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2014-02-19 14:00:00 CET 2014-02-19 14:01:08 CET REGULATED INFORMATION Nordea Funds Oy - Company AnnouncementAmendments to the rules of the exchange-traded Nordea UCITS ETF funds - KIIDs also updatedHelsinki, 19.2.2014, at 15.00 - The amended fund rules of the exchange-traded funds Nordea Global Emerging Markets Equities UCITS ETF and Nordea Stable Equities UCITS ETF enter into force on 19.2.2014. The name of the Management Company has been amended in clause 6 in the two funds' rules. In addition, the clauses in the rules concerning subscription for and redemption of fund units, the valuation of the funds' investments and the calculation of the official NAV per unit have been amended by including provisions on the subscription for and redemption and valuation of fund units quoted on NASDAQ OMX Stockholm in Sweden. Furthermore, Nordea Bank AB (publ) and Nordea Bank Danmark A/S have been added as market makers. The Finnish Financial Supervisory Authority has ratified the amendments to the rules on 23.12.2013 and the amended rules will enter into force on 19.2.2014. The entry into force of the new rules does not require any action from unitholders. The Key Investor Information Documents KIIDs have also been updated as per 19.2.2014. The funds' rules, Key Investor Information Documents, fees and other information are available on the Internet at www.nordea.fi/funds. For further information: Nordea Funds Ltd managing director Jari Kivihuhta, jari.kivihuhta@nordea.com, + 358 9 165 48360. [HUG#1763054] |
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