Redemption

Investors may redeem their fund units in the PYN Elite Fund on the last Finnish banking day of each month.

Redemption

Fund units in the PYN Elite Fund (non-UCITS) may be redeemed monthly on the last Finnish banking day of each month. The redemption notice must be submitted to the Fund Manager no later than the 15th day of the month, or, if that day is not a Finnish banking day, on the preceding Finnish banking day.

The next available redemption date: 31.3.2026.

Last date to notify redemption: 13.3.2026.