The withdrawal of fund units is done by sending the below electronic withdrawal form by 4 PM of the last Finnish banking day of February, May, August, or November. The fund shares will be credited to the client on the withdrawal date, which is the last Finnish banking day of each quarter (in 2017: 31/3, 30/6, 29/9 and 29/12), according to the value of the unit confirmed for the withdrawal date. The withdrawal amount after fees will be paid to the bank account specified by the customer on the day following the withdrawal date or within the next five (5) banking days.