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National Instrument 81-106 Investment Fund Continuous Disclosure
Part 14 Calculation of Net Asset Value
Section 14.4

Capital Transactions

CAUTION: Lexata's content was last updated in 2024 and may not reflect current securities regulatory requirements.

The investment fund must include each issue or redemption of a security of the investment fund in the next calculation of net asset value the investment fund makes after the calculation of net asset value used to establish the issue or redemption price.