Investment Equity Approach and to achieve the return of the MSCI AC World Index plus 3% per annum over rolling three year periods (before charges).

OMR HSBC Gilt & Fixed Interest

Default Alternative Fund: OMR Schroder Gilt & Fixed Interest

OMR Premier Miton Multi-Asset Conservative Growth

Fund Merger: OMR Premier Miton Multi-Asset Conservative Growth

Receiving Fund: OMR Premier Miton Defensive Multi Asset

Date Merger effective from: 21/06/2021

Merging Fund Suspension effective from: 18/06/2021

OMR IFSL Sinfonia Balanced Managed Portfolio

New fund name: OMR VT Sinfonia Balanced Managed Portfolio

New ACD: Valu-Trac Investment Management Limited

Old ACD: Investment Fund Services Limited

New objective: The underlying fund aims to provide returns over the medium to long term (3 – 5 years) by a combination of both capital growth and income generation. The underlying fund will invest in a diversified portfolio of fixed interest securities and equities as well as warrants and money market instruments primarily (at least 70%) through investment in a portfolio of collective investment schemes (which may include those managed and/or advised by the Authorised Corporate director (VT) or Investment Manager). The underlying fund will typically be invested in a global portfolio of assets and may focus on UK and European assets.

Old objective: The underlying fund aims to provide medium to long term capital growth by investing in a diversified portfolio of fixed interest securities and equities, as well as warrants, and money market instruments, primarily through investment in a portfolio of collective investment schemes.

OMR IFSL Sinfonia Income & Growth Portfolio

New fund name: OMR VT Sinfonia Income & Growth Portfolio

New ACD: Valu-Trac Investment Management Limited

Old ACD: Investment Fund Services Limited

New TER: 1.67%

Old TER: 1.67%

New objective: The underlying fund aims to provide returns over the long term (5 years) by a combination of both capital growth and income generation. The underlying fund will invest in a diversified portfolio of equities as well as fixed interest securities, warrants and money market instruments primarily (at least 70%) through investment in a portfolio of collective investment schemes (which may include those managed and/or advised by the Authorised Corporate Director (VT) or Investment Manager). The underlying fund will typically be invested in a global portfolio of assets with a focus on UK assets.

Old objective: The underlying fund aims to provide income and capital growth for investors over the long term by investing in a diversified portfolio of equities as well as fixed interest securities, warrants and money market instruments primarily through investment in a portfolio of collective investment schemes.

OMR IFSL Sinfonia Income Portfolio

New fund name: OMR VT Sinfonia Income Portfolio

New ACD: Valu-Trac Investment Management Limited

Old ACD: Investment Fund Services Limited

New TER: 1.66%

Old TER: 1.83%

New objective: The underlying fund aims to provide returns over the long term (5 years) by a combination of both income generation as well as some capital growth. The underlying fund will invest in a diversified portfolio of equities, fixed interest securities, warrants and money market instruments primarily (at least 70%) through investment in a portfolio of collective investment schemes (which may include those managed and/or advised by the Authorised Corporate Director (VT) or Investment Manager). The underlying fund will typically be invested in a global portfolio of assets with a focus on UK assets.

Old objective: The underlying fund aims to provide regular income with some potential for capital growth over the long term, by investing in a diversified portfolio of equities, fixed interest securities, warrants and money market instruments primarily through investment in a portfolio of collective investment schemes.

OMR IFSL Sinfonia Cautious Managed Portfolio

New fund name: OMR VT Sinfonia Cautious Managed Portfolio

New ACD: Valu-Trac Investment Management Limited

Old ACD: Investment Fund Services Limited

New TER: 1.64%

Old TER: 1.71%

New objective: The underlying fund aims to provide returns over the long term (5 years) by a combination of both capital growth and income generation. The underlying fund will invest in a diversified portfolio of equities as well as fixed interest securities, warrants and money market instruments primarily (at least 70%) through investment in a portfolio of collective investment schemes (which may include those managed and/or advised by the Authorised Corporate Director (VT) or Investment Manager). The underlying fund will typically be invested in a global portfolio of assets and may also focus on UK assets.

Old objective: The underlying fund aims to provide long term returns, by a combination of both capital growth and income generation, investing in a diversified portfolio of equities as well as fixed interest securities, warrants and money market instruments primarily through investment in a portfolio of collective investment schemes.

OMR IFSL Sinfonia Adventurous Growth Portfolio

New fund name: OMR VT Sinfonia Adventurous Growth Portfolio

New ACD: Valu-Trac Investment Management Limited

Old ACD: Investment Fund Services Limited

New TER: 1.76%

Old TER: 1.81%

New objective: The underlying fund aims to provide returns over the long term (5 years) by a combination of both capital growth and income generation. The underlying fund will primarily invest (at least 70%) in a diversified portfolio of fixed interest securities and equities, as well as warrants, and money market instruments, through investment in a portfolio of collective investment schemes (which may include those managed and/or advised by the Authorised Corporate Director (VT) or Investment Manager). The underlying fund will typically be invested in a global portfolio of assets but may also focus on UK assets.

Old objective: The underlying fund aims to provide long term capital growth by investing in a diversified portfolio of fixed interest securities and equities, as well as warrants, and money market instruments, through investment in a portfolio of collective investment schemes.

OMR Aegon UK Opportunities

Dealing will recommence for the valuation point of Monday 24th May 2021. Fund has been suspended to accommodate a share class conversion being carried out by Aegon on the underlying fund.

OMR Aegon Strategic Bond

Dealing will recommence for the valuation point of Monday 24th May 2021. Fund has been suspended to accommodate a share class conversion being carried out by Aegon on the underlying fund.