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When is the Purchase and Sale price of the units valuated |
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The price of the units is valuated every working day and it is valid for orders only within the same day. It is made in order to guarantee equal rights to all investors and fair valuation of the net value per unit. The price defers every day according to the changes in the shares included in Status New Shares’ portfolio.
The methodology of valuation is in compliance with the Rules of the Contractual Fund and the legal documents of the FSC and is under the supervision of the depository bank HVB Bank Biochim AD.
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