The suspension, entering into effect on 24 August in a number of sub-funds, has now been terminated.
Market developments have now normalised to an extent, which makes it possible to calculate correct NAV for the sub-funds in question. This means that the sub-funds now have reopened for subscription and redemption and that daily NAV will be calculated again.
SPARINVEST – EMERGING MARKETS CORPORATE VALUE BONDS
SPARINVEST – ETHICAL HIGH YIELD VALUE BONDS
SPARINVEST - HIGH YIELD VALUE BONDS
SPARINVEST – VALUE BONDS 2016
SPARINVEST – HIGH YIELD VALUE BONDS SHORT DURATION 2017
SPARINVEST – HIGH YIELD VALUE BONDS SHORT DURATION SEPTEMBER 2017
We regret the inconvenience the suspension has caused for our investors.