Hereby we inform you that Financial and Capital Market Commission registered the amendments to the prospectus, regulations and basic information for investors of the investment fund ABLV Emerging Markets Bond Fund on 3 October 2022.
Hereby we inform you that Financial and Capital Market Commission registered the amendments to the prospectus, regulations and basic information for investors of the investment fund ABLV Emerging Markets Bond Fund on 3 October 2022.
In response to the Russia's destabilizing actions in Ukraine, the European Union and the US OFAC have imposed new sanctions on Russia in unprecedented scale, including targeting the Russian credit institutions and making it difficult or impossible to perform the settlement transactions with the respective credit institutions. As a result of the imposed sanctions, also the transactions with and settlement of the financial instruments issued by the Russian issuers are not executed or are restricted, because the financial market participants, including within the European Union, have set restrictions on trading with the respective financial instruments.
ABLV Asset Management, IPAS (hereinafter – the Company) has completed the transfer of the assets of the mutual funds to the accounts of the new custodian bank and will completely resume the transactions with the investment certificates on 04.01.2022. With the change of the custodian bank and resuming the transactions with the investment certificates, the Company has fully ensured the necessary conditions on continuation of the operations of the mutual funds in accordance to the operating plan that has been developed under the supervision of the Financial and Capital Markets Commission.
In accordance with the decision of the meeting of the shareholders dated December 14, 2021, ABLV Asset Management, IPAS company name has been changed and a new brand and visual identity introduced. Henceforward ABLV Asset Management, IPAS company name will be Integrum Asset Management IPAS (hereinafter — the Company).
This is to inform that on 16 November 2021 the Financial and Capital Market Commission registered the amendments to the prospectus and regulations of mutual funds under management of ABLV Asset Management, IPAS.
Hereby ABLV Asset Management, IPAS invites investors of ABLV mutual funds in whose possession are shares of ABLV mutual funds (hereinafter - investors) until April 30th, 2021 to contact ABLV Asset Management, IPAS and submit information and documents for initiation of the compliance review of investor. It is necessary in order for ABLV Asset Management, IPAS to comply with the requirements of legal acts aimed at prevention of risks related to money laundering, terrorism and proliferation financing, as well as sanction violations (hereinafter – ML/FTP/IS).
This is to inform that on 21 December 2020 the Financial and Capital Market Commission registered the amendments to the prospectus, regulations and basic information for investors of mutual funds under management of ABLV Asset Management, IPAS.
Ir pagājuši trīs gadi kopš jaunā ABLV Asset Management, IPAS produkta uzsākšanas — pensiju 2. līmeņa plāna, tas ir obligātās fondēto pensiju apdrošināšanas shēmas pārvaldīšanas. Šo gadu laikā “ABLV Aktīvā ieguldījumu plāna” kopējā aktīvu vērtība pieaugusi līdz 9,5 miljoniem eiro un tas atrodas starp līderiem savā kategorijā ienesīguma ziņā.
This is to inform that on 27 March 2019 the Financial and Capital Market Commission registered amendments to the prospectus, regulations and basic information for investors of mutual funds under management of ABLV Asset Management, IPAS that were introduced due to updating of fund performance data as well as updating of information on the Auditor and the Fund manager.
This is to inform that on 5 November 2018 the Financial and Capital Market Commission registered amendments to the prospectus, regulations and basic information for investors of mutual funds under management of ABLV Asset Management, IPAS that were introduced due to choosing AS Baltic International Bank as the custodian bank for mutual funds managed by ABLV Asset Management, IPAS.