compliance with the provisions of the Notification on Investment. In applying for establishing a mutual fund for accredited investors (AI Fund), the mutual fund management company shall not specify the
compliance with the provisions of the Notification on Investment. In applying for establishing a mutual fund for accredited investors (AI Fund), the mutual fund management company shall not specify the
unitholders of each fund. (3) In requesting for resolution, the asset management company is required to : 3.1) Specify details of the new scheme and commitment; 3.2) Request a resolution of the unitholders
unitholder of a PVD or RMF, so that the duration of the membership can be continued. (4) In disclosing NAV of the RMF, the mutual fund management company shall specify that PVD proceeds were included in the
) (1) A mutual fund having the investment policy in money market funds which specify constant offering and repurchase prices all the time, or MMF constant NAV, shall not file for automatic approval of
unitholders of each fund. (3) In requesting for resolution, the asset management company is required to : 3.1) Specify details of the new scheme and commitment; 3.2) Request a resolution of the unitholders
unitholder of a PVD or RMF, so that the duration of the membership can be continued. (4) In disclosing NAV of the RMF, the mutual fund management company shall specify that PVD proceeds were included in the
of the Emergency Decree on Digital Asset Businesses of 2018. Under the terms of the letter of consent or the court's decision that specify a suspension of trading or a bar from serving as a director
) Regulations SHARE : Detail Content Management of Mutual Fund 28. Money Market Funds with constant NAV (MMF constant NAV) (1) A mutual fund having the investment policy in money market funds which specify
additional requirements regarding asset appraisal for widely used. In this regard, the appraisal report shall explicitly specify the objective of the asset appraisal that it is widely used, and shall be