Redeem fund shares

Have you invested in Sifter and wish to redeem your fund units?

Fill out the form below, and we’ll handle the paperwork for you. We’ll send you the official redemption agreement for signing and request your instructions for transferring the funds.

Redemption Form

When you submit your redemption form before 2:00 pm (CET), you will be permitted to redeem shares in Sifter according to market closing price (i.e. fund’s following day NAV). The Net Asset Value of the Sub-Fund is calculated each Business Day (Valuation Day) based on the last prices available preceding such Valuation Day. 

If you are a professional investor and are doing redemption with platforms, applications must be received by the Fund no later than 5:00 p.m. Luxembourg time preceding the applicable Valuation Day.