Distribution of dividends from East Capital Baltic Fund

After the NAV was settled for 10 June 2010, the East Capital Baltic Fund paid out SEK 15,029,427.89 in dividends, which corresponds to SEK 0.709099 per unit.

The dividends will be reinvested at a NAV of SEK 42.34, so investors who owned units in the fund on 10 June will receive new units corresponding to the dividend. Please be aware that dividends can not be paid out in cash. For investors registered to pay tax in Sweden, East Capital will report the dividends to the Swedish Tax Authority. Any taxes will be paid before the dividends are reinvested. Investors registered to pay tax outside of Sweden are required to report the dividends they receive to their respective countries' tax authorities.

All transactions on 10 June were made at a NAV of SEK 43.05, i.e. the NAV level before the calculation of the dividends. After the dividend payout and the reinvestment, the new NAV is SEK 42.34. All investors who bought fund units on 10 June will be a part of the dividend payout and will receive new units corresponding to the dividend.

Distributors acting as nominees for their clients will receive a dividend contract note on 11 June 2010. All other clients will receive this information in the semi-annual statement sent out in July.

If you have any questions regarding this matter, please contact East Capital’s Client Services on +46 (0)8 50 588 505 or info [at] eastcapital [dot] com.

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