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ATLAS ASSET MANAGEMENT FDI AUDAS PISCATOR ISIN: ROFDIN0001Q1 Decision no: 1205/04.08.2009Openend Investment Fund AUDAS PISCATOR Data as of 31.12.2022Assets under Management: 889.276,5340 EUR NAV:
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How to fill out redemption form fund units

How to fill out redemption form fund units
01
Obtain the redemption form for fund units from the appropriate financial institution or fund manager.
02
Fill out all required personal information including name, address, contact details, and account number.
03
Specify the number of fund units you wish to redeem.
04
Sign and date the redemption form.
05
Submit the completed form to the financial institution or fund manager either in person, by mail, or electronically as per their instructions.
06
Await confirmation of the redemption transaction and the processing of your request.
Who needs redemption form fund units?
01
Investors who want to liquidate their investment in a mutual fund or other investment fund by selling their fund units and receiving the corresponding value in cash.
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What is redemption form fund units?
A redemption form for fund units is a document that investors use to request the sale or redemption of their units in an investment fund.
Who is required to file redemption form fund units?
Investors who wish to redeem their units in a fund must file a redemption form, which can include individual investors, corporate entities, or other legal structures holding fund units.
How to fill out redemption form fund units?
To fill out the redemption form, investors should provide personal information, details about the fund units being redeemed, the number of units to be redeemed, and any relevant account information as specified in the form.
What is the purpose of redemption form fund units?
The purpose of the redemption form is to formally process an investor's request to sell or redeem their units in a fund, ensuring proper documentation and instruction to the fund's management.
What information must be reported on redemption form fund units?
The redemption form typically requires information such as the investor's name, account number, fund name, number of units to redeem, and signature or authorization.
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