Fund Documentation

The UCITS Funds to which this section of the web-site relates are not offered or sold in the United States. They have been registered or otherwise approved for distribution to the public or institutional investors in certain European jurisdictions. You must ensure that access to this section of the web-site is not contrary to the laws and regulations of the jurisdiction or country in which you are residing.

Pursuant to the provisions of Article L.214-223-1 of the French Monetary and Financial Code and Article 411-105 of the AMF General Regulation, the investors accessing the information on this website acknowledge that they are able to understand the documents made available to them in English which is a common financial language.

The distribution of shares in the UCITS Funds in Switzerland will be exclusively made to, and directed at, qualified investors (the "Qualified Investors"), as defined in the Swiss Collective Investment Schemes Act of 23 June 2006, as amended ("CISA") and its implementing ordinance.

TT International Funds PLC

Prospectus Supplement

Austria Luxembourg

Annual Report

UK Germany 

Semi-annual Report

UK Germany 

Marketing Document

Finland

Tax Supplement

Denmark

Shareholder Letter 2014

UK 

Covering Letter 2015

UK


TT European Equity Fund

Covering Letter 2015

UK

TT UK Equity Fund

Covering Letter 2015

UK

Prospectus Supplement 

UK

Current NAV

Irish Stock Exchange


TT Europe Ex-UK Equity Fund

Class B, Current NAV: £10, Inactive

Class E, Current NAV: $10, Inactive

Class G, Current NAV: $10, Inactive

Covering Letter 2015

UK

TT Asia-Pacific Equity Fund

Class A2, Current NAV: $10, Inactive

Class B1, Current NAV: $10, Inactive

Class B2, Current NAV: $10, Inactive

Class C1, Current NAV: €10, Inactive

Class C2, Current NAV: €10, Inactive

Class D1, Current NAV: €10, Inactive

Class D2, Current NAV: €10, Inactive

Class E1 , Current NAV: £10, Inactive

Class F1, Current NAV: €10, Inactive

Class F2, Current NAV: €10, Inactive

Covering Letter 2015

UK

TT Emerging Markets Equity Fund

Class B2, Current NAV: $10, Inactive

Class C1, Current NAV: €10, Inactive

Class D1, Current NAV: €10, Inactive

Class D2, Current NAV: €10, Inactive

Class E1, Current NAV: £10, Inactive

Class E2, Current NAV: £10, Inactive

Class F1, Current NAV: £10, Inactive

Class F2, Current NAV: £10, Inactive

Prospectus Supplement

UK 

Current NAV

Irish Stock Exchange


TT Global Equity Fund

Prospectus Supplement

UK

Current NAV


TT Emerging Markets Unconstrained Fund

Addendum

UK

Addendum 2

UK

Prospectus Supplement

UK Germany France Italy Spain

Current NAV