
(the "Company")
The Company announces that a Shareholder Notice has been issued to the registered holder of shares in the
|
Share Class |
ISIN |
L&G E Fund MSCI China A UCITS ETF |
USD Accumulating ETF
|
IE00BHBFDF83 |
Please note the following important dates in relation to the
1) The Final Exchange Trading Date shall be
2) The Final Dealing Date shall be
3) The
4) Any Shares remaining in the
5) The
6) The proceeds of the Compulsory Redemption shall be paid on or around 10 September 2025 (the "Indicative Settlement Date") to those persons registered as participants of the relevant settlement system through which the Shares are held.
Please note that as part of the closure process and before the final redemption date, the ability to meet the investment objective of the
A copy of the notification has been submitted to the National Storage Mechanism (NSM) and will shortly be available for inspection at https://data.fca.org.uk/#/nsm/nationalstoragemechanism and www.lgimetf.com.
FURTHER INFORMATION
Tel: 0345 070 8684
Email: fundsales@lgim.com
Enquiries:
Tel: +353 1 6796363
Email: DCF@Davy.ie
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