You can redeem your fund units on any banking day in part or in full by informing our Investor Service. If you have an EvliNet user name, you can redeem or switch fund units in your EvliNet portfolio, also for upcoming value dates. If you have written share certificate for the fund units you wish to redeem, you must deliver these upon issuing the redemption order. Redemptions or transfers to another Evli fund will be processed at the value confirmed for the order date (except for transfers from Evli Europe Quant Index, Evli Japan Quant Index, Evli USA Quant Index, Evli Global Multi Manager 75 and Evli Global Multi Manager 40), if the order has been submitted to our Investor Service before 12 noon (Finnish time). Any order submitted after 12 noon will be processed using the value confirmed on the following banking day. Transfers from one fund to another will be carried out in the same way as redemption and subscription, but with reduced fees. The income received from redemption will be paid, as you wish, either to your EvliNet account or to your account in another bank on the banking days following the redemption date. The assets will be available for inter-bank payment transactions on either the first or the second banking day after the redemption date. We will send you a confirmation on the redemption or transfer within one week of the transaction.
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