If you made a decision to sell shares of Corporate investment fund «Pilot-Portfolio» before termination of its activity, you need:
1. To address (visit, call or contact by e-mail) to one of offices of the Agent on placing of shares of the fund:
69002, Ukraine, Zaporizhzhya, Gogolya str., 70 Contact phone: +38 (061) 213-75-39 Contact us 
69035, Ukraine, Zaporizhzhya, Stalevariv str.,13, office 51 Contact phone: +38 (061) 220-56-60 Contact us 
50007, Ukraine, Kryvyy Rig, Myra str., 29à, office 104 Contact phone: +38 (056) 401-51-01 Contact us 
Our managers on buy-out of shares of the fund will inquire from you information on a number of shares you want to sell.
2. To sign a request on buy-out of shares of the fund.
3. The asset management company of the fund will inform the Supervisory Board of Your request.
Decision on a long-term buy-out of shares should be made by the Supervisory Board with the right of deliberative vote of the asset management company within no more than 3 days from the moment of signing by you of the request on buy-out.
4. In case of decision-making by the Supervisory Board on buy-out of shares, You should visit our manager in office and sign a request on buy-out of shares of the fund, and a contract of purchase-sale of shares of the fund.
You should have a passport and identification code (for an individual person); documents confirmative the competence of representative of a legal entity.
5. Within two working days from the moment of signing of the contract of purchase-sale of securities, you should give to your saver an order for write-off of shares of the fund.
6. Within seven working days from the day of signing by you of the request on buy-out of shares of the fund (but not earlier the time when shares of the fund enter account of the fund in securities to the MFS depositary) moneys will be transferred on Your account current.
A value, on which buy-out of shares of the fund is made, should be defined at the date of signing by you of the request on buy-out, and will be equal to the calculated net asset value of the fund at this date. |