REDEMPTION

Fund units in the PYN Elite Fund (non-UCITS) can be redeemed monthly, on the last Finnish banking day of the month.
The redemption notice must be submitted to the Fund Manager at the latest on the last Finnish banking day of the previous calendar month.

The next achievable redemption date: 29.03.2018
Last date to notify redemption: 28.02.2018

We always send written confirmation of new subscriptions and redemptions to unit holders. In case you have got the share certificate you must return it to PYN Fund Management upon redemption of the fund units in question.

 

 

REDEMPTION NOTICE

Please fill in the form carefully and send it to to PYN Fund Management by

Email info@pyn.fi
Fax +358 9 270 70409

or post it to

PYN Fund Management Ltd
PL 139
00101 Helsinki
FINLAND

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