Friday, July 4, 2008
Pricelist
How to buy/ sell mutual fund shares
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Pricelist

Commissions fee*

 

Baltic Index Fund

Government Bond fund

International equity fund’s fund

ISIN code

LV0000400034

LV0000400059

LV0000400182

Custodian bank

JS SEB Latvijas Unibanka

JS Akciju Komecbanka Baltikums

JS SEB Latvijas Unibanka

Securities account number

001047902120201

0177-4790-1100013

001047902120401

Account number

LV90UNLA0050001400202

LV50CBBR1120020500010

LV73UNLA0050004072082

Commission fee of purchasing

3.00%

1.00%

1.00%

Commission fee of repurchasing

0%

0%

0%

Transition period

till 01.03.2005.

Clients who purchased Fund’s share before 01.03.2004, till 01.03.2005 must pay commission fee for fund’s share repurchasing at the same amount, which was determine at purchase: 2% 

Clients who purchased Fund’s share before 01.03.2004, till 01.03.2005 must pay commission fee for fund’s share repurchasing at the same amount, which was determine at purchase: 0.5% 

 

Commission fee for Fund’s shares transaction

According to banks pricelist

According to banks pricelist

According to banks pricelist

How are distributed notification’s sheets

1. sheet/ white/ - stays at Baltikums Asset Management

 

2. sheet/red/ - stays at custodian bank JS Lavijas Unibanka

 

3. sheet/yellow/ - stays at client

 

4. sheet/green/ - is submitted to client’s bank

1. sheet/ white/ - stays at Baltikums Asset Management

 

2. sheet/red/ - stays at custodian bank JS Baltikums

 

3. sheet/yellow/ - stays at client

 

4. sheet/green/ - is submitted to client’s bank

1. sheet/ white/ - stays at Baltikums Asset Management

 

2. sheet/red/ - stays at custodian bank JS Lavijas Unibanka

 

3. sheet/yellow/ - stays at client

 

4. sheet/green/ - is submitted to client’s bank

Settling date

Till 5 days from notification date, also according to client’s wishes, can determine shorter period or make settlements at notification day.

Till 5 days from notification date, also according to client’s wishes, can determine shorter period or make settlements at notification day.

Till 5 days from notification date, also according to client’s wishes, can determine shorter period or make settlements at notification day.

*from 01.02.2004

Client buy/sell Fund’s shares by price, which are determined at the end of notification date and are published at 10.00 am next morning.

Fund’s price is determined after work day, therefore purchase and repurchase price is not shown on notification.