Merci de désactiver le bloqueurs de pub pour visualiser cette vidéo.

Article 422-21-2 into force since

  • Version into force since
ELI : /en/eli/fr/aai/amf/rg/article/422-21-2/20190911/notes

In application of the final paragraph of Article L. 214-24 and the final paragraph of Article L. 214-24-34 of the Monetary and Financial Code, the retail investment fund prospectus may provide, between the date when the subscription or redemption order is centralised and the date when the custody account-keeper settles or delivers the retail investment fund shares or units, for a period of no more than ten business days, including at most five business days' notice, between the centralising date and the order execution date, and at most five business days between the order