Sell (Redeem)
Sale of fund units
Through the solutions offered by distributors
Through the electronic channels accessible via the internet banking solutions of the distributors: BT Pay, BT Go (Legal Entity), and the Salt application.
You will find information about the invested amount, the current value of the investment, and the number of fund units you have. The redemption order registration is done simply and quickly, in just a few steps.
Redemption orders registered in the BT distribution network, respectively Salt Bank, are transmitted to BT Asset Management SAI through the IT applications implemented between entities.
Or at the BT Asset Management SAI headquarters
Payment is made according to the Issuance Prospectus within at most 10 working days from the date of registration of the redemption request, but usually this process takes 2 working days.
If you request redemption, only the amount you want must be specified, the number of fund units sold being calculated by the management company on the first working day following the registration of the request (the value of the fund unit reflects the assets of the day on which you submitted the redemption request).
All redemption operations from BT Asset Management funds must be carried out in the bank accounts of the investment account holders, opened at BT. No bank transfer fee is charged.
Taxation of investment fund gains
- by applying a rate of 3% on each profit from the transfer of securities that were acquired and alienated in a period greater than 365 days, inclusive, from the date of acquisition;
- by applying a rate of 6% on each gain from the transfer of securities that were acquired and disposed of within a period shorter than 365 days from the acquisition date.