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This document serves as a request form for investors to repurchase units from Peregrine Collective Investments, containing necessary instructions and terms for the process.
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How to fill out Peregrine Collective Investments Repurchase Request

01
Begin by obtaining the Peregrine Collective Investments Repurchase Request form from the official website or your adviser.
02
Fill in your personal details, including your name, address, and contact information.
03
Provide your account number associated with the Peregrine investment.
04
Specify the amount you wish to repurchase, ensuring it adheres to any minimum or maximum limits.
05
Include any relevant documentation required to support your request, such as identification or proof of investment.
06
Review the completed form for accuracy and completeness.
07
Sign and date the form where required.
08
Submit the form via the specified method: electronically or by postal mail.

Who needs Peregrine Collective Investments Repurchase Request?

01
Investors who wish to liquidate or access funds from their investments with Peregrine Collective.
02
Individuals who have made investments in Peregrine Collective and require a structured process for repurchase.
03
Clients who need to formalize their request to maintain compliance with Peregrine's investment policies.
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Peregrine Collective Investments Repurchase Request is a formal request submitted by investors to redeem their investments or shares back to the fund or investment company.
Investors who wish to sell their shares or redeem their investments in Peregrine Collective Investments are required to file this request.
To fill out the Peregrine Collective Investments Repurchase Request, investors need to provide their account details, the number of shares they wish to redeem, and any other required information as specified by the investment firm.
The purpose of the Peregrine Collective Investments Repurchase Request is to allow investors to formally request the redemption of their investments and to facilitate the processing of these redemptions by the fund.
The information that must be reported includes the investor's account number, the amount or number of shares being redeemed, and the investor's signature or authorization.
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