LYXOR ETF - Liquidation - Lyxor FTSE Emerging Minimum Variance UCITS ETF (1027741)
2020年4月23日 - 1:26AM
RNSを含む英国規制内ニュース (英語)
Lyxor International Asset Management (MVAM)
LYXOR ETF - Liquidation - Lyxor FTSE Emerging Minimum Variance UCITS ETF
22-Apr-2020 / 17:26 GMT/BST
Dissemination of a Regulatory Announcement that contains inside information
according to REGULATION (EU) No 596/2014 (MAR), transmitted by EQS Group.
The issuer is solely responsible for the content of this announcement.
MULTI UNITS LUXEMBOURG
Société d'investissement à capital variable
Registered Office :
28-32 Place de la Gare L-1616 Luxembourg
RCS Luxembourg B 115 129
(the "Company")
_______________________________________________________________
NOTICE TO THE SHAREHOLDERS OF THE SUB-FUND Lyxor FTSE Emerging Minimum
Variance UCITS ETF
Terms not specifically defined herein shall have the same meaning as in the
Articles of Incorporation and in the latest Prospectus of the Company or any
supplement.
Luxembourg, April 8, 2020,
Dear Shareholder,
The board of directors of the Company (the "Board") considers that the value
of the net assets in the sub-fund Lyxor FTSE Emerging Minimum Variance UCITS
ETF (the "Sub-Fund") has decreased to an amount determined by the Board to
be below the minimum level for the Sub-Fund to be operated in an
economically efficient manner.
Considering that the level of assets is not sufficient to carry out an
efficient replication of the FTSE Emerging Minimum Variance Index and in
accordance with article 34 of the Articles of Incorporation of the Company,
the Board has decided to liquidate the Sub-Fund as specified in the below:
ISIN Code Delisting on Primary Liquidation Final Net
the Market Day (Last Asset Value
Secondary Suspension NAV close of Calculation
Market (close of the below date
(close of the below days)
the below days)
days)
LU1237527673 22/04/2020 22/04/2020 27/04/2020 28/04/2020
Please note that any fees or costs incurred within the context of the
liquidation will be borne by the Sub-Fund.
Further, the Board has decided to suspend the Subscription and the
Redemption of Shares within the Sub-Fund as from April 22, 2020. Until such
date, the Shareholders may therefore continue to request the Redemption of
their Shares free of charge on the Primary Market in accordance with the
provisions of the Prospectus. For Shares sold on any exchange where the
Sub-Fund is listed, market intermediaries may charge broker fees, and taxes
may be levied if applicable.
The delisting of the Shares from all of the stock exchanges on which they
are listed will be effective as from April 22, 2020 (after the close of the
stock exchanges).
Finally, the Board has decided that all the remaining Shareholders will be
compulsory redeemed as of April 27, 2020 at the final Net Asset Value of
April 27, 2020 calculated on April 28, 2020.
Any liquidation proceeds which cannot be distributed to Shareholders will be
deposited on their behalf with the Caisse de Consignation in Luxembourg.
This liquidation will be reflected in the Prospectus at the next
opportunity.
For any questions, do not hesitate to contact Lyxor Client Services at the
following contact details: Phone number +33 1 42 13 42 14 - Email address:
client-services-etf@lyxor.com.
Yours sincerely,
For the Board.
ISIN: LU1237527673, LU1237527673
Category Code: MSCH
TIDM: MVAM
Sequence No.: 59872
EQS News ID: 1027741
End of Announcement EQS News Service
(END) Dow Jones Newswires
April 22, 2020 12:26 ET (16:26 GMT)
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