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News

Blog posts from IFDS for news section.

Subcategories from this category: Aberdeen Standard Investments
Posted by on in News


FundRock sponsor FP Premier Miton will be amending the name of their funds with effect from Friday 24th April as below;

Current Fund Name Name New Long Name  SEDOL* ISIN*
FP Miton Inc Fund AAcc GBP FP Premier Miton Inc Fund AAcc GBP B1RQR62 GB00B1RQR625
FP Miton Inc Fund AInc GBP FP Premier Miton Inc Fund AInc GBP B1RQN64 GB00B1RQN640
FP Miton Inc Fund BAcc GBP FP Premier Miton Inc Fund BAcc GBP B29LZ80 GB00B29LZ803
FP Miton Inc Fund BInc GBP FP Premier Miton Inc Fund BInc GBP B29LZ79 GB00B29LZ795


*Note: SEDOL and ISIN remain the same
Hits: 588


On 16 March 2020 Investec Asset Management demerged and changed its name to Ninety One. Investec Fund Managers Limited will become Ninety One Fund Managers UK Limited o
n 27 April. There will be no change to the way our funds are managed. For more information visit www.ninetyone.com

Hits: 668
Posted by on in News

As of Friday 24th of April 2020 the FundRock CAF (Charities Aid Foundation) sponsor will no longer be administered by SS&C, the sponsor is moving to a new ACD – IFSL.

There will be a non-dealing day on the Friday 24th to allow for this transition.

From Monday 27th April any enquiries need to be made to the below;

Telephone : 0808 164 5458 (+44 1204 329443)

Hits: 523



Please be advised that the Columbia Threadneedle have signed up to become a TeX member and has been added to the SS&C electronic transfer solution. As per other Fund Groups they have been migrated to the Altus ATG platform and will therefor change their electronic transfer details as follows

Columbia Threadneedle                         (TeX Member ID: TI269TI1F01)

New Electronic Transfer Details

Business Entity BIC (BIC11): ALUSGB21CTI

SWIFT DN: ou=cti,ou=atgfunds2,o=alusgb2l,o=swift

Swift Addressing BIC8/11: ALUSGB2L / ALUSGB2LXXX

These details will be active from 20 April 2020.

If you are connected to other SS&C Fund Groups then we have enabled your connection with Columbia Threadneedle.

If you have any questions, or have any administrative requirements to action this change, please contact the ADS Team at ReReg@uk.dstsystems.com, or your solution provider.

Hits: 1447
Posted by on in News

Closure of Schroder Dynamic Investment Fund Company - Schroder Dynamic Planner Portfolio 3 to 7. The closure of the Funds will take place on 30 April 2020 (the effective date). In the days leading up to the effective date, it will be necessary to begin selling the assets held within the portfolio to cash.   Dealing in the shares of the Funds will close at 12 noon on 23 April 2020. If you have not given us instructions to redeem or switch your holding prior to 12 noon on 23 April 2020, your shares will be redeemed at the price calculated at 12 noon on 30 April 2020, less a retained amount to cover outstanding debtors and creditors of the Funds.  

Schroder Dynamic Planner Portfolio 3 Z Income BF783C4 GB00BF783C49
Schroder Dynamic Planner Portfolio 3 Z Accumulation BF783D5 GB00BF783D55
Schroder Dynamic Planner Portfolio 4 Z Income BF783F7 GB00BF783F79
Schroder Dynamic Planner Portfolio 4 Z Accumulation BF783G8 GB00BF783G86
Schroder Dynamic Planner Portfolio 5 Z Income BF783H9 GB00BF783H93
Schroder Dynamic Planner Portfolio 5 Z Accumulation BF783J1 GB00BF783J18
Schroder Dynamic Planner Portfolio 6 Z Income BF783K2 GB00BF783K23
Schroder Dynamic Planner Portfolio 6 Z Accumulation BF783L3 GB00BF783L30
Schroder Dynamic Planner Portfolio 7 Z Income BF783M4 GB00BF783M47
Schroder Dynamic Planner Portfolio 7 Z Accumulation BF783N5 GB00BF783N53
Hits: 632
 

Jupiter has received FCA approval to change the fee structure applicable to its Unit Trust funds. As a result of these changes the fees and charges paid by the funds will either go down or remain the same.

 

In addition to this change, we have launched a new unit class with a reduced Annual Management Charge. Direct investors without an intermediary will be moved into these unit classes (called J classes) with effect from 29 May 2020.

 

Please find attached a copy of the circular which we have posted to unitholders and agents on the 23rd March 2020.

 

The Effective Date will the 29th May 2020.

 

If you have any queries regarding this notification, please contact your Jupiter Sales representative or account manager.



DvA
DvA Merlin
DvA Japan Income
D2C
D2C Merlin
List of ISINs

 

Hits: 803



Important information

We have been notified by CTI that they have lifted the fund suspension in the below fund(s):


Fund Name

ISIN

SEDOL

Effective Date

Effective Time

UK Property Authorised Investment Fund Institutional Accumulation GBP

GB00BQ1YHX48

BQ1YHX4

15/04/2020

12:00pm



What happens now?


These funds will be available for trading from the effective date and time.

You will need to resubmit any previously reject trade instructions if you still wish the transaction to go ahead.

For further information please refer to the CTI website.

Hits: 1436

As at Thursday 9th April 2020, Jupiter is pleased to announce the launch of four new classes in the Jupiter Global Sustainable Equities Fund.  

   

Unit Class  

ISIN:  

SEDOL:  

Minimum Initial Investment  

Retail Class Inc  

GB00BKPX3N71  

BKPX3N7  

£500  

Retail Class Acc  

GB00BKPX3P95  

BKPX3P9  

£500  

I Class Inc  

GB00BKPX3L57  

BKPX3L5  

£5,000,000  

I Class Acc  

GB00BKPX3M64  

BKPX3M6  

£5,000,000  

   

Please contact your Jupiter sales representative for more information.  

Hits: 1742
Posted by on in News

On 28/02/20, a notification letter was issued to the current unitholders of the shareclasses listed below to inform them

that the fund will be closed on 01/05/2020.

We are no longer accepting money in transactions into the below shareclasses but if you want to invest you can do so into the equivalent GBP shareclass. Money out transactions are still being accepted but the fund will be closed on the 01/05/2020 as described in the letter.

Closing Fund Full Name, Share Class & Share Type

ISIN

Liontrust European Opportunities Fund C Accumulation Hedged

GB00BFN4FT71

Liontrust European Opportunities Fund D Accumulation Hedged

GB00BFN4FV93

Liontrust Japan Equity Fund D Accumulation

GB00BDHXQZ93

Liontrust European Opportunities Fund A Accumulation EUR

GB00B60T5P82

Liontrust European Opportunities Fund B Accumulation EUR

GB00B60T5Q99

Liontrust European Opportunities Fund C Accumulation EUR

GB00BNJZR720

Liontrust Global Equity Fund C Accumulation EUR

GB00B60T5L45

Liontrust Japan Equity Fund C Accumulation Hedged EUR

GB00BXDZFJ60

Liontrust Russia Fund C Accumulation EUR

GB00B60T5S14

Liontrust US Opportunities Fund B Accumulation

GB00B60T5D60

Liontrust US Opportunities Fund C Accumulation

GB00B60T5C53

Liontrust Global Equity Fund A Accumulation USD

GB00B60T5M51

Liontrust India Fund C Accumulation USD

GB00BWK1S243

Liontrust Japan Equity Fund C Accumulation Hedged USD

GB00BXDZFL82

Liontrust Japan Opportunities Fund A Accumulation USD

GB00B60T5H09

Liontrust Japan Opportunities Fund C Accumulation USD

GB00B60T5J23

Liontrust Russia Fund A Accumulation USD

GB00B60T5T21

Liontrust Russia Fund C Accumulation USD

GB00B60T5V43

Liontrust US Opportunities A Accumulation USD

GB00B60T5F84

Liontrust US Opportunities C Accumulation USD

GB00B60T5G91


Should you have any queries on this communication please contact the DST Distributor Client Services Team, our contact details can be found by clicking here.

Hits: 769

On 21.02.2020, a notification letter was issued to the current unitholders of the shareclasses listed below to inform them that the classes will be closed on 24.04.2020. Investors remaining in these classes will be automatically converted into the equivalent C class.

Dealing in the closing share classes will continue up to the Valuation point of 12 noon on 17.04.2020, after this time dealing will be suspended as described in the letter.

ISIN

Share Class

GB0034032424

BMO Global Total Return Bond (GBP Hedged) 2 Acc

GB0033145599

BMO Global Total Return Bond (GBP Hedged) 2 Inc


Should you have any queries on this communication please contact the DST Distributor Client Services Team, our contact details can be found by clicking here.

Hits: 459
Posted by on in News



Important information

We have been notified by Royal London that they have temporarily suspended trading in the below fund(s):

Fund Name ISIN SEDOL Effective Date Effective Time
Royal London Property Fund Acc   GB00B66HFJ00 B66HFJ0  31/03/2020  12:00
Royal London Property Fund Inc      GB00B65M0K29 B65M0K2  31/03/2020  12:00
Royal London Property Feeder UT Acc GB00B64T8X32 B64T8X3  31/03/2020  12:00 


What happens now?

Deals received for these funds from the effective date and time will be cancelled / rejected. The fund suspension will continue until further notice.

 

For further information please refer to the Royal London.

Hits: 1374
Posted by on in News


We are pleased to announce that Morgan Stanley will now be available via the EMX trading solution as of today - 30/03/2020.  
   
If you have any queries regarding this please call (details found on the contact us page – under Automated Dealing) or email us at EMX@uk.dstsystems.com  
Hits: 551
Posted by on in News


Further to yesterday's connectivity issues at EMX we are aware of an issue with a number of pricing messages (ECNI's) not being issued. We are looking into this issue with support from Euroclear to confirm if they are able to replay the missing messages.

In the meantime, please use Distributor Portal reporting for any missing ECNIs at this time.
Hits: 654
Posted by on in News


UPDATE

Due to Covid-19 spread and the resulting extreme market volatility and depressed valuations, Jupiter no longer considers it in the interests of investors to close the Fund on 31 March 2020.

The winding up will be postponed with a view to allowing time for the valuations of the investments to recover.  

Jupiter has received FCA approval to the postponement.

Please find attached a copy of the circular that was posted to our clients and agents on 23 March 2020, confirming the postponement.

Circular

______________________________________________________________________________________________________________

Jupiter has received FCA approval to close the Jupiter UK Alpha Fund.    
    
Please find attached a copy of the circular, which was posted to our clients and agents from the 29th January 2020, confirming our intention to close the Fund.    
    
The closure date will be the 31 March 2020.     
    
If you have any queries regarding this notification please contact your Jupiter Sales representative or account manager.

Fund Name

Sedol

ISIN

UK ALPHA (ACC)

577311

GB0005773113

UK ALPHA I CLASS (ACC)

B457WC9

GB00B457WC97



Please click here for more information on the closure of the Jupiter Alpha Fund
Hits: 784
Posted by on in News


UPDATE

Due to Covid-19 spread and the resulting extreme market volatility and depressed valuations, Jupiter no longer considers it in the interests of investors to close the Fund on 31 March 2020.

The winding up will be postponed with a view to allowing time for the valuations of the investments to recover.  

Jupiter has received FCA approval to the postponement.

Please find attached a copy of the circular that was posted to our clients and agents on 23 March 2020, confirming the postponement.

Circular

______________________________________________________________________________________________________________

Jupiter has received FCA approval to close the Jupiter Enhanced Distribution Fund.  
   
Please find attached a copy of the circular, which was posted to our clients and agents from the 29th January 2020, confirming our intention to close the Fund.    
   
The closure date will be the 31 March 2020.    
   
If you have any queries regarding this notification please contact your Jupiter Sales representative or account manager.


Fund Name

Sedol

ISIN

ENHANCED DISTRIBUTION (ACC)

BZ0PF15

GB00BZ0PF158

ENHANCED DISTRIBUTION (INC)

BZ0PF04

GB00BZ0PF042

ENHANCED DISTRIBUTION I CLASS (ACC)

BZ0PF37

GB00BZ0PF372

ENHANCED DISTRIBUTION I CLASS (INC)

BZ0PF26

GB00BZ0PF265



Please click here for more information on the closure of the Jupiter Enhanced Distribution Fund
Hits: 943
Posted by on in News


With the increased spread of Coronavirus, we wanted to reassure platforms & key distributors of the steps we are taking to ensure we are fully prepared to continue providing a service. We can confirm that there are currently no impacts to our Operations, and we continue to provide a BAU service.

To highlight a number of steps we have taken so far: 

  • We will have the majority of our staff working from home (where this is possible) from Monday 23rd March 2020, with the rest being split across other offices
  • Movement of our managers and staff between offices is being restricted
  • Business travel restrictions are in place to affected locations, as advised by the public authorities
  • Self-quarantine arrangements will be implemented where needed
  • We are in ongoing contact with our critical suppliers to keep abreast of any impacts they may experience – none have been identified to date
  • All Face to face client meetings have been cancelled until further notice
  • We continue to offer our standard service and are in ongoing dialogue with our clients about the coming weeks
  • We are seeing a sizeable increase in phone and e-mail enquiries.  We strongly recommend all clients to use our web chat service distributorportal.co.uk where possible to allow us to continue to provide timely responses

 We continue to monitor all advice given by the relevant public health authorities and will advise should our current position change.

Hits: 1314
Posted by on in News

Important information

We have been notified by SJP that they have temporarily suspended trading in the below fund(s):

 

Fund Name

ISIN

SEDOL

Effective Date

Effective Time

Property Unit Trust Class L (Acc Units) 

GB00B1KHL374

B1KHL37

18/03/2020

12:00pm

Property Unit Trust Class L (Inc Units) 

GB00B1KHL598 B1KHL59 18/03/2020 12:00pm

Property Unit Trust Class H (Acc Units) 

GB00BD8F4612  BD8F461 18/03/2020 12:00pm



What happens now?

Deals received for these funds from the effective date and time will be cancelled / rejected. The fund suspension will continue until further notice.

 

For further information please refer to the SJP website.

Hits: 729


Important information


We have been notified by ASI that they have temporarily suspended trading in the below funds:

Fund Name

ISIN

Effective Date

Effective Time

ASI Life UK Property Fund A

GB00BSTL5484

17.03.2020

12:00pm

ASI Life UK Property Fund B

GB00BRTL4J94

17.03.2020

12:00pm

SLI UK Real Estate Accumulation Feeder Institutional Acc

GB00BYPHPB97

17.03.2020

12:00pm

SLI UK Real Estate Accumulation Feeder Institutional S Acc

GB00BZ008446

17.03.2020

12:00pm

SLI UK Real Estate Accumulation Feeder Platform 1 Acc

GB00BYPHPD12

17.03.2020

12:00pm

SLI UK Real Estate Accumulation Feeder Retail Acc

GB00BYPHP973

17.03.2020

12:00pm

SLI UK Real Estate Accumulation Feeder SL Acc

GB00BYPHPF36

17.03.2020

12:00pm

SLI UK Real Estate Accumulation Feeder SLB Acc

GB00BYPHPH59

17.03.2020

12:00pm

SLI UK Real Estate Income Feeder Institutional Inc

GB00BYPHPK88

17.03.2020

12:00pm

SLI UK Real Estate Income Feeder Institutional S Inc

GB00BZ008552

17.03.2020

12:00pm

SLI UK Real Estate Income Feeder Platform 1 Inc

GB00BYPHPL95

17.03.2020

12:00pm

SLI UK Real Estate Income Feeder Retail Inc

GB00BYPHPJ73

17.03.2020

12:00pm

SLI UK Real Estate Income Feeder SL Inc

GB00BYPHPM03

17.03.2020

12:00pm

SLI UK Real Estate Fund Institutional Acc

GB00BJZ2TG29

17.03.2020

12:00pm

SLI UK Real Estate Fund Institutional Inc

GB00BJZ2V336

17.03.2020

12:00pm

SLI UK Real Estate Fund Retail Acc

GB00BJFL1522

17.03.2020

12:00pm

SLI UK Real Estate Fund Retail Inc

GB00BJFL1639

17.03.2020

12:00pm

SLI UK Real Estate Platform 1 Acc

GB00BYPHP536

17.03.2020

12:00pm

SLI UK Real Estate Platform 1 Inc

GB00BYPHP643

17.03.2020

12:00pm

SLI UK Real Estate SL Acc

GB00BYPHP759

17.03.2020

12:00pm

SLI UK Real Estate SL Inc

GB00BYPHP866

17.03.2020

12:00pm

Aberdeen UK Property Feeder Unit Trust A ACC

GB00BTLX1M90

17.03.2020

12:00pm

Aberdeen UK Property Feeder Unit Trust A INC

GB00BTLX1N08

17.03.2020

12:00pm

Aberdeen UK Property Feeder Unit Trust I ACC

GB00BTLX1P22

17.03.2020

12:00pm

Aberdeen UK Property Feeder Unit Trust I INC

GB00BTLX1Q39

17.03.2020

12:00pm

Aberdeen UK Property Feeder Unit Trust J ACC

GB00BTLX1R46

17.03.2020

12:00pm

Aberdeen UK Property Feeder Unit Trust J INC

GB00BTLX1S52

17.03.2020

12:00pm

Aberdeen UK Property Feeder Unit Trust M Acc

GB00BGRLZY68

17.03.2020

12:00pm

Aberdeen UK Property Feeder Unit Trust M Inc

GB00BGRLZZ75

17.03.2020

12:00pm

Aberdeen UK Property Feeder Unit Trust S ACC

GB00BH3VR306

17.03.2020

12:00pm

Aberdeen UK Property Feeder Unit Trust S INC

GB00BH3VR413

17.03.2020

12:00pm

Aberdeen UK Property Feeder Unit Trust Y ACC

GB00BH3VR520

17.03.2020

12:00pm

Aberdeen UK Property Feeder Unit Trust Y INC

GB00BH3VR637

17.03.2020

12:00pm

Aberdeen UK Property Feeder Unit Trust YB ACC

GB00BH3VR744

17.03.2020

12:00pm

Aberdeen UK Property Feeder Unit Trust Z ACC

GB00BTLX1T69

17.03.2020

12:00pm

Aberdeen UK Property Fund A ACC

GB00BTLX1C92

17.03.2020

12:00pm

Aberdeen UK Property Fund A INC

GB00BTLX1D00

17.03.2020

12:00pm

Aberdeen UK Property Fund I ACC

GB00BTLX1F24

17.03.2020

12:00pm

Aberdeen UK Property Fund I INC

GB00BTLX1G31

17.03.2020

12:00pm

Aberdeen UK Property Fund J ACC

GB00BTLX1H48

17.03.2020

12:00pm

Aberdeen UK Property Fund J INC

GB00BTLX1J61

17.03.2020

12:00pm

Aberdeen UK Property Fund M Acc

GB00BGRLS691

17.03.2020

12:00pm

Aberdeen UK Property Fund M Inc

GB00BGRLZX51

17.03.2020

12:00pm

Aberdeen UK Property Fund Y ACC

GB00BH3VR181

17.03.2020

12:00pm

Aberdeen UK Property Fund Y Inc

GB00BH3VR298

17.03.2020

12:00pm

Aberdeen UK Property Fund Z ACC

GB00BTLX1K76

17.03.2020

12:00pm


ASI Global Real Estate Fund Institutional Acc

GB00B0LD3X11

17.03.2020

12:00PM

ASI Global Real Estate Fund Institutional Inc

GB00B0LD3Y28

17.03.2020

12:00PM

ASI Global Real Estate Fund Institutional Reg Acc

GB00S1135190

17.03.2020

12:00PM

ASI Global Real Estate Fund Retail Acc

GB00B0LD3V96

17.03.2020

12:00PM

ASI Global Real Estate Fund Retail Inc

GB00B0LD3W04

17.03.2020

12:00PM

ASI Global Real Estate Fund Platform 1 Acc

GB00B774LD38

17.03.2020

12:00PM

ASI Global Real Estate Fund Platform 1 Inc

GB00B700D764

17.03.2020

12:00PM

ASI Global Real Estate Fund SL Acc

GB00B86QF572

17.03.2020

12:00PM

ASI Global Real Estate Fund Inc

GB00BF6VTF96

17.03.2020

12:00PM

What happens now?

Deals received for these funds from the effective date and time will be cancelled / rejected. The fund suspension will continue until further notice.

For further information please refer to the ASI website:

www.aberdeenstandard.com/fundsuspension

Hits: 1672
Posted by on in News



Important information

We have been notified by CTI that they have temporarily suspended trading in the below fund(s):


Fund Name

ISIN

SEDOL

Effective Date

Effective Time

UK Property Authorised Investment Fund Retail Accumulation GBP     

GB00BQ1YHN40     

BQ1YHN4  

17/03/2020

12:00pm

UK Property Authorised Investment Fund Retail Income GBP     

GB00BQ1YHP63     

BQ1YHP6  

17/03/2020

12:00pm

UK Property Authorised Investment Fund Retail Accumulation GBP     

GB00BQ1YHQ70     

BQ1YHQ7  

17/03/2020

12:00pm

UK Property Authorised Investment Fund Retail Income GBP     

GB00BQ1YHR87     

BQ1YHR8  

17/03/2020

12:00pm

UK Property Authorised Investment Fund Institutional Accumulation GBP     

GB00BQ1YHS94     

BQ1YHS9  

17/03/2020

12:00pm

UK Property Authorised Investment Fund Institutional Income GBP     

GB00BQ1YHT02     

BQ1YHT0  

17/03/2020

12:00pm

UK Property Authorised Investment Fund Institutional Accumulation GBP     

GB00BQ1YHV24     

BQ1YHV2  

17/03/2020

12:00pm

UK Property Authorised Investment Fund Institutional Income GBP     

GB00BQ1YHW31     

BQ1YHW  

17/03/2020

12:00pm

UK Property Authorised Investment Fund Institutional Accumulation GBP     

GB00BQ1YHX48     

BQ1YHX4  

17/03/2020

12:00pm

UK Property Authorised Trust Fund Retail Accumulation GBP

GB00BQ3G1143     

BQ3G114  

17/03/2020

12:00pm

UK Property Authorised Trust Fund Retail Income GBP     

GB00BQ3G0X98     

BQ3G0X9   

17/03/2020

12:00pm

UK Property Authorised Trust Fund Institutional Accumulation GBP     

GB00BQ3G0Y06     

BQ3G0Y0   

17/03/2020

12:00pm

UK Property Authorised Trust Fund Institutional Income GBP     

GB00BQ3G0Z13     

BQ3G0Z13    

17/03/2020

12:00pm



What happens now?

Deals received for these funds from the effective date and time will be cancelled / rejected. The fund suspension will continue until further notice.

 

For further information please refer to the CTI website.

Hits: 830
Posted by on in News



Important information

We have been notified by BMO that they have temporarily suspended trading in the below fund(s):

Fund Name

ISIN

SEDOL

Effective Date

Effective Time

BMO UK PROPERTY 1ACC

GB00B6118210

B611821

17/03/2020

12:00pm

BMO UK PROPERTY 1INC

GB00B620FM64

B620FM6

17/03/2020

12:00pm

BMO UK PROPERTY 2ACC

GB00B830G150

B830G15

17/03/2020

12:00pm

BMO UK PROPERTY 2INC

GB00B6449M48

B6449M4

17/03/2020

12:00pm

BMO UK PROPERTY FACC

GB00BWZMHQ93

BWZMHQ9

17/03/2020

12:00pm

BMO UK PRPTYFDR 1ACC

GB00BWZMHK32

BWZMHK3

17/03/2020

12:00pm

BMO UK PRPTYFDR 1INC

GB00BWZMHJ27

BWZMHJ2

17/03/2020

12:00pm

BMO UK PRPTYFDR 2ACC

GB00BWZMHM55

BWZMHM5

17/03/2020

12:00pm

BMO UK PRPTYFDR 2INC

GB00BWZMHL49

BWZMHL4

17/03/2020

12:00pm

BMO PRPTY G&I H ACC

GB00BQWJ8463

BQWJ846

17/03/2020

12:00pm

BMO PRPTY G&I H INC

GB00BQWJ8570

BQWJ857

17/03/2020

12:00pm

BMO PRPTY G&I I ACC

GB00BQWJ8687

BQWJ868

17/03/2020

12:00pm

BMO PRPTY G&I I INC

GB00BQWJ8794

BQWJ879

17/03/2020

12:00pm

BMO PRPTY G&I J ACC

GB00BVG2S800

BVG2S80

17/03/2020

12:00pm

BMO PRPTY G&I J INC

GB00BVG2S917

BVG2S91

17/03/2020

12:00pm



What happens now?

Deals received for these funds from the effective date and time will be cancelled / rejected. The fund suspension will continue until further notice.

For further information please refer to the BMO website.

Hits: 934

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