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Procedure of selling of securities of the Funds under management of AMC “Priority Finance” has the next view: 1. After consultation of an expert of our Company or Partner-broker your company chooses which securities and Fund you would like to sell.
3. We are getting ready all necessary documents on the base of your application.
4. You come to our office or to office of broker-partner with required documents (with idea to economize your time spent for procedure we ask you to discuss with us the time of our meeting). 5. You sign original Application and Contract of selling securities of the Fund.
6. You give order to your Custodian to enumerate securities from your account.
7. After confirmation from Custodian about enrolling securities to our account Company pays to your account in bank (according to present legislation the term between your enumerating of securities and their enrolment to our account can not be longer then 7days).
8. You get from Custodian extract from your account which confirms how many securities you own after the last operation. |
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© AMC "Priority Finance" 2005-2010 License SSMSC ÀÁ ¹293355 from 31.10.2005 Duration of license: 31.10.2005 - 31.10.2010 Site making: LND |
The price of shares can increase and decrease, and past results do not guarantee similar results in the future, therefore the current status of investments does not guarantee the profitability of future investments in any investment fund. Before purchasing shares, investors should familiarize themselves with the Letter of Issue, Fund Rules and Fund Investment Declaration. |
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