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Libravou FL3 : B Shares

 

Derni�re mise � jour : 25/09/2002

The B Units shall be redeemed on a quarterly basis with effect from 25 August 2007, in accordance with the Redemption Schedule shown in the DEBT MUTUAL FUND REGULATIONS

Payment dateRedemption of each UnitNominal value of one Unit
after payment
25/06/02-1 000,00
25/11/020,001 000,00
25/02/030,001 000,00
25/05/030,001 000,00
25/08/020,001 000,00
25/11/030,001 000,00
25/02/040,001 000,00
25/05/040,001 000,00
25/08/040,001 000,00
25/11/040,001 000,00
25/02/050,001 000,00
25/05/050,001 000,00
25/08/050,001 000,00
25/11/050,001 000,00
25/02/060,001 000,00
25/05/060,001 000,00
25/08/060,001 000,00
25/11/060,001 000,00
25/02/070,001 000,00
25/05/07(*)0,001 000,00
25/08/0783,33916,67
25/11/0783,33833,34
25/02/0883,33750,01
25/05/0883,33666,68
25/08/0883,33583,35
25/11/0883,33500,02
25/02/0983,33416,69
25/05/0983,33333,36
25/08/0983,33250,03
25/11/0983,33166,70
25/02/1083,3383,37
25/05/1083,370,00

(*) : Payment Date of the final Coupon during the New Loans Acquisition Period, providing the Compartment has not entered an Amended or Compulsory Redemption Period in the meantime. It is also the date on which the Full Early Redemption option may be exercised

HISTORICAL & PROJECTED CASH FLOWS : Principal with interest (EUR)

Information notes